Publications

Displaying 101 - 200 of 344
  • Floyd, S. (2018). Egophoricity and argument structure in Cha'palaa. In S. Floyd, E. Norcliffe, & L. San Roque (Eds.), Egophoricity (pp. 269-304). Amsterdam: Benjamins.

    Abstract

    The Cha’palaa language of Ecuador (Barbacoan) features verbal morphology for marking knowledge-based categories that, in usage, show a variant of the cross-linguistically recurrent pattern of ‘egophoric distribution': specific forms associate with speakers in contrast to others in statements and with addressees in contrast to others in questions. These are not person markers, but rather are used by speakers to portray their involvement in states of affairs as active, agentive participants (ego) versus other types of involvement (non-ego). They interact with person and argument structure, but through pragmatic ‘person sensitivities’ rather than through grammatical agreement. Not only does this pattern appear in verbal morphology, it also can be observed in alternations of predicate construction types and case alignment, helping to show how egophoric marking is a pervasive element of Cha'palaa's linguistic system. This chapter gives a first account of egophoricity in Cha’palaa, beginning with a discussion of person sensitivity, egophoric distribution, and issues of flexibility of marking with respect to degree of volition or control. It then focuses on a set of intransitive experiencer (or ‘endopathic') predicates that refer to internal states which mark egophoric values for the undergoer role, not the actor role, showing ‘quirky’ accusative marking instead of nominative case. It concludes with a summary of how egophoricity in Cha'palaa interacts with issues of argument structure in comparison to a language with person agreement, here represented by examples from Cha’palaa’s neighbor Ecuadorian Highland Quechua.
  • Forkel, S. J., & Catani, M. (2018). Structural Neuroimaging. In A. De Groot, & P. Hagoort (Eds.), Research Methods in Psycholinguistics and the Neurobiology of Language: A Practical Guide (pp. 288-308). Hoboken: Wiley. doi:10.1002/9781394259762.ch15.

    Abstract

    Structural imaging based on computerized tomography (CT) and magnetic resonance imaging (MRI) has progressively replaced traditional post‐mortem studies in the process of identifying the neuroanatomical basis of language. In the clinical setting, the information provided by structural imaging has been used to confirm the exact diagnosis and formulate an individualized treatment plan. In the research arena, neuroimaging has permitted to understand neuroanatomy at the individual and group level. The possibility to obtain quantitative measures of lesions has improved correlation analyses between severity of symptoms, lesion load, and lesion location. More recently, the development of structural imaging based on diffusion MRI has provided valid solutions to two major limitations of more conventional imaging. In stroke patients, diffusion can visualize early changes due to a stroke that are otherwise not detectable with more conventional structural imaging, with important implications for the clinical management of acute stroke patients. Beyond the sensitivity to early changes, diffusion imaging tractography presents the possibility of visualizing the trajectories of individual white matter pathways connecting distant regions. A pathway analysis based on tractography is offering a new perspective in neurolinguistics. First, it permits to formulate new anatomical models of language function in the healthy brain and allows to directly test these models in the human population without any reliance on animal models. Second, by defining the exact location of the damage to specific white matter connections we can understand the contribution of different mechanisms to the emergence of language deficits (e.g., cortical versus disconnection mechanisms). Finally, a better understanding of the anatomical variability of different language networks is helping to identify new anatomical predictors of language recovery. In this chapter we will focus on the principles of structural MRI and, in particular, diffusion imaging and tractography and present examples of how these methods have informed our understanding of variance in language performances in the healthy brain and language deficits in patient populations.
  • Francks, C. (2009). 13 - LRRTM1: A maternally suppressed genetic effect on handedness and schizophrenia. In I. E. C. Sommer, & R. S. Kahn (Eds.), Cerebral lateralization and psychosis (pp. 181-196). Cambridge: Cambridge University Press.

