Publications

Displaying 301 - 400 of 685
  • Johns, T. G., Perera, R. M., Vernes, S. C., Vitali, A. A., Cao, D. X., Cavenee, W. K., Scott, A. M., & Furnari, F. B. (2007). The efficacy of epidermal growth factor receptor-specific antibodies against glioma xenografts is influenced by receptor levels, activation status, and heterodimerization. Clinical Cancer Research, 13, 1911-1925. doi:10.1158/1078-0432.CCR-06-1453.

    Abstract

    Purpose: Factors affecting the efficacy of therapeutic monoclonal antibodies (mAb) directed to the epidermal growth factor receptor (EGFR) remain relatively unknown, especially in glioma. Experimental Design: We examined the efficacy of two EGFR-specific mAbs (mAbs 806 and 528) against U87MG-derived glioma xenografts expressing EGFR variants. Using this approach allowed us to change the form of the EGFR while keeping the genetic background constant. These variants included the de2-7 EGFR (or EGFRvIII), a constitutively active mutation of the EGFR expressed in glioma. Results: The efficacy of the mAbs correlated with EGFR number; however, the most important factor was receptor activation. Whereas U87MG xenografts expressing the de2-7 EGFR responded to therapy, those exhibiting a dead kinase de2-7 EGFR were refractory. A modified de2-7 EGFR that was kinase active but autophosphorylation deficient also responded, suggesting that these mAbs function in de2-7 EGFR–expressing xenografts by blocking transphosphorylation. Because de2-7 EGFR–expressing U87MG xenografts coexpress the wild-type EGFR, efficacy of the mAbs was also tested against NR6 xenografts that expressed the de2-7 EGFR in isolation. Whereas mAb 806 displayed antitumor activity against NR6 xenografts, mAb 528 therapy was ineffective, suggesting that mAb 528 mediates its antitumor activity by disrupting interactions between the de2-7 and wild-type EGFR. Finally, genetic disruption of Src in U87MG xenografts expressing the de2-7 EGFR dramatically enhanced mAb 806 efficacy. Conclusions: The effective use of EGFR-specific antibodies in glioma will depend on identifying tumors with activated EGFR. The combination of EGFR and Src inhibitors may be an effective strategy for the treatment of glioma.
  • Johnson, E., McQueen, J. M., & Huettig, F. (2011). Toddlers’ language-mediated visual search: They need not have the words for it. The Quarterly Journal of Experimental Psychology, 64, 1672-1682. doi:10.1080/17470218.2011.594165.

    Abstract

    Eye movements made by listeners during language-mediated visual search reveal a strong link between
    visual processing and conceptual processing. For example, upon hearing the word for a missing referent
    with a characteristic colour (e.g., “strawberry”), listeners tend to fixate a colour-matched distractor (e.g.,
    a red plane) more than a colour-mismatched distractor (e.g., a yellow plane). We ask whether these
    shifts in visual attention are mediated by the retrieval of lexically stored colour labels. Do children
    who do not yet possess verbal labels for the colour attribute that spoken and viewed objects have in
    common exhibit language-mediated eye movements like those made by older children and adults?
    That is, do toddlers look at a red plane when hearing “strawberry”? We observed that 24-montholds
    lacking colour term knowledge nonetheless recognized the perceptual–conceptual commonality
    between named and seen objects. This indicates that language-mediated visual search need not
    depend on stored labels for concepts.
  • Johnson, E. K., & Huettig, F. (2011). Eye movements during language-mediated visual search reveal a strong link between overt visual attention and lexical processing in 36-months-olds. Psychological Research, 75, 35-42. doi:10.1007/s00426-010-0285-4.

    Abstract

    The nature of children’s early lexical processing was investigated by asking what information 36-month-olds access and use when instructed to find a known but absent referent. Children readily retrieved stored knowledge about characteristic color, i.e. when asked to find an object with a typical color (e.g. strawberry), children tended to fixate more upon an object that had the same (e.g. red plane) as opposed to a different (e.g. yellow plane) color. They did so regardless of the fact that they have had plenty of time to recognize the pictures for what they are, i.e. planes not strawberries. These data represent the first demonstration that language-mediated shifts of overt attention in young children can be driven by individual stored visual attributes of known words that mismatch on most other dimensions. The finding suggests that lexical processing and overt attention are strongly linked from an early age.
  • Johnson, J. S., Sutterer, D. W., Acheson, D. J., Lewis-Peacock, J. A., & Postle, B. R. (2011). Increased alpha-band power during the retention of shapes and shape-location associations in visual short-term memory. Frontiers in Psychology, 2(128), 1-9. doi:10.3389/fpsyg.2011.00128.

    Abstract

    Studies exploring the role of neural oscillations in cognition have revealed sustained increases in alpha-band (∼8–14 Hz) power during the delay period of delayed-recognition short-term memory tasks. These increases have been proposed to reflect the inhibition, for example, of cortical areas representing task-irrelevant information, or of potentially interfering representations from previous trials. Another possibility, however, is that elevated delay-period alpha-band power (DPABP) reflects the selection and maintenance of information, rather than, or in addition to, the inhibition of task-irrelevant information. In the present study, we explored these possibilities using a delayed-recognition paradigm in which the presence and task relevance of shape information was systematically manipulated across trial blocks and electroencephalographic was used to measure alpha-band power. In the first trial block, participants remembered locations marked by identical black circles. The second block featured the same instructions, but locations were marked by unique shapes. The third block featured the same stimulus presentation as the second, but with pretrial instructions indicating, on a trial-by-trial basis, whether memory for shape or location was required, the other dimension being irrelevant. In the final block, participants remembered the unique pairing of shape and location for each stimulus. Results revealed minimal DPABP in each of the location-memory conditions, whether locations were marked with identical circles or with unique task-irrelevant shapes. In contrast, alpha-band power increases were observed in both the shape-memory condition, in which location was task irrelevant, and in the critical final condition, in which both shape and location were task relevant. These results provide support for the proposal that alpha-band oscillations reflect the retention of shape information and/or shape–location associations in short-term memory.
  • Johnson, E. K., Westrek, E., Nazzi, T., & Cutler, A. (2011). Infant ability to tell voices apart rests on language experience. Developmental Science, 14(5), 1002-1011. doi:10.1111/j.1467-7687.2011.01052.x.

    Abstract

    A visual fixation study tested whether seven-month-olds can discriminate between different talkers. The infants were first habituated to talkers producing sentences in either a familiar or unfamiliar language, then heard test sentences from previously unheard speakers, either in the language used for habituation, or in another language. When the language at test mismatched that in habituation, infants always noticed the change. When language remained constant and only talker altered, however, infants detected the change only if the language was the native tongue. Adult listeners with a different native tongue than the infants did not reproduce the discriminability patterns shown by the infants, and infants detected neither voice nor language changes in reversed speech; both these results argue against explanation of the native-language voice discrimination in terms of acoustic properties of the stimuli. The ability to identify talkers is, like many other perceptual abilities, strongly influenced by early life experience.
  • Jones, C. R., Pickles, A., Falcaro, M., Marsden, A. J., Happé, F., Scott, S. K., Sauter, D., Tregay, J., Phillips, R. J., Baird, G., Simonoff, E., & Charman, T. (2011). A multimodal approach to emotion recognition ability in autism spectrum disorders. Journal of Child Psychology and Psychiatry, 52(3), 275-285. doi:10.1111/j.1469-7610.2010.02328.x.

    Abstract

    Background: Autism spectrum disorders (ASD) are characterised by social and communication difficulties in day-to-day life, including problems in recognising emotions. However, experimental investigations of emotion recognition ability in ASD have been equivocal; hampered by small sample sizes, narrow IQ range and over-focus on the visual modality. Methods: We tested 99 adolescents (mean age 15;6 years, mean IQ 85) with an ASD and 57 adolescents without an ASD (mean age 15;6 years, mean IQ 88) on a facial emotion recognition task and two vocal emotion recognition tasks (one verbal; one non-verbal). Recognition of happiness, sadness, fear, anger, surprise and disgust were tested. Using structural equation modelling, we conceptualised emotion recognition ability as a multimodal construct, measured by the three tasks. We examined how the mean levels of recognition of the six emotions differed by group (ASD vs. non-ASD) and IQ (>= 80 vs. < 80). Results: There was no significant difference between groups for the majority of emotions and analysis of error patterns suggested that the ASD group were vulnerable to the same pattern of confusions between emotions as the non-ASD group. However, recognition ability was significantly impaired in the ASD group for surprise. IQ had a strong and significant effect on performance for the recognition of all six emotions, with higher IQ adolescents outperforming lower IQ adolescents. Conclusions: The findings do not suggest a fundamental difficulty with the recognition of basic emotions in adolescents with ASD.
  • Jordan, F. (2011). A phylogenetic analysis of the evolution of Austronesian sibling terminologies. Human Biology, 83, 297-321. doi:10.3378/027.083.0209.

    Abstract

    Social structure in human societies is underpinned by the variable expression of ideas about relatedness between different types of kin. We express these ideas through language in our kin terminology: to delineate who is kin and who is not, and to attach meanings to the types of kin labels associated with different individuals. Cross-culturally, there is a regular and restricted range of patterned variation in kin terminologies, and to date, our understanding of this diversity has been hampered by inadequate techniques for dealing with the hierarchical relatedness of languages (Galton’s Problem). Here I use maximum-likelihood and Bayesian phylogenetic comparative methods to begin to tease apart the processes underlying the evolution of kin terminologies in the Austronesian language family, focusing on terms for siblings. I infer (1) the probable ancestral states and (2) evolutionary models of change for the semantic distinctions of relative age (older/younger sibling) and relative sex (same sex/opposite-sex). Analyses show that early Austronesian languages contained the relative-age, but not the relative-sex distinction; the latter was reconstructed firmly only for the ancestor of Eastern Malayo-Polynesian languages. Both distinctions were best characterized by evolutionary models where the gains and losses of the semantic distinctions were equally likely. A multi-state model of change examined how the relative-sex distinction could be elaborated and found that some transitions in kin terms were not possible: jumps from absence to heavily elaborated were very unlikely, as was piece-wise dismantling of elaborate distinctions. Cultural ideas about what types of kin distinctions are important can be embedded in the semantics of language; using a phylogenetic evolutionary framework we can understand how those distinctions in meaning change through time.
  • Jordan, F. (2007). Engaging in chit-chat (and all that). [Review of the book Why we talk: The evolutionary origins of language by Jean-Louis Dessalles]. Journal of Evolutionary Psychology, 5(1-4), 241-244. doi:10.1556/JEP.2007.1014.
  • Jordens, P. (1998). Defaultformen des Präteritums. Zum Erwerb der Vergangenheitsmorphologie im Niederlänidischen. In H. Wegener (Ed.), Eine zweite Sprache lernen (pp. 61-88). Tübingen, Germany: Verlag Gunter Narr.
  • Kelly, S., Byrne, K., & Holler, J. (2011). Raising the stakes of communication: Evidence for increased gesture production as predicted by the GSA framework. Information, 2(4), 579-593. doi:10.3390/info2040579.

    Abstract

    Theorists of language have argued that co-­speech hand gestures are an
    intentional part of social communication. The present study provides evidence for these
    claims by showing that speakers adjust their gesture use according to their perceived relevance to the audience. Participants were asked to read about items that were and were not useful in a wilderness survival scenario, under the pretense that they would then
    explain (on camera) what they learned to one of two different audiences. For one audience (a group of college students in a dormitory orientation activity), the stakes of successful
    communication were low;; for the other audience (a group of students preparing for a
    rugged camping trip in the mountains), the stakes were high. In their explanations to the camera, participants in the high stakes condition produced three times as many
    representational gestures, and spent three times as much time gesturing, than participants in the low stakes condition. This study extends previous research by showing that the anticipated consequences of one’s communication—namely, the degree to which information may be useful to an intended recipient—influences speakers’ use of gesture.
  • Kempen, G. (1966). Een informatietheoretische reïnterpretatie van het probleem der autonome geheugenveranderingen. Gawein: Tijdschrift voor psychologie, 15, 9-26.
  • Kempen, G. (1998). Comparing and explaining the trajectories of first and second language acquisition: In search of the right mix of psychological and linguistic factors [Commentory]. Bilingualism: Language and Cognition, 1, 29-30. doi:10.1017/S1366728998000066.

    Abstract

    When you compare the behavior of two different age groups which are trying to master the same sensori-motor or cognitive skill, you are likely to discover varying learning routes: different stages, different intervals between stages, or even different orderings of stages. Such heterogeneous learning trajectories may be caused by at least six different types of factors: (1) Initial state: the kinds and levels of skills the learners have available at the onset of the learning episode. (2) Learning mechanisms: rule-based, inductive, connectionist, parameter setting, and so on. (3) Input and feedback characteristics: learning stimuli, information about success and failure. (4) Information processing mechanisms: capacity limitations, attentional biases, response preferences. (5) Energetic variables: motivation, emotional reactions. (6) Final state: the fine-structure of kinds and levels of subskills at the end of the learning episode. This applies to language acquisition as well. First and second language learners probably differ on all six factors. Nevertheless, the debate between advocates and opponents of the Fundamental Difference Hypothesis concerning L1 and L2 acquisition have looked almost exclusively at the first two factors. Those who believe that L1 learners have access to Universal Grammar whereas L2 learners rely on language processing strategies, postulate different learning mechanisms (UG parameter setting in L1, more general inductive strategies in L2 learning). Pienemann opposes this view and, based on his Processability Theory, argues that L1 and L2 learners start out from different initial states: they come to the grammar learning task with different structural hypotheses (SOV versus SVO as basic word order of German).
  • Kempen, G., Schotel, H., & Hoenkamp, E. (1982). Analyse-door-synthese van Nederlandse zinnen [Abstract]. De Psycholoog, 17, 509.
  • Kempen, G. (1966). [Review of the book Theories of learning and instruction ed. by E.R. Hilgard]. Nijmeegs Tijdschrift voor Psychologie, 14, 250.
  • Kempen, G. (2007). De kunst van het weglaten: Elliptische nevenschikking in een model van de spreker. In F. Moerdijk, A. van Santen, & R. Tempelaars (Eds.), Leven met woorden: Afscheidsbundel voor Piet van Sterkenburg (pp. 397-407). Leiden: Brill.

    Abstract

    This paper is an abridged version (in Dutch) of an in-press article by the same author (Kempen, G. (2008/9). Clausal coordination and coordinate ellipsis in a model of the speaker. To be published in: Linguistics). The two papers present a psycholinguistically inspired approach to the syntax of clause-level coordination and coordinate ellipsis. It departs from the assumption that coordinations are structurally similar to so-called appropriateness repairs Ñ an important type of self-repairs in spontaneous speech. Coordinate structures and appropriateness repairs can both be viewed as ÒupdateÓ con-structions. Updating is defined as a special sentence production mode that efficiently revises or augments existing sentential structure in response to modifications in the speakerÕs communicative intention. This perspective is shown to offer an empirically satisfactory and theoretically parsimonious account of two prominent types of coordinate ellipsis, in particular Forward Conjunction Reduction (FCR) and Gapping (including Long-Distance Gapping and Subgapping). They are analyzed as different manifestations of Òincremental updatingÓ Ñ efficient updating of only part of the existing sentential structure. Based on empirical data from Dutch and German, novel treatments are proposed for both types of clausal coordinate ellipsis. Two other forms of coordinate ellipsis Ñ SGF (ÒSubject Gap in Finite clauses with fronted verbÓ), and Backward Conjunction Reduction (BCR; also known as Right Node Raising or RNR) Ñ are shown to be incompatible with the notion of incremental updating. Alternative theoretical interpretations of these phenomena are proposed. The four types of clausal coordinate ellipsis Ñ SGF, Gapping, FCR and BCR Ñ are argued to originate in four different stages of sentence production: Intending (i.e. preparing the communicative intention), Conceptualization, Grammatical Encoding, and Phonological Encoding, respectively.
  • Kempen, G. (1998). Sentence parsing. In A. D. Friederici (Ed.), Language comprehension: A biological perspective (pp. 213-228). Berlin: Springer.
  • Kendoli, K. Y. (2011). Yuna pikono [translated by Lila San Roque]. In A. Rumsey, & D. Niles (Eds.), Sung tales from the Papua New Guinea Highlands: Studies in form, meaning and sociocultural context (pp. 39-47). Canberra: ANU E Press.
  • Kennaway, J., Glauert, J., & Zwitserlood, I. (2007). Providing Signed Content on the Internet by Synthesized Animation. ACM Transactions on Computer-Human Interaction (TOCHI), 14(3), 15. doi:10.1145/1279700.1279705.

    Abstract

    Written information is often of limited accessibility to deaf people who use sign language. The eSign project was undertaken as a response to the need for technologies enabling efficient production and distribution over the Internet of sign language content. By using an avatar-independent scripting notation for signing gestures and a client-side web browser plug-in to translate this notation into motion data for an avatar, we achieve highly efficient delivery of signing, while avoiding the inflexibility of video or motion capture. Tests with members of the deaf community have indicated that the method can provide an acceptable quality of signing.
  • Kerkhofs, R., Vonk, W., Schriefers, H., & Chwilla, D. J. (2007). Discourse, syntax, and prosody: The brain reveals an immediate interaction. Journal of Cognitive Neuroscience, 19(9), 1421-1434. doi:10.1162/jocn.2007.19.9.1421.

    Abstract

    Speech is structured into parts by syntactic and prosodic breaks. In locally syntactic ambiguous sentences, the detection of a syntactic break necessarily follows detection of a corresponding prosodic break, making an investigation of the immediate interplay of syntactic and prosodic information impossible when studying sentences in isolation. This problem can be solved, however, by embedding sentences in a discourse context that induces the expectation of either the presence or the absence of a syntactic break right at a prosodic break. Event-related potentials (ERPs) were compared to acoustically identical sentences in these different contexts. We found in two experiments that the closure positive shift, an ERP component known to be elicited by prosodic breaks, was reduced in size when a prosodic break was aligned with a syntactic break. These results establish that the brain matches prosodic information against syntactic information immediately.
  • Kidd, E., Stewart, A. J., & Serratrice, L. (2011). Children do not overcome lexical biases where adults do: The role of the referential scene in garden-path recovery. Journal of Child Language, 38(1), 222-234. doi:10.1017/s0305000909990316.

    Abstract

    In this paper we report on a visual world eye-tracking experiment that investigated the differing abilities of adults and children to use referential scene information during reanalysis to overcome lexical biases during sentence processing. The results showed that adults incorporated aspects of the referential scene into their parse as soon as it became apparent that a test sentence was syntactically ambiguous, suggesting they considered the two alternative analyses in parallel. In contrast, the children appeared not to reanalyze their initial analysis, even over shorter distances than have been investigated in prior research. We argue that this reflects the children's over-reliance on bottom-up, lexical cues to interpretation. The implications for the development of parsing routines are discussed
  • Kidd, E., Kemp, N., & Quinn, S. (2011). Did you have a choccie bickie this arvo? A quantitative look at Australian hypocoristics. Language Sciences, 33(3), 359-368. doi:10.1016/j.langsci.2010.11.006.

    Abstract

    This paper considers the use and representation of Australian hypocoristics (e.g., choccie → chocolate, arvo → afternoon). One-hundred-and-fifteen adult speakers of Australian English aged 17–84 years generated as many tokens of hypocoristics as they could in 10 min. The resulting corpus was analysed along a number of dimensions in an attempt to identify (i) general age- and gender-related trends in hypocoristic knowledge and use, and (ii) linguistic properties of each hypocoristic class. Following Bybee’s (1985, 1995) lexical network approach, we conclude that Australian hypocoristics are the product of the same linguistic processes that capture other inflectional morphological processes.
  • Kidd, E., & Bavin, E. L. (2007). Lexical and referential influences on on-line spoken language comprehension: A comparison of adults and primary-school-age children. First Language, 27(1), 29-52. doi:10.1177/0142723707067437.

    Abstract

    This paper reports on two studies investigating children's and adults' processing of sentences containing ambiguity of prepositional phrase (PP) attachment. Study 1 used corpus data to investigate whether cues argued to be used by adults to resolve PP-attachment ambiguities are available in child-directed speech. Study 2 was an on-line reaction time study investigating the role of lexical and referential biases in syntactic ambiguity resolution by children and adults. Forty children (mean age 8;4) and 37 adults listened to V-NP-PP sentences containing temporary ambiguity of PP-attachment. The sentences were manipulated for (i) verb semantics, (ii) the definiteness of the object NP, and (iii) PP-attachment site. The children and adults did not differ qualitatively from each other in their resolution of the ambiguity. A verb semantics by attachment interaction suggested that different attachment analyses were pursued depending on the semantics of the verb. There was no influence of the definiteness of the object NP in either children's or adults' parsing preferences. The findings from the on-line task matched up well with the corpus data, thus identifying a role for the input in the development of parsing strategies.
  • Kidd, E. (2011). Introduction. The acquisition of relative clauses: Processing, typology, and function. In E. Kidd (Ed.), The acquisition of relative clauses: Processing, typology and function (pp. 1-12). Amsterdam: Benjamins.
  • Kidd, E., & Kirjavainen, M. (2011). Investigating the contribution of procedural and declarative memory to the acquisition of past tense morphology: Evidence from Finnish. Language and Cognitive Processes, 26(4-6), 794-829. doi:10.1080/01690965.2010.493735.