    Abstract

    The molecular, developmental, and evolutionary bases of human brain asymmetry are almost completely unknown. Genetic linkage and association mapping have pin-pointed a gene called LRRTM1 (leucine-rich repeat transmembrane neuronal 1) that may contribute to variability in human handedness. Here I describe how LRRTM1's involvement in handedness was discovered, and also the latest knowledge of its functions in brain development and disease. The association of LRRTM1 with handedness was derived entirely from the paternally inherited gene, and follow-up analysis of gene expression confirmed that LRRTM1 is one of a small number of genes that are imprinted in the human genome, for which the maternally inherited copy is suppressed. The same variation at LRRTM1 that was associated paternally with mixed-/left-handedness was also over-transmitted paternally to schizophrenic patients in a large family study.
    LRRTM1 is expressed in specific regions of the developing and adult forebrain by post-mitotic neurons, and the protein may be involved in axonal trafficking. Thus LRRTM1 has a probable role in neurodevelopment, and its association with handedness suggests that one of its functions may be in establishing or consolidating human brain asymmetry.
    LRRTM1 is the first gene for which allelic variation has been associated with human handedness. The genetic data also suggest indirectly that the epigenetic regulation of this gene may yet prove more important than DNA sequence variation for influencing brain development and disease.
    Intriguingly, the parent-of-origin activity of LRRTM1 suggests that men and women have had conflicting interests in relation to the outcome of lateralized brain development in their offspring.
  • Frank, S. L., Koppen, M., Noordman, L. G. M., & Vonk, W. (2007). Modeling multiple levels of text presentation. In F. Schmalhofer, & C. A. Perfetti (Eds.), Higher level language processes in the brain: Inference and comprehension processes (pp. 133-157). Mahwah, NJ: Erlbaum.
  • Franken, M. K. (2018). Listening for speaking: Investigations of the relationship between speech perception and production. PhD Thesis, Radboud University, Nijmegen.

    Abstract

    Speaking and listening are complex tasks that we perform on a daily basis, almost without conscious effort. Interestingly, speaking almost never occurs without listening: whenever we speak, we at least hear our own speech. The research in this thesis is concerned with how the perception of our own speech influences our speaking behavior. We show that unconsciously, we actively monitor this auditory feedback of our own speech. This way, we can efficiently take action and adapt articulation when an error occurs and auditory feedback does not correspond to our expectation. Processing the auditory feedback of our speech does not, however, automatically affect speech production. It is subject to a number of constraints. For example, we do not just track auditory feedback, but also its consistency. If auditory feedback is more consistent over time, it has a stronger influence on speech production. In addition, we investigated how auditory feedback during speech is processed in the brain, using magnetoencephalography (MEG). The results suggest the involvement of a broad cortical network including both auditory and motor-related regions. This is consistent with the view that the auditory center of the brain is involved in comparing auditory feedback to our expectation of auditory feedback. If this comparison yields a mismatch, motor-related regions of the brain can be recruited to alter the ongoing articulations.

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  • Furuyama, N., & Sekine, K. (2007). Forgetful or strategic? The mystery of the systematic avoidance of reference in the cartoon story nsarrative. In S. D. Duncan, J. Cassel, & E. T. Levy (Eds.), Gesture and the Dynamic Dimension of Language: Essays in honor of David McNeill (pp. 75-81). Amsterdam: John Benjamins Publishing Company.
  • Gentner, D., & Bowerman, M. (2009). Why some spatial semantic categories are harder to learn than others: The typological prevalence hypothesis. In J. Guo, E. Lieven, N. Budwig, S. Ervin-Tripp, K. Nakamura, & S. Ozcaliskan (Eds.), Crosslinguistic approaches to the psychology of language: Research in the tradition of Dan Isaac Slobin (pp. 465-480). New York: Psychology Press.
  • Gingras, B., Honing, H., Peretz, I., Trainor, L. J., & Fisher, S. E. (2018). Defining the biological bases of individual differences in musicality. In H. Honing (Ed.), The origins of musicality (pp. 221-250). Cambridge, MA: MIT Press.
  • Goldin-Meadow, S., Ozyurek, A., Sancar, B., & Mylander, C. (2009). Making language around the globe: A cross-linguistic study of homesign in the United States, China, and Turkey. In J. Guo, E. Lieven, N. Budwig, S. Ervin-Tripp, K. Nakamura, & S. Ozcaliskan (Eds.), Crosslinguistic approaches to the psychology of language: Research in the tradition of Dan Isaac Slobin (pp. 27-39). New York: Psychology Press.
  • Goudbeek, M. (2007). The acquisition of auditory categories. PhD Thesis, Radboud University Nijmegen, Nijmegen.