    Abstract

    The present paper reports on a study that investigated the role of procedural and declarative memory in the acquisition of Finnish past tense morphology. Two competing models were tested. Ullman's (2004) declarative/procedural model predicts that procedural memory supports the acquisition of regular morphology, whereas declarative memory supports the acquisition of irregular morphology. In contrast, single-route approaches predict that declarative memory should support lexical learning, which in turn should predict morphological acquisition. One-hundred and twenty-four (N=124) monolingual Finnish-speaking children aged 4;0–6;7 completed tests of procedural and declarative memory, tests of vocabulary knowledge and nonverbal ability, and a test of past test knowledge. The results best supported the single-route approach, suggesting that this account best extends to languages that possess greater morphological complexity than English.
  • Kidd, E., Brandt, S., Lieven, E., & Tomasello, M. (2007). Object relatives made easy: A cross-linguistic comparison of the constraints influencing young children's processing of relative clauses. Language and Cognitive Processes, 22(6), 860-897. doi:10.1080/01690960601155284.

    Abstract

    We present the results from four studies, two corpora and two experimental, which suggest that English- and German-speaking children (3;1–4;9 years) use multiple constraints to process and produce object relative clauses. Our two corpora studies show that children produce object relatives that reflect the distributional and discourse regularities of the input. Specifically, the results show that when children produce object relatives they most often do so with (a) an inanimate head noun, and (b) a pronominal relative clause subject. Our experimental findings show that children use these constraints to process and produce this construction type. Moreover, when children were required to repeat the object relatives they most often use in naturalistic speech, the subject-object asymmetry in processing of relative clauses disappeared. We also report cross-linguistic differences in children's rate of acquisition which reflect properties of the input language. Overall, our results suggest that children are sensitive to the same constraints on relative clause processing as adults.
  • Kita, S., Ozyurek, A., Allen, S., Brown, A., Furman, R., & Ishizuka, T. (2007). Relations between syntactic encoding and co-speech gestures: Implications for a model of speech and gesture production. Language and Cognitive Processes, 22(8), 1212-1236. doi:10.1080/01690960701461426.

    Abstract

    Gestures that accompany speech are known to be tightly coupled with speech production. However little is known about the cognitive processes that underlie this link. Previous cross-linguistic research has provided preliminary evidence for online interaction between the two systems based on the systematic co-variation found between how different languages syntactically package Manner and Path information of a motion event and how gestures represent Manner and Path. Here we elaborate on this finding by testing whether speakers within the same language gesturally express Manner and Path differently according to their online choice of syntactic packaging of Manner and Path, or whether gestural expression is pre-determined by a habitual conceptual schema congruent with the linguistic typology. Typologically congruent and incongruent syntactic structures for expressing Manner and Path (i.e., in a single clause or multiple clauses) were elicited from English speakers. We found that gestural expressions were determined by the online choice of syntactic packaging rather than by a habitual conceptual schema. It is therefore concluded that speech and gesture production processes interface online at the conceptual planning phase. Implications of the findings for models of speech and gesture production are discussed
  • Kita, S., & Ozyurek, A. (2007). How does spoken language shape iconic gestures? In S. Duncan, J. Cassel, & E. Levy (Eds.), Gesture and the dynamic dimension of language (pp. 67-74). Amsterdam: Benjamins.
  • Klaas, G. (2007). Hints and recommendations concerning field equipment. In A. Majid (Ed.), Field manual volume 10 (pp. 5-6). Nijmegen: Max Planck Institute for Psycholinguistics.
  • Klein, W. (2007). Zwei Leitgedanken zu "Sprache und Erkenntnis". Zeitschrift für Literaturwissenschaft und Linguistik, 145, 9-43.

    Abstract

    In a way, the entire history of linguistic thought from the Antiquity to present days is a series of variations on two key themes: 1. In a certain sense, language and cognition are the same, and 2. In a certain sense, all languages are the same. What varies is the way in which “in a certain sense” is spelled out. Interpretations oscillate between radical positions such as the idea that thinking without speaking is impossible to the idea that it is just language which vexes our cognition and hence makes it rather impossible, and similarly between the idea that all differences between natural languages are nothing but irrelevant variations in the “vox”, the “external form” to the idea that it our thought is massively shaped by the particular structural features of the language we happen to speak. It is remarkable how little agreement has been reached on these issues after more than 2500 years of discussion. This, it is argued, has mainly two reasons: (a) The entire argument is largely confined to a few lexical and morphological properties of human languages, and (b) the discussion is rarely based on empirical research on “language at work” - how do we manage to solve those many little tasks for which human languages are designed in the first place.
  • Klein, W., & Rieck, B.-O. (1982). Der Erwerb der Personalpronomina im ungesteuerten Spracherwerb. Zeitschrift für Literaturwissenschaft und Linguistik, 45, 35-71.
  • Klein, W. (1998). Ein Blick zurück auf die Varietätengrammatik. In U. Ammon, K. Mattheier, & P. Nelde (Eds.), Sociolinguistica: Internationales Jahrbuch für europäische Soziolinguistik (pp. 22-38). Tübingen: Niemeyer.
  • Klein, W. (1982). Einige Bemerkungen zur Frageintonation. Deutsche Sprache, 4, 289-310.

    Abstract

    In the first, critical part of this study, a small sample of simple German sentences with their empirically determined pitch contours is used to demonstrate the incorrectness of numerous currently hold views of German sentence intonation. In the second, more constructive part, several interrogative sentence types are analysed and an attempt is made to show that intonation, besides other functions, indicates the permantently changing 'thematic score' in on-going discourse as well as certain validity claims.
  • Klein, W., & Meibauer, J. (2011). Einleitung. LiLi, Zeitschrift für Literaturwissenschaft und Linguistik, 41(162), 5-8.

    Abstract

    Nannten die Erwachsenen irgend einen Gegenstand und wandten sie sich dabei ihm zu, so nahm ich das wahr und ich begriff, daß der Gegenstand durch die Laute, die sie aussprachen, bezeichnet wurde, da sie auf ihn hinweisen wollten. Dies aber entnahm ich aus ihren Gebärden, der natürlichen Sprache aller Völker, der Sprache, die durch Mienen- und Augenspiel, durch die Bewegungen der Glieder und den Klang der Stimme die Empfindungen der Seele anzeigt, wenn diese irgend etwas begehrt, oder festhält, oder zurückweist, oder flieht. So lernte ich nach und nach verstehen, welche Dinge die Wörter bezeichneten, die ich wieder und wieder, an ihren bestimmten Stellen in verschiedenen Sätzen, aussprechen hörte. Und ich brachte, als nun mein Mund sich an diese Zeichen gewöhnt hatte, durch sie meine Wünsche zum Ausdruck. (Augustinus, Confessiones I, 8) Dies ist das Zitat eines Zitats: Zu Beginn der Philosophischen Untersuchungen führt Ludwig Wittgenstein diese Stelle aus Augustinus’ Bekenntnissen an, in denen dieser beschreibt, wie er seiner Erinnerung nach seine Muttersprache gelernt hat (Wittgenstein führt den lateinischen Text an und gibt dann seine Übersetzung, hier ist nur letztere zitiert). Sie bilden den Ausgangspunkt für Wittgensteins berühmte Überlegungen über die Funktionsweise der menschlichen Sprache und für seine Idee des Sprachspiels. Nun weiß man nicht, wie genau sich Augustinus wirklich erinnert und ob er sich all dies, wie so viel, was seither über den Spracherwerb gesagt und geschrieben wurde, bloß zurechtgelegt hat, in der Meinung, so müsse es sein. Aber anders als so vieles, was seither über den Spracherwerb gesagt und geschrieben wurde, ist es wunderbar formuliert und enthält zwei Momente, die in der wissenschaftlichen Forschung bis heute, wenn denn nicht bestritten, so doch oft nicht gesehen und dort, wo sie denn gesehen, nicht wirklich ernstgenommen wurden: A. Wir lernen die Sprache in der alltäglichen Kommunikation mit der sozialen Umgebung. B. Um eine Sprache zu lernen, genügt es nicht, diese Sprache zu hören; vielmehr benötigen wir eine Fülle an begleitender Information, wie hier Gestik und Mimik der Erwachsenen. Beides möchte man eigentlich für selbstverständlich halten. Herodot erzählt die berühmte Geschichte des Pharaos Psammetich, der wissen wollte, was die erste und eigentliche Sprache der Menschen sei, und befahl, zwei Neugeborene aufwachsen zu lassen, ohne dass jemand zu ihnen spricht; das erste Wort, das sie äußern, klang, so erzählt Herodot, wie das phrygische Wort für Brot, und so nahm man denn an, die Ursprache des Menschen sei das Phrygische. In dieser Vorstellung vom Spracherwerb spielt der Input aus der sozialen Umgebung nur insofern eine Rolle, als die eigentliche, von Geburt an vorhandene Sprache durch eine andere verdrängt werden kann: Kinder, die in einer englischsprachigen Umgebung aufwachsen, sprechen nicht die Ursprache. Diese Theorie gilt heute als obsolet. Sie ist aber in ihrer Einschätzung vom relativen Gewicht dessen, was an sprachlichem Wissen von Anfang an vorhanden ist, und dem, was der sozialen Umgebung entnommen werden muss, manchen neueren Theorien des Spracherwerbs nicht ganz fern: In der Chomsky’schen Idee der Universalgrammatik, theoretische Grundlage eines wesentlichen Teils der modernen Spracherwerbsforschung, ist „die Sprache” hauptsächlich etwas Angeborenes, insoweit gleich für alle Menschen und vom jeweiligen Input unabhängig. Das, was das Kind oder, beim Zweitspracherwerb, der erwachsene Lerner an Sprachlichem aus seiner Umgebung erfährt, wird nicht genutzt, um daraus bestimmte Regelhaftigkeiten abzuleiten und sich diese anzueignen; der Input fungiert eher als eine Art externer Auslöser für latent bereits vorhandenes Wissen. Für das Erlernen des Wortschatzes gilt dies sicher nicht. Es kann nicht angeboren sein, dass der Mond luna heißt. Für andere Bereiche der Sprache ist das Ausmaß des Angeborenen aber durchaus umstritten. Bei dieser Denkweise gilt das unter A Gesagte nicht. Die meisten modernen Spracherwerbsforscher schreiben dem Input ein wesentlich höheres Gewicht zu: Wir kopieren die charakteristischen Eigenschaften eines bestimmten sprachlichen Systems, indem wir den Input analysieren, um so die ihm zugrundeliegenden Regularitäten abzuleiten. Der Input tritt uns in Form von Schallfolgen (oder Gesten und später geschriebenen Zeichen) entgegen, die von anderen, die das System beherrschen, zu kommunikativen Zwecken verwendet werden. Diese Schallfolgen müssen die Lernenden in kleinere Einheiten zerlegen, diese mit Bedeutungen versehen und nach den Regularitäten abklopfen, denen gemäß sie sich zu komplexeren Ausdrücken verbinden lassen. Dies – und vieles andere – ist es, was das dem Menschen angeborene Sprachvermögen leistet, keine andere Spezies kann es (einem Pferd kann man so viel Chinesisch vorspielen, wie man will, es wird es nicht lernen). Aber auch wir könnten es nicht, wenn wir nur den Schall hätten. Wenn man, in einer Abwandlung des Psammetich’schen Versuchs, jemanden in ein Zimmer einsperren und tagaus tagein mit Chinesisch beschallen und im Übrigen gut versorgen würde, so würde er es, gleich ob als Kind oder als Erwachsener, nicht lernen. Vielleicht würde er einige strukturelle Eigenschaften des Schallstroms ausfindig machen; aber er würde auch nach Jahren kein Chinesisch können. Man benötigt den Schallstrom als sinnlich fassbaren Ausdruck der zugrundeliegenden Sprache, und man benötigt all die Informationen, die man der jeweiligen Redesituation oder aber seinem bereits vorhandenen anderweitigen Wissen entnehmen kann. Augustinus hat beides radikal vereinfacht; aber im Prinzip hat er Recht, und man sollte daher von der Spracherwerbsforschung erwarten, dass sie dies in Rechnung stellt. Das tut sie aber selten. Soweit sie überhaupt aus dem Gehäuse der Theorie tritt und sich den tatsächlichen Verlauf des Spracherwerbs anschaut, konzentriert sie sich weithin auf das, was die Kinder selbst sagen – dazu dienen ausgedehnte Corpora –, oder aber sie untersucht in experimentellen Settings, wie Kinder bestimmte Wörter oder Strukturen verstehen oder auch nicht verstehen. Das hat auch, wenn denn gut gemacht, einen hohen Aufschlusswert. Aber die eigentliche Verarbeitung des Inputs im doppelten Sinne – Schallwellen und Parallelinformation – wird selten in den Mittelpunkt des Interesses gerückt. Dies führt zu eigentümlichen Verzerrungen. So betrachtet man in der Spracherwerbsforschung vor allem deklarative Hauptsätze. Ein nicht unwesentlicher Teil dessen, was Kinder hören, besteht aber aus Imperativen („Tu das!“, „Tu das nicht!“). In solchen Imperativen gibt es normalerweise kein Subjekt. Ein intelligentes Kind muss daher zu dem Schluss kommen, dass das Deutsche in einem nicht unwesentlichen Teil seiner grammatischen Strukturen eine „pro drop-Sprache” ist, d.h. eine Sprache, in dem man das Subjekt weglassen kann. Kein Linguist käme auf diese Idee; sie entspricht aber den tatsächlichen Verhältnissen, und dies schlägt sich in dem Input, den das Kind verarbeiten muss, nieder. Dieses Heft befasst sich mit einer Spracherwerbssituation, in der – anders als beispielsweise bei einem Gespräch am Frühstückstisch – der Input in seiner doppelten Form gut zu überschauen ist, ohne dass die Situation, wie etwa bei einem kontrollierten Experiment, unnatürlich und der normalen Lernumgebung ferne wäre: mit dem Anschauen, Vorlesen und Lesen von Kinderbüchern. Man kann sich eine solche Situation als eine natürliche Ausweitung dessen vorstellen, was Augustinus beschreibt: Die Kinder hören, was die Erwachsenen sagen, und ihre Aufmerksamkeit wird auf bestimmte Dinge gerichtet, während sie hören und schauen – nur geht es hier nicht um einzelne Wörter, sondern um komplexe Ausdrücke und um komplexe, aber dennoch überschaubare begleitende Informationen. Nun haben Kinderbücher in der Spracherwerbsforschung durchaus eine Rolle gespielt. Dabei dienen sie – sei es als reine Folge von Bildern, sei es mit Text oder gar nur als Text – aber meistens nur als eine Art Vorlage für die Sprachproduktion der Kinder: Sie sollen aus der Vorlage eine Geschichte ableiten und in ihren eigenen Worten erzählen. Das bekannteste, aber keineswegs das einzige Beispiel sind die von Michael Bamberg, Ruth Berman und Dan Slobin in den 1980er Jahren initiierten „frog stories” – Nacherzählungen einer einfachen Bildgeschichte, die inzwischen in zahlreichen Sprachen vorliegen und viele Aufschlüsse über die unterschiedlichsten Aspekte der sich entwickelnden Sprachbeherrschung, von der Flexionsmorphologie bis zur Textstruktur, gebracht haben. Das ist gut und sinnvoll; aber im Grunde müsste man einen Schritt weiter gehen, nämlich gleichsam wir durch ein Mikroskop zu schauen, wie sich die Kinder ihre Regularitäten aus der Interaktion ableiten. Dies würde unsere Vorstellungen über den Verlauf des Spracherwerbs und die Gesetzlichkeiten, nach denen er erfolgt, wesentlich bereichern, vielleicht auf eine ganz neue Basis stellen. Die Beiträge dieses Heftes geben dafür eine Reihe von Beispielen, von denen nur ein kleines, aber besonders schlagendes erwähnt werden soll. Es gibt zahlreiche, auf Bildgeschichten beruhende Analysen, in denen untersucht wird, wie Kinder eine bestimmte Person oder eine Sache im fortlaufenden Diskurs benennen – ob sie etwa definite und indefinite Nominalausdrücke (ein Junge – der Junge), lexikalische oder pronominale Nominalphrasen (der Junge – er) oder gar leere Elemente (der Junge wacht auf und 0 schaut nach seinem Hund) richtig verwenden können. Das Bild, das die Forschung in diesem wesentlichen Teil der Sprachbeherrschung heute bietet, ist alles andere als einheitlich. So umfassen die Ansichten darüber, wann die Definit-Indefinit-Unterscheidung gemeistert wird, den größten Teil der Kindheit, je nachdem, welche Untersuchungen man zu Rate zieht. In dem Aufsatz von Katrin Dammann-Thedens wird deutlich, dass Kindern in einem bestimmen Alter oft überhaupt nicht klar ist, dass eine bestimmte Person, eine bestimmte Sache auf fortlaufenden Bildern dieselbe ist – auch wenn sie ähnlich aussieht –, und das ist bei Licht besehen ja auch keine triviale Frage. Diese Beobachtungen werfen ein ganz neues Licht auf die Idee der referentiellen Kontinuität im Diskurs und ihren Ausdruck durch nominale Ausdrücke wie die eben genannten. Vielleicht haben wir ganz falsche Vorstellungen darüber, wie Kinder die begleitende Information – hier durch die Bilder einer Geschichte geliefert – verstehen und damit für den Spracherwerb verarbeiten. Derlei Beobachtungen sind zunächst einmal etwas Punktuelles, keine Antworten, sondern Hinweise auf Dinge, die man bedenken muss. Aber ihre Analyse, und allgemeiner, ein genauerer Blick auf das, was sich tatsächlich abspielt, wenn Kinder sich Kinderbücher anschauen, mag uns vielleicht zu einem wesentlich tieferen Verständnis dessen führen, was beim Erwerb einer Sprache tatsächlich geschieht.
  • Klein, W. (1982). Einleitung. Zeitschrift für Literaturwissenschaft und Linguistik; Metzler, Stuttgart, 12, 7-8.
  • Klein, W. (1998). Assertion and finiteness. In N. Dittmar, & Z. Penner (Eds.), Issues in the theory of language acquisition: Essays in honor of Jürgen Weissenborn (pp. 225-245). Bern: Peter Lang.
  • Klein, W., & Von Stutterheim, C. (2007). Einführung. Zeitschrift für Literaturwissenschaft und Linguistik; Metzler, Stuttgart, (145), 5-8.
  • Klein, W. (2007). Mechanismen des Erst- und Zweitspracherwerbs = Mechanisms of First and Second Language Acquisition. Sprache Stimme Gehör, 31, 138-143. doi:10.1055/s-2007-985818.

    Abstract

    Language acquisition is the transition between the language faculty, with which we are born as a part of our genetic endowment, to the mastery of one or more linguistic systems. There is a plethora of findings about this process; but these findings still do not form a coherent picture of the principles which underlie this process. There are at least six reasons for this situation. First, there is an enormous variability in the conditions under which this process occurs. Second, the learning capacity does not remain constant over time. Third, the process extends over many years and is therefore hard to study. Fourth, especially the investigation of the meaning side is problem-loaded. Fifth, many skills and types of knowledge must be learned in a more or less synchronised way. And sixth, our understanding of the functioning of linguistic systems is still very limited. Nevertheless, there are a few overarching results, three of which are discussed here: (1) There are salient differences between child and adult learners: While children normally end up with perfect mastery of the language to be learned, this is hardly ever the case for adults. On the hand, it could be shown for each linguistic property examined so far, that adults are in principle able to learn it up to perfection. So, adults can learn everything perfectly well, they just don’t. (2) Within childhood, age of onset plays no essential role for ultimate attainment. (3) Children care much more for formal correctness than adults - they are just better in mimicking existing systems. It is argued that age does not affect the „construction capacity”- the capacity to build up linguistic systems - but the „copying faculty”, i.e., the faculty to imitate an existing system.
  • Klein, W. (1982). Local deixis in route directions. In R. Jarvella, & W. Klein (Eds.), Speech, place, and action: Studies in deixis and related topics (pp. 161-182). New York: Wiley.
  • Klein, W. (1982). Pronoms personnels et formes d'acquisition. Encrages, 8/9, 42-46.
  • Klein, W. (1998). The contribution of second language acquisition research. Language Learning, 48, 527-550. doi:10.1111/0023-8333.00057.

    Abstract

    During the last 25 years, second language acquisition (SLA) research hasmade considerable progress, but is still far from proving a solid basis for foreign language teaching, or from a general theory of SLA. In addition, its status within the linguistic disciplines is still very low. I argue this has not much to do with low empirical or theoretical standards in the field—in this regard, SLA research is fully competitive—but with a particular perspective on the acquisition process: SLA researches learners' utterances as deviations from a certain target, instead of genuine manifestations of underlying language capacity; it analyses them in terms of what they are not rather than what they are. For some purposes such a "target deviation perspective" makes sense, but it will not help SLA researchers to substantially and independently contribute to a deeper understanding of the structure and function of the human language faculty. Therefore, these findings will remain of limited interest to other scientists until SLA researchers consider learner varieties a normal, in fact typical, manifestation of this unique human capacity.
  • Klein, W., & Extra, G. (1982). Second language acquisition by adult immigrants: A European Science Foundation project. In R. E. V. Stuip, & W. Zwanenburg (Eds.), Handelingen van het zevenendertigste Nederlandse Filologencongres (pp. 127-136). Amsterdam: APA-Holland Universiteitspers.
  • Klein, W., & Vater, H. (1998). The perfect in English and German. In L. Kulikov, & H. Vater (Eds.), Typology of verbal categories: Papers presented to Vladimir Nedjalkov on the occasion of his 70th birthday (pp. 215-235). Tübingen: Niemeyer.
  • Klein, W. (1998). Von der einfältigen Wißbegierde. Zeitschrift für Literaturwissenschaft und Linguistik, 112, 6-13.
  • Koenigs, M., Acheson, D. J., Barbey, A. K., Soloman, J., Postle, B. R., & Grafman, J. (2011). Areas of left perisylvian cortex mediate auditory-verbal short-term memory. Neuropsychologia, 49(13), 3612-3619. doi:10.1016/j.neuropsychologia.2011.09.013.

    Abstract

    A contentious issue in memory research is whether verbal short-term memory (STM) depends on a neural system specifically dedicated to the temporary maintenance of information, or instead relies on the same brain areas subserving the comprehension and production of language. In this study, we examined a large sample of adults with acquired brain lesions to identify the critical neural substrates underlying verbal STM and the relationship between verbal STM and language processing abilities. We found that patients with damage to selective regions of left perisylvian cortex – specifically the inferior frontal and posterior temporal sectors – were impaired on auditory–verbal STM performance (digit span), as well as on tests requiring the production and/or comprehension of language. These results support the conclusion that verbal STM and language processing are mediated by the same areas of left perisylvian cortex.

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  • Kokal, I., Engel, A., Kirschner, S., & Keysers, C. (2011). Synchronized drumming enhances activity in the caudate and facilitates prosocial commitment - If the rhythm comes easily. PLoS One, 6(11), e27272. doi:10.1371/journal.pone.0027272.

    Abstract

    Why does chanting, drumming or dancing together make people feel united? Here we investigate the neural mechanisms underlying interpersonal synchrony and its subsequent effects on prosocial behavior among synchronized individuals. We hypothesized that areas of the brain associated with the processing of reward would be active when individuals experience synchrony during drumming, and that these reward signals would increase prosocial behavior toward this synchronous drum partner. 18 female non-musicians were scanned with functional magnetic resonance imaging while they drummed a rhythm, in alternating blocks, with two different experimenters: one drumming in-synchrony and the other out-of-synchrony relative to the participant. In the last scanning part, which served as the experimental manipulation for the following prosocial behavioral test, one of the experimenters drummed with one half of the participants in-synchrony and with the other out-of-synchrony. After scanning, this experimenter "accidentally" dropped eight pencils, and the number of pencils collected by the participants was used as a measure of prosocial commitment. Results revealed that participants who mastered the novel rhythm easily before scanning showed increased activity in the caudate during synchronous drumming. The same area also responded to monetary reward in a localizer task with the same participants. The activity in the caudate during experiencing synchronous drumming also predicted the number of pencils the participants later collected to help the synchronous experimenter of the manipulation run. In addition, participants collected more pencils to help the experimenter when she had drummed in-synchrony than out-of-synchrony during the manipulation run. By showing an overlap in activated areas during synchronized drumming and monetary reward, our findings suggest that interpersonal synchrony is related to the brain's reward system.
  • Korvorst, M., Roelofs, A., & Levelt, W. J. M. (2007). Telling time from analog and digital clocks: A multiple-route account. Experimental Psychology, 54(3), 187-191. doi:10.1027/1618-3169.54.3.187.

    Abstract

    Does the naming of clocks always require conceptual preparation? To examine this question, speakers were presented with analog and digital clocks that had to be named in Dutch using either a relative (e.g., “quarter to four”) or an absolute (e.g., “three forty-five”) clock time expression format. Naming latencies showed evidence of conceptual preparation when speakers produced relative time expressions to analog and digital clocks, but not when they used absolute time expressions. These findings indicate that conceptual mediation is not always mandatory for telling time, but instead depends on clock time expression format, supporting a multiple-route account of Dutch clock time naming.
  • Köster, O., Hess, M. M., Schiller, N. O., & Künzel, H. J. (1998). The correlation between auditory speech sensitivity and speaker recognition ability. Forensic Linguistics: The international Journal of Speech, Language and the Law, 5, 22-32.

    Abstract

    In various applications of forensic phonetics the question arises as to how far aural-perceptual speaker recognition performance is reliable. Therefore, it is necessary to examine the relationship between speaker recognition results and human perception/production abilities like musicality or speech sensitivity. In this study, performance in a speaker recognition experiment and a speech sensitivity test are correlated. The results show a moderately significant positive correlation between the two tasks. Generally, performance in the speaker recognition task was better than in the speech sensitivity test. Professionals in speech and singing yielded a more homogeneous correlation than non-experts. Training in speech as well as choir-singing seems to have a positive effect on performance in speaker recognition. It may be concluded, firstly, that in cases where the reliability of voice line-up results or the credibility of a testimony have to be considered, the speech sensitivity test could be a useful indicator. Secondly, the speech sensitivity test might be integrated into the canon of possible procedures for the accreditation of forensic phoneticians. Both tests may also be used in combination.
  • Krämer, I. (1998). Children's interpretations of indefinite object noun phrases. Linguistics in the Netherlands, 1998, 163-174. doi:10.1075/avt.15.15kra.
  • Kristiansen, M., Deriziotis, P., Dimcheff, D. E., Jackson, G. S., Ovaa, H., Naumann, H., Clarke, A. R., van Leeuwen, F. W., Menéndez-Benito, V., Dantuma, N. P., Portis, J. L., Collinge, J., & Tabrizi, S. J. (2007). Disease-associated prion protein oligomers inhibit the 26S proteasome. Molecular Cell, 26, 175-188. doi:10.1016/j.molcel.2007.04.001.

    Abstract

    * Kristiansen, M., Deriziotis, P. These authors contributed equally to this work.* - The mechanism of cell death in prion disease is unknown but is associated with the production of a misfolded conformer of the prion protein. We report that disease-associated prion protein specifically inhibits the proteolytic β subunits of the 26S proteasome. Using reporter substrates, fluorogenic peptides, and an activity probe for the β subunits, this inhibitory effect was demonstrated in pure 26S proteasome and three different cell lines. By challenge with recombinant prion and other amyloidogenic proteins, we demonstrate that only the prion protein in a nonnative β sheet conformation inhibits the 26S proteasome at stoichiometric concentrations. Preincubation with an antibody specific for aggregation intermediates abrogates this inhibition, consistent with an oligomeric species mediating this effect. We also present evidence for a direct relationship between prion neuropathology and impairment of the ubiquitin-proteasome system (UPS) in prion-infected UPS-reporter mice. Together, these data suggest a mechanism for intracellular neurotoxicity mediated by oligomers of misfolded prion protein.

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  • Kucera, K. S., Reddy, T. E., Pauli, F., Gertz, J., Logan, J. E., Myers, R. M., & Willard, H. F. (2011). Allele-specific distribution of RNA polymerase II on female X chromosomes. Human Molecular Genetics, 20, 3964-3973. doi:10.1093/hmg/ddr315.

    Abstract

    While the distribution of RNA polymerase II (PolII) in a variety of complex genomes is correlated with gene expression, the presence of PolII at a gene does not necessarily indicate active expression. Various patterns of PolII binding have been described genome wide; however, whether or not PolII binds at transcriptionally inactive sites remains uncertain. The two X chromosomes in female cells in mammals present an opportunity to examine each of the two alleles of a given locus in both active and inactive states, depending on which X chromosome is silenced by X chromosome inactivation. Here, we investigated PolII occupancy and expression of the associated genes across the active (Xa) and inactive (Xi) X chromosomes in human female cells to elucidate the relationship of gene expression and PolII binding. We find that, while PolII in the pseudoautosomal region occupies both chromosomes at similar levels, it is significantly biased toward the Xa throughout the rest of the chromosome. The general paucity of PolII on the Xi notwithstanding, detectable (albeit significantly reduced) binding can be observed, especially on the evolutionarily younger short arm of the X. PolII levels at genes that escape inactivation correlate with the levels of their expression; however, additional PolII sites can be found at apparently silenced regions, suggesting the possibility of a subset of genes on the Xi that are poised for expression. Consistent with this hypothesis, we show that a high proportion of genes associated with PolII-accessible sites, while silenced in GM12878, are expressed in other female cell lines.
  • Kuijpers, C. T., Coolen, R., Houston, D., & Cutler, A. (1998). Using the head-turning technique to explore cross-linguistic performance differences. In C. Rovee-Collier, L. Lipsitt, & H. Hayne (Eds.), Advances in infancy research: Vol. 12 (pp. 205-220). Stamford: Ablex.
  • Kuiper, K., Van Egmond, M.-E., Kempen, G., & Sprenger, S. A. (2007). Slipping on superlemmas: Multiword lexical items in speech production. The Mental Lexicon, 2(3), 313-357.

    Abstract

    Only relatively recently have theories of speech production concerned themselves with the part idioms and other multi-word lexical items (MLIs) play in the processes of speech production. Two theories of speech production which attempt to account for the accessing of idioms in speech production are those of Cutting and Bock (1997) and superlemma theory (Sprenger, 2003; Sprenger, Levelt, & Kempen, 2006). Much of the data supporting theories of speech production comes either from time course experiments or from slips of the tongue (Bock & Levelt, 1994). The latter are of two kinds: experimentally induced (Baars, 1992) or naturally observed (Fromkin, 1980). Cutting and Bock use experimentally induced speech errors while Sprenger et al. use time course experiments. The missing data type that has a bearing on speech production involving MLIs is that of naturally occurring slips. In this study the impact of data taken from naturally observed slips involving English and Dutch MLIs are brought to bear on these theories. The data are taken initially from a corpus of just over 1000 naturally observed English slips involving MLIs (the Tuggy corpus). Our argument proceeds as follows. First we show that slips occur independent of whether or not there are MLIs involved. In other words, speech production proceeds in certain of its aspects as though there were no MLI present. We illustrate these slips from the Tuggy data. Second we investigate the predictions of superlemma theory. Superlemma theory (Sprenger et al., 2006) accounts for the selection of MLIs and how their properties enter processes of speech production. It predicts certain activation patterns dependent on a MLI being selected. Each such pattern might give rise to slips of the tongue. This set of predictions is tested against the Tuggy data. Each of the predicted activation patterns yields a significant number of slips. These findings are therefore compatible with a view of MLIs as single units in so far as their activation by lexical concepts goes. However, the theory also predicts that some slips are likely not to occur. We confirm that such slips are not present in the data. These findings are further corroborated by reference a second smaller dataset of slips involving Dutch MLIs (the Kempen corpus). We then use slips involving irreversible binomials to distinguish between the predictions of superlemma theory which are supported by slips involving irreversible binomials and the Cutting and Bock model's predictions for slips involving these MLIs which are not
  • Kuperman, V., Pluymaekers, M., Ernestus, M., & Baayen, R. H. (2007). Morphological predictability and acoustic duration of interfixes in Dutch compounds. Journal of the Acoustical Society of America, 121(4), 2261-2271. doi:10.1121/1.2537393.

    Abstract

    This study explores the effects of informational redundancy, as carried by a word's morphological paradigmatic structure, on acoustic duration in read aloud speech. The hypothesis that the more predictable a linguistic unit is, the less salient its realization, was tested on the basis of the acoustic duration of interfixes in Dutch compounds in two datasets: One for the interfix -s- (1155 tokens) and one for the interfix -e(n)- (742 tokens). Both datasets show that the more probable the interfix is, given the compound and its constituents, the longer it is realized. These findings run counter to the predictions of information-theoretical approaches and can be resolved by the Paradigmatic Signal Enhancement Hypothesis. This hypothesis argues that whenever selection of an element from alternatives is probabilistic, the element's duration is predicted by the amount of paradigmatic support for the element: The most likely alternative in the paradigm of selection is realized longer.
  • Kuzla, C., Cho, T., & Ernestus, M. (2007). Prosodic strengthening of German fricatives in duration and assimilatory devoicing. Journal of Phonetics, 35(3), 301-320. doi:10.1016/j.wocn.2006.11.001.

    Abstract

    This study addressed prosodic effects on the duration of and amount of glottal vibration in German word-initial fricatives /f, v, z/ in assimilatory and non-assimilatory devoicing contexts. Fricatives following /small schwa/ (non-assimilation context) were longer and were produced with less glottal vibration after higher prosodic boundaries, reflecting domain-initial prosodic strengthening. After /t/ (assimilation context), lenis fricatives (/v, z/) were produced with less glottal vibration than after /small schwa/, due to assimilatory devoicing. This devoicing was especially strong across lower prosodic boundaries, showing the influence of prosodic structure on sandhi processes. Reduction in glottal vibration made lenis fricatives more fortis-like (/f, s/). Importantly, fricative duration, another major cue to the fortis-lenis distinction, was affected by initial lengthening, but not by assimilation. Hence, at smaller boundaries, fricatives were more devoiced (more fortis-like), but also shorter (more lenis-like). As a consequence, the fortis and lenis fricatives remained acoustically distinct in all prosodic and segmental contexts. Overall, /z/ was devoiced to a greater extent than /v/. Since /z/ does not have a fortis counterpart in word-initial position, these findings suggest that phonotactic restrictions constrain phonetic processes. The present study illuminates a complex interaction of prosody, sandhi processes, and phonotactics, yielding systematic phonetic cues to prosodic structure and phonological distinctions.
  • Kuzla, C., & Ernestus, M. (2011). Prosodic conditioning of phonetic detail in German plosives. Journal of Phonetics, 39, 143-155. doi:10.1016/j.wocn.2011.01.001.

    Abstract

    This study investigates the prosodic conditioning of phonetic details which are candidate cues to phonological contrasts. German /b, d, g, p, t, k/ were examined in three prosodic positions. Lenis plosives /b, d, g/ were produced with less glottal vibration at larger prosodic boundaries, whereas their VOT showed no effect of prosody. VOT of fortis plosives /p, t, k/ decreased at larger boundaries, as did their burst intensity maximum. Vowels (when measured from consonantal release) following fortis plosives and lenis velars were shorter after larger boundaries. Closure duration, which did not contribute to the fortis/lenis contrast, was heavily affected by prosody. These results support neither of the hitherto proposed accounts of prosodic strengthening (Uniform Strengthening and Feature Enhancement). We propose a different account, stating that the phonological identity of speech sounds remains stable not only within, but also across prosodic positions (contrast-over-prosody hypothesis). Domain-initial strengthening hardly diminishes the contrast between prosodically weak fortis and strong lenis plosives.
  • Laaksonen, H., Kujala, J., Hultén, A., Liljeström, M., & Salmelin, R. (2011). MEG evoked responses and rhythmic activity provide spatiotemporally complementary measures of neural activity in language production. NeuroImage, 60, 29-36. doi:MEG evoked responses and rhythmic activity provide spatiotemporally complementary measures of neural activity in language production.

    Abstract

    Phase-locked evoked responses and event-related modulations of spontaneous rhythmic activity are the two main approaches used to quantify stimulus- or task-related changes in electrophysiological measures. The relationship between the two has beenwidely theorized upon but empirical research has been limited to the primary visual and sensorimotor cortex. However, both evoked responses and rhythms have been used as markers of neural activity in paradigms ranging from simple sensory to complex cognitive tasks.While some spatial agreement between the two phenomena has been observed, typically only one of the measures has been used in any given study, thus disallowing a direct evaluation of their exact spatiotemporal relationship. In this study, we sought to systematically clarify the connection between evoked responses and rhythmic activity. Using both measures, we identified the spatiotemporal patterns of task effects in three magnetoencephalography (MEG) data sets, all variants of a picture naming task. Evoked responses and rhythmic modulation yielded largely separate networks, with spatial overlap mainly in the sensorimotor and primary visual areas.Moreover, in the cortical regions thatwere identified with both measures the experimental effects they conveyed differed in terms of timing and function. Our results suggest that the two phenomena are largely detached and that both measures are needed for an accurate portrayal of brain activity.
  • Lacan, M., Keyser, C., Ricaut, F.-X., Brucato, N., Duranthon, F., Guilaine, J., Crubézy, E., & Ludes, B. (2011). Ancient DNA reveals male diffusion through the Neolithic Mediterranean route. Proceedings of the National Academy of Sciences of the United States of America, 108, 9788-9791. doi:10.1073/pnas.1100723108.

    Abstract

    The Neolithic is a key period in the history of the European settlement. Although archaeological and present-day genetic data suggest several hypotheses regarding the human migration patterns at this period, validation of these hypotheses with the use of ancient genetic data has been limited. In this context, we studied DNA extracted from 53 individuals buried in a necropolis used by a French local community 5,000 y ago. The relatively good DNA preservation of the samples allowed us to obtain autosomal, Y-chromosomal, and/or mtDNA data for 29 of the 53 samples studied. From these datasets, we established close parental relationships within the necropolis and determined maternal and paternal lineages as well as the absence of an allele associated with lactase persistence, probably carried by Neolithic cultures of central Europe. Our study provides an integrative view of the genetic past in southern France at the end of the Neolithic period. Furthermore, the Y-haplotype lineages characterized and the study of their current repartition in European populations confirm a greater influence of the Mediterranean than the Central European route in the peopling of southern Europe during the Neolithic transition.
  • Lacan, M., Keyser, C., Ricaut, F.-X., Brucato, N., Tarrús, J., Bosch, A., Guilaine, J., Crubézy, E., & Ludes, B. (2011). Ancient DNA suggests the leading role played by men in the Neolithic dissemination. Proceedings of the National Academy of Sciences of the United States of America, 108, 18255-18259. doi:10.1073/pnas.1113061108.

    Abstract

    The impact of the Neolithic dispersal on the western European populations is subject to continuing debate. To trace and date genetic lineages potentially brought during this transition and so understand the origin of the gene pool of current populations, we studied DNA extracted from human remains excavated in a Spanish funeral cave dating from the beginning of the fifth millennium B.C. Thanks to a “multimarkers” approach based on the analysis of mitochondrial and nuclear DNA (autosomes and Y-chromosome), we obtained information on the early Neolithic funeral practices and on the biogeographical origin of the inhumed individuals. No close kinship was detected. Maternal haplogroups found are consistent with pre-Neolithic settlement, whereas the Y-chromosomal analyses permitted confirmation of the existence in Spain approximately 7,000 y ago of two haplogroups previously associated with the Neolithic transition: G2a and E1b1b1a1b. These results are highly consistent with those previously found in Neolithic individuals from French Late Neolithic individuals, indicating a surprising temporal genetic homogeneity in these groups. The high frequency of G2a in Neolithic samples in western Europe could suggest, furthermore, that the role of men during Neolithic dispersal could be greater than currently estimated.

    Additional information

    Supporting_Information_Lacan.pdf
  • Lai, J., & Poletiek, F. H. (2011). The impact of adjacent-dependencies and staged-input on the learnability of center-embedded hierarchical structures. Cognition, 118(2), 265-273. doi:10.1016/j.cognition.2010.11.011.

    Abstract

    A theoretical debate in artificial grammar learning (AGL) regards the learnability of hierarchical structures. Recent studies using an AnBn grammar draw conflicting conclusions (Bahlmann and Friederici, 2006, De Vries et al., 2008). We argue that 2 conditions crucially affect learning AnBn structures: sufficient exposure to zero-level-of-embedding (0-LoE) exemplars and a staged-input. In 2 AGL experiments, learning was observed only when the training set was staged and contained 0-LoE exemplars. Our results might help understanding how natural complex structures are learned from exemplars.
  • Leckband, D. E., Menon, S., Rosenberg, K., Graham, S. A., Taylor, M. E., & Drickamer, K. (2011). Geometry and adhesion of extracellular domains of DC-SIGNR neck length variants analyzed by force-distance measurements. Biochemistry, 50, 6125-6132. doi:10.1021/bi2003444.

    Abstract

    Force-distance measurements have been used to examine differences in the interaction of the dendritic cell glycan-binding receptor DC-SIGN and the closely related endothelial cell receptor DC-SIGNR (L-SIGN) with membranes bearing glycan ligands. The results demonstrate that upon binding to membrane-anchored ligand, DC-SIGNR undergoes a conformational change similar to that previously observed for DC-SIGN. The results also validate a model for the extracellular domain of DC-SIGNR derived from crystallographic studies. Force measurements were performed with DC-SIGNR variants that differ in the length of the neck that result from genetic polymorphisms, which encode different numbers of the 23-amino acid repeat sequences that constitute the neck. The findings are consistent with an elongated, relatively rigid structure of the neck repeat observed in crystals. In addition, differences in the lengths of DC-SIGN and DC-SIGNR extracellular domains with equivalent numbers of neck repeats support a model in which the different dispositions of the carbohydrate-recognition domains in DC-SIGN and DC-SIGNR result from variations in the sequences of the necks.
  • Lehtonen, M., Cunillera, T., Rodríguez-Fornells, A., Hultén, A., Tuomainen, J., & Laine, M. (2007). Recognition of morphologically complex words in Finnish: Evidence from event-related potentials. Brain Research, 1148, 123-137. doi:10.1016/j.brainres.2007.02.026.

    Abstract

    The temporal dynamics of processing morphologically complex words was investigated by recording event-related brain potentials (ERPs) when native Finnish-speakers performed a visual lexical decision task. Behaviorally, there is evidence that recognition of inflected nouns elicits a processing cost (i.e., longer reaction times and higher error rates) in comparison to matched monomorphemic words. We aimed to reveal whether the processing cost stems from decomposition at the early visual word form level or from recomposition at the later semantic–syntactic level. The ERPs showed no early effects for morphology, but revealed an interaction with word frequency at a late N400-type component, as well as a late positive component that was larger for inflected words. These results suggest that the processing cost stems mainly from the semantic–syntactic level. We also studied the features of the morphological decomposition route by investigating the recognition of pseudowords carrying real morphemes. The results showed no differences between inflected vs. uninflected pseudowords with a false stem, but differences in relation to those with a real stem, suggesting that a recognizable stem is needed to initiate the decomposition route.
  • Levelt, W. J. M. (1982). Cognitive styles in the use of spatial direction terms. In R. Jarvella, & W. Klein (Eds.), Speech, place, and action: Studies in deixis and related topics (pp. 251-268). Chichester: Wiley.
  • Levelt, W. J. M., Praamstra, P., Meyer, A. S., Helenius, P., & Salmelin, R. (1998). An MEG study of picture naming. Journal of Cognitive Neuroscience, 10(5), 553-567. doi:10.1162/089892998562960.

    Abstract

    The purpose of this study was to relate a psycholinguistic processing model of picture naming to the dynamics of cortical activation during picture naming. The activation was recorded from eight Dutch subjects with a whole-head neuromagnetometer. The processing model, based on extensive naming latency studies, is a stage model. In preparing a picture's name, the speaker performs a chain of specific operations. They are, in this order, computing the visual percept, activating an appropriate lexical concept, selecting the target word from the mental lexicon, phonological encoding, phonetic encoding, and initiation of articulation. The time windows for each of these operations are reasonably well known and could be related to the peak activity of dipole sources in the individual magnetic response patterns. The analyses showed a clear progression over these time windows from early occipital activation, via parietal and temporal to frontal activation. The major specific findings were that (1) a region in the left posterior temporal lobe, agreeing with the location of Wernicke's area, showed prominent activation starting about 200 msec after picture onset and peaking at about 350 msec, (i.e., within the stage of phonological encoding), and (2) a consistent activation was found in the right parietal cortex, peaking at about 230 msec after picture onset, thus preceding and partly overlapping with the left temporal response. An interpretation in terms of the management of visual attention is proposed.
  • Levelt, W. J. M. (1966). Generatieve grammatica en psycholinguïstiek I: Inleiding in de generatieve grammatica. Nederlands Tijdschrift voor de Psychologie en haar Grensgebieden, 21, 317-337.
  • Levelt, W. J. M. (1966). Generatieve grammatica en psycholinguïstiek II. Psycholinguïstisch onderzoek. Nederlands Tijdschrift voor de Psychologie en haar Grensgebieden, 21, 367-400.
  • Levelt, W. J. M. (1962). Motion breaking and the perception of causality. In A. Michotte (Ed.), Causalité, permanence et réalité phénoménales: Etudes de psychologie expérimentale (pp. 244-258). Louvain: Publications Universitaires.
  • Levelt, W. J. M., & Plomp, R. (1966). Les dimensions dans la perception des intervalles musicaux. Sciences de l'art, 3, 172-182.
  • Levelt, W. J. M. (2007). Levensbericht Detlev W. Ploog. In Levensberichten en herdenkingen 2007 (pp. 60-63). Amsterdam: Koninklijke Nederlandse Akademie van Wetenschappen.
  • Levelt, W. J. M. (1982). Het lineariseringsprobleem van de spreker. Tijdschrift voor Taal- en Tekstwetenschap (TTT), 2(1), 1-15.
  • Levelt, W. J. M. (1982). Linearization in describing spatial networks. In S. Peters, & E. Saarinen (Eds.), Processes, beliefs, and questions (pp. 199-220). Dordrecht - Holland: D. Reidel.

    Abstract

    The topic of this paper is the way in which speakers order information in discourse. I will refer to this issue with the term "linearization", and will begin with two types of general remarks. The first one concerns the scope and relevance of the problem with reference to some existing literature. The second set of general remarks will be about the place of linearization in a theory of the speaker. The following, and main part of this paper, will be a summary report of research of linearization in a limited, but well-defined domain of discourse, namely the description of spatial networks.
  • Levelt, W. J. M., & Schiller, N. O. (1998). Is the syllable frame stored? [Commentary on the BBS target article 'The frame/content theory of evolution of speech production' by Peter F. McNeilage]. Behavioral and Brain Sciences, 21, 520.

    Abstract

    This commentary discusses whether abstract metrical frames are stored. For stress-assigning languages (e.g., Dutch and English), which have a dominant stress pattern, metrical frames are stored only for words that deviate from the default stress pattern. The majority of the words in these languages are produced without retrieving any independent syllabic or metrical frame.
  • Levelt, W. J. M. (1966). The alternation process in binocular rivalry. British Journal of Psychology, 57(3/4), 225-238.
  • Levelt, W. J. M. (1966). Some demonstrations of the complementary functioning of the eyes. Perception & Psychophysics, 1, 39-40.
  • Levelt, W. J. M., & Kelter, S. (1982). Surface form and memory in question answering. Cognitive Psychology, 14, 78-106. doi:10.1016/0010-0285(82)90005-6.

    Abstract

    Speakers tend to repeat materials from previous talk. This tendency is experimentally established and manipulated in various question-answering situations. It is shown that a question's surface form can affect the format of the answer given, even if this form has little semantic or conversational consequence, as in the pair Q: (At) what time do you close. A: “(At)five o'clock.” Answerers tend to match the utterance to the prepositional (nonprepositional) form of the question. This “correspondence effect” may diminish or disappear when, following the question, additional verbal material is presented to the answerer. The experiments show that neither the articulatory buffer nor long-term memory is normally involved in this retention of recent speech. Retaining recent speech in working memory may fulfill a variety of functions for speaker and listener, among them the correct production and interpretation of surface anaphora. Reusing recent materials may, moreover, be more economical than regenerating speech anew from a semantic base, and thus contribute to fluency. But the realization of this strategy requires a production system in which linguistic formulation can take place relatively independent of, and parallel to, conceptual planning.
  • Levelt, W. J. M. (1982). Science policy: Three recent idols, and a goddess. IPO Annual Progress Report, 17, 32-35.
  • Levelt, W. J. M. (1966). The perceptual conflict in binocular rivalry. In M. A. Bouman (Ed.), Studies in perception: Dedicated to M.A. Bouman (pp. 47-60). Soesterberg: Institute for Perception RVO-TNO.
  • Levelt, W. J. M. (1998). The genetic perspective in psycholinguistics, or: Where do spoken words come from? Journal of Psycholinguistic Research, 27(2), 167-180. doi:10.1023/A:1023245931630.

    Abstract

    The core issue in the 19-century sources of psycholinguistics was the question, "Where does language come from?'' This genetic perspective unified the study of the ontogenesis, the phylogenesis, the microgenesis, and to some extent the neurogenesis of language. This paper makes the point that this original perspective is still a valid and attractive one. It is exemplified by a discussion of the genesis of spoken words.
  • Levelt, W. J. M. (1982). Zelfcorrecties in het spreekproces. KNAW: Mededelingen van de afdeling letterkunde, nieuwe reeks, 45(8), 215-228.
  • Levelt, W. J. M., Van de Geer, J. P., & Plomp, R. (1966). Triadic comparisons of musical intervals. British Journal of Mathematical & Statistical Psychology, 19(2), 163-179.
  • Levinson, S. C. (2007). Optimizing person reference - perspectives from usage on Rossel Island. In N. Enfield, & T. Stivers (Eds.), Person reference in interaction: Linguistic, cultural, and social perspectives (pp. 29-72). Cambridge: Cambridge University Press.

    Abstract

    This chapter explicates the requirement in person–reference for balancing demands for recognition, minimalization, explicitness and indirection. This is illustrated with reference to data from repair of failures of person–reference within a particular linguistic/cultural context, namely casual interaction among Rossel Islanders. Rossel Island (PNG) offers a ‘natural experiment’ for studying aspects of person reference, because of a number of special properties: 1. It is a closed universe of 4000 souls, sharing one kinship network, so in principle anyone could be recognizable from a reference. As a result no (complex) descriptions (cf. ‘ the author of Waverly’) are employed. 2. Names, however, are never uniquely referring, since they are drawn from a fixed pool. They are only used for about 25% of initial references, another 25% of initial references being done by kinship triangulation (‘that man’s father–in–law’). Nearly 50% of initial references are semantically underspecified or vague (e.g. ‘that girl’). 3. There are systematic motivations for oblique reference, e.g. kinship–based taboos and other constraints, which partly account for the underspecified references. The ‘natural experiment’ thus reveals some gneral lessons about how person–reference requires optimizing multiple conflicting constraints. Comparison with Sacks and Schegloff’s (1979) treatment of English person reference suggests a way to tease apart the universal and the culturally–particular.
  • Levinson, S. C. (1982). Caste rank and verbal interaction in Western Tamilnadu. In D. B. McGilvray (Ed.), Caste ideology and interaction (pp. 98-203). Cambridge University Press.
  • Levinson, S. C. (1998). Deixis. In J. L. Mey (Ed.), Concise encyclopedia of pragmatics (pp. 200-204). Amsterdam: Elsevier.
  • Levinson, S. C. (2011). Deixis [Reprint]. In D. Archer, & P. Grundy (Eds.), The pragmatics reader (pp. 163-185). London: Routledge.

    Abstract

    Reproduced with permission of Blackwell Publishing from: Levinson, S. C. (2004) 'Deixis'. In: Horn, L.R. and Ward, G. (Eds.) The Handbook of Pragmatics. Oxford: Blackwell Publishing, pp. 100-121
  • Levinson, S. C., Senft, G., & Majid, A. (2007). Emotion categories in language and thought. In A. Majid (Ed.), Field Manual Volume 10 (pp. 46-52). Nijmegen: Max Planck Institute for Psycholinguistics. doi:10.17617/2.492892.
  • Levinson, S. C. (2007). Cut and break verbs in Yélî Dnye, the Papuan language of Rossel Island. Cognitive Linguistics, 18(2), 207-218. doi:10.1515/COG.2007.009.

    Abstract

    The paper explores verbs of cutting and breaking (C&B, hereafter) in Yeli Dnye, the Papuan language of Rossel Island. The Yeli Dnye verbs covering the C&B domain do not divide it in the expected way, with verbs focusing on special instruments and manners of action on the one hand, and verbs focusing on the resultant state on the other. Instead, just three transitive verbs and their intransitive counterparts cover most of the domain, and they are all based on 'exotic' distinctions in mode of severance[--]coherent severance with the grain vs. against the grain, and incoherent severance (regardless of grain).
  • Levinson, S. C. (2011). Foreword. In D. M. Mark, A. G. Turk, N. Burenhult, & D. Stea (Eds.), Landscape in language: Transdisciplinary perspectives (pp. ix-x). Amsterdam: John Benjamins.
  • Levinson, S. C. (1998). Minimization and conversational inference. In A. Kasher (Ed.), Pragmatics: Vol. 4 Presupposition, implicature and indirect speech acts (pp. 545-612). London: Routledge.
  • Levinson, S. C., Majid, A., & Enfield, N. J. (2007). Language of perception: The view from language and culture. In A. Majid (Ed.), Field Manual Volume 10 (pp. 10-21). Nijmegen: Max Planck Institute for Psycholinguistics. doi:10.17617/2.468738.
  • Levinson, S. C. (2011). Presumptive meanings [Reprint]. In D. Archer, & P. Grundy (Eds.), The pragmatics reader (pp. 86-98). London: Routledge.

    Abstract

    Reprinted with permission of The MIT Press from Levinson (2000) Presumptive meanings: The theory of generalized conversational implicature, pp. 112-118, 116-167, 170-173, 177-180. MIT Press
  • Levinson, S. C. (2011). Reciprocals in Yélî Dnye, the Papuan language of Rossel Island. In N. Evans, A. Gaby, S. C. Levinson, & A. Majid (Eds.), Reciprocals and semantic typology (pp. 177-194). Amsterdam: Benjamins.

    Abstract

    Yélî Dnye has two discernable dedicated constructions for reciprocal marking. The first and main construction uses a dedicated reciprocal pronoun numo, somewhat like English each other. We can recognise two subconstructions. First, the ‘numo-construction’, where the reciprocal pronoun is a patient of the verb, and where the invariant pronoun numo is obligatorily incorporated, triggering intransitivisation (e.g. A-NPs become absolutive). This subconstruction has complexities, for example in the punctual aspect only, the verb is inflected like a transitive, but with enclitics mismatching actual person/number. In the second variant or subconstruction, the ‘noko-construction’, the same reciprocal pronoun (sometimes case-marked as noko) occurs but now in oblique positions with either transitive or intransitive verbs. The reciprocal element here has some peculiar binding properties. Finally, the second independent construction is a dedicated periphrastic (or woni…woni) construction, glossing ‘the one did X to the other, and the other did X to the one’. It is one of the rare cross-serial dependencies that show that natural languages cannot be modelled by context-free phrase-structure grammars. Finally, the usage of these two distinct constructions is discussed.
  • Levinson, S. C. (1982). Speech act theory: The state of the art. In V. Kinsella (Ed.), Surveys 2. Eight state-of-the-art articles on key areas in language teaching. Cambridge University Press.
  • Levinson, S. C. (1998). Studying spatial conceptualization across cultures: Anthropology and cognitive science. Ethos, 26(1), 7-24. doi:10.1525/eth.1998.26.1.7.

    Abstract

    Philosophers, psychologists, and linguists have argued that spatial conception is pivotal to cognition in general, providing a general, egocentric, and universal framework for cognition as well as metaphors for conceptualizing many other domains. But in an aboriginal community in Northern Queensland, a system of cardinal directions informs not only language, but also memory for arbitrary spatial arrays and directions. This work suggests that fundamental cognitive parameters, like the system of coding spatial locations, can vary cross-culturally, in line with the language spoken by a community. This opens up the prospect of a fruitful dialogue between anthropology and the cognitive sciences on the complex interaction between cultural and universal factors in the constitution of mind.
  • Levinson, S. C. (2011). Pojmowanie przestrzeni w różnych kulturach [Polish translation of Levinson, S. C. 1998. Studying spatial conceptualization across cultures]. Autoportret, 33, 16-23.

    Abstract

    Polish translation of Levinson, S. C. (1998). Studying spatial conceptualization across cultures: Anthropology and cognitive science. Ethos, 26(1), 7-24. doi:10.1525/eth.1998.26.1.7
  • Levinson, S. C., & Majid, A. (2007). The language of sound. In A. Majid (Ed.), Field Manual Volume 10 (pp. 29-31). Nijmegen: Max Planck Institute for Psycholinguistics. doi:10.17617/2.468735.
  • Levinson, S. C., & Majid, A. (2007). The language of vision II: Shape. In A. Majid (Ed.), Field Manual Volume 10 (pp. 26-28). Nijmegen: Max Planck Institute for Psycholinguistics. doi:10.17617/2.468732.
  • Levinson, S. C. (2011). Three levels of meaning: Essays in honor of Sir John Lyons [Reprint]. In A. Kasher (Ed.), Pragmatics II. London: Routledge.

    Abstract

    Reprint from Stephen C. Levinson, ‘Three Levels of Meaning’, in Frank Palmer (ed.), Grammar and Meaning: Essays in Honor of Sir John Lyons (Cambridge University Press, 1995), pp. 90–115
  • Levinson, S. C., Greenhill, S. J., Gray, R. D., & Dunn, M. (2011). Universal typological dependencies should be detectable in the history of language families. Linguistic Typology, 15, 509-534. doi:10.1515/LITY.2011.034.

    Abstract

    1. Introduction We claim that making sense of the typological diversity of languages demands a historical/evolutionary approach.We are pleased that the target paper (Dunn et al. 2011a) has served to bring discussion of this claim into prominence, and are grateful that leading typologists have taken the time to respond (commentaries denoted by boldface). It is unfortunate though that a number of the commentaries in this issue of LT show significant misunderstandings of our paper. Donohue thinks we were out to show the stability of typological features, but that was not our target at all (although related methods can be used to do that: see, e.g., Greenhill et al. 2010a, Dediu 2011a). Plank seems to think we were arguing against universals of any type, but our target was in fact just the implicational universals of word order that have been the bread and butter of typology. He also seems to think we ignore diachrony, whereas in fact the method introduces diachrony centrally into typological reasoning, thereby potentially revolutionising typology (see Cysouw’s commentary). Levy & Daumé think we were testing for lineage-specificity, whereas that was in fact an outcome (the main finding) of our testing for correlated evolution. Dryer thinks we must account for the distribution of language types around the world, but that was not our aim: our aim was to test the causal connection between linguistic variables by taking the perspective of language evolution (diversification and change). Longobardi & Roberts seem to think we set out to extract family trees from syntactic features, but our goal was in fact to use trees based on lexical cognates and hang reconstructed syntactic states on each node of these trees, thereby reconstructing the processes of language change.
  • Levinson, S. C. (2011). Universals in pragmatics. In P. C. Hogan (Ed.), The Cambridge encyclopedia of the language sciences (pp. 654-657). New York: Cambridge University Press.

    Abstract

    Changing Prospects for Universals in Pragmatics
    The term PRAGMATICS has come to denote the study of general principles of language use. It is usually understood to contrast with SEMANTICS, the study of encoded meaning, and also, by some authors, to contrast with SOCIOLINGUISTICS
    and the ethnography of speaking, which are more concerned with local sociocultural practices. Given that pragmaticists come from disciplines as varied as philosophy, sociology,
    linguistics, communication studies, psychology, and anthropology, it is not surprising that definitions of pragmatics vary. Nevertheless, most authors agree on a list of topics
    that come under the rubric, including DEIXIS, PRESUPPOSITION,
    implicature (see CONVERSATIONAL IMPLICATURE), SPEECH-ACTS, and conversational organization (see CONVERSATIONAL ANALYSIS). Here, we can use this extensional definition as a starting point (Levinson 1988; Huang 2007).
  • Lindell, A. K., & Kidd, E. (2011). Why right-brain teaching is half-witted: A critique of the misapplication of neuroscience to education. Mind, Brain and Education, 5(3), 121-127. doi:10.1111/j.1751-228X.2011.01120.x.

    Abstract

    Educational tools claiming to use “right-brain techniques” are increasingly shaping school curricula. By implying a strong scientific basis, such approaches appeal to educators who rightly believe that knowledge of the brain should guide curriculum development. However, the notion of hemisphericity (idea that people are “left-brained” or “right-brained”) is a neuromyth that was debunked in the scientific literature 25 years ago. This article challenges the validity of “right-brain” teaching, highlighting the fact that neuroscientific research does not support its claims. Providing teachers with a basic understanding of neuroscience research as part of teacher training would enable more effective evaluation of brain-based claims and facilitate the adoption of tools validated by rigorous independent research rather than programs based on pseudoscience.
  • Lindström, E., Terrill, A., Reesink, G., & Dunn, M. (2007). The languages of Island Melanesia. In J. S. Friedlaender (Ed.), Genes, language, and culture history in the Southwest Pacific (pp. 118-140). Oxford: Oxford University Press.

    Abstract

    This chapter provides an overview of the Papuan and the Oceanic languages (a branch of Austronesian) in Northern Island Melanesia, as well as phenomena arising through contact between these groups. It shows how linguistics can contribute to the understanding of the history of languages and speakers, and what the findings of those methods have been. The location of the homeland of speakers of Proto-Oceanic is indicated (in northeast New Britain); many facets of the lives of those speakers are shown; and the patterns of their subsequent spread across Island Melanesia and beyond into Remote Oceania are indicated, followed by a second wave overlaying the first into New Guinea and as far as halfway through the Solomon Islands. Regarding the Papuan languages of this region, at least some are older than the 6,000-10,000 ceiling of the Comparative Method, and their relations are explored with the aid of a database of 125 non-lexical structural features. The results reflect archipelago-based clustering with the Central Solomons Papuan languages forming a clade either with the Bismarcks or with Bougainville languages. Papuan languages in Bougainville are less influenced by Oceanic languages than those in the Bismarcks and the Solomons. The chapter considers a variety of scenarios to account for their findings, concluding that the results are compatible with multiple pre-Oceanic waves of arrivals into the area after initial settlement.

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