    Abstract

    This doctoral dissertation investigated the learning of auditory categories by applying insights from child language learning, visual category learning and phonetic categorization by adults. The experiments in chapter 2 concern supervised learning of multidimensional non-speech categories varying in two dimensions: duration and a non speech analogue of formant frequency. In experiment 1, one dimension of variation determined category membership, variation in the other dimension was irrelevant. Listeners quickly learned to categorize according to this distinction. In experiment 2, both dimensions needed to be combined to categorize correctly. Performance was much lower, but most listeners succeeded in this task. However, in a maintenance phase without feedback or distributional information, listeners reverted to a unidimensional solution. In a maintenance phase with distributional information, listeners did use both dimensions correctly, arguing for the importance of distributional information in (auditory) category acquisition. In chapter 3, the listeners had to classify the same categories, but without feedback. In experiment 1, listeners succeeded to discover the relevant dimension of variation (and ignore the irrelevant one) without feedback. Much of this learning was lost in the maintenance phase, especially for the dimension formant frequency. With two relevant dimensions (Experiment 2), listeners were not able to learn to use both dimensions and reverted to a unidimensional solution. Chapter 4 applied the paradigms of chapter 2 and 3 to the learning of speech categories. Spanish native listeners learned Dutch vowel contrast with one relevant dimension of variation. With feedback, learning was swift, although was not well maintained without feedback or distributional information. Without feedback, Spanish listeners reverted to the dimensions best known in their native phonology, formant frequency, even when distributional information pointed to duration. The results are discussed in chapter 5. The implications for models of speech acquisition are discussed.

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  • Le Guen, O., Senft, G., & Sicoli, M. A. (2008). Language of perception: Views from anthropology. In A. Majid (Ed.), Field Manual Volume 11 (pp. 29-36). Nijmegen: Max Planck Institute for Psycholinguistics. doi:10.17617/2.446079.

    Abstract

    To understand the underlying principles of categorisation and classification of sensory input semantic analyses must be based on both language and culture. The senses are not only physiological phenomena, but they are also linguistic, cultural, and social. The goal of this task is to explore and describe sociocultural patterns relating language of perception, ideologies of perception, and perceptual practice in our speech communities.
  • Le Guen, O. (2009). The ethnography of emotions: A field worker's guide. In A. Majid (Ed.), Field manual volume 12 (pp. 31-34). Nijmegen: Max Planck Institute for Psycholinguistics. doi:10.17617/2.446076.

    Abstract

    The goal of this task is to investigate cross-cultural emotion categories in language and thought. This entry is designed to provide researchers with some guidelines to describe the emotional repertoire of a community from an emic perspective. The first objective is to offer ethnographic tools and a questionnaire in order to understand the semantics of emotional terms and the local conception of emotions. The second objective is to identify the local display rules of emotions in communicative interactions.
  • Gullberg, M. (2008). A helping hand? Gestures, L2 learners, and grammar. In S. G. McCafferty, & G. Stam (Eds.), Gesture: Second language acquisition and classroom research (pp. 185-210). New York: Routledge.

    Abstract

    This chapter explores what L2 learners' gestures reveal about L2 grammar. The focus is on learners’ difficulties with maintaining reference in discourse caused by their incomplete mastery of pronouns. The study highlights the systematic parallels between properties of L2 speech and gesture, and the parallel effects of grammatical development in both modalities. The validity of a communicative account of interlanguage grammar in this domain is tested by taking the cohesive properties of the gesture-speech ensemble into account. Specifically, I investigate whether learners use gestures to compensate for and to license over-explicit reference in speech. The results rule out a communicative account for the spoken variety of maintained reference. In contrast, cohesive gestures are found to be multi-functional. While the presence of cohesive gestures is not communicatively motivated, their spatial realisation is. It is suggested that gestures are exploited as a grammatical communication strategy to disambiguate speech wherever possible, but that they may also be doing speaker-internal work. The methodological importance of considering L2 gestures when studying grammar is also discussed.
  • Gullberg, M., & Indefrey, P. (2008). Cognitive and neural prerequisites for time in language: Any answers? In P. Indefrey, & M. Gullberg (Eds.), Time to speak: Cognitive and neural prerequisites for time in language (pp. 207-216). Oxford: Blackwell.
  • Gullberg, M. (2008). Gestures and second language acquisition. In P. Robinson, & N. C. Ellis (Eds.), Handbook of cognitive linguistics and second language acquisition (pp. 276-305). New York: Routledge.

    Abstract

    Gestures, the symbolic movements speakers perform while they speak, are systematically related to speech and language at multiple levels, and reflect cognitive and linguistic activities in non-trivial ways. This chapter presents an overview of what gestures can tell us about the processes of second language acquisition. It focuses on two key aspects, (a) gestures and the developing language system and (b) gestures and learning, and discusses some implications of an expanded view of language acquisition that takes gestures into account.
  • Gullberg, M., Indefrey, P., & Muysken, P. (2009). Research techniques for the study of code-switching. In B. E. Bullock, & J. A. Toribio (Eds.), The Cambridge handbook on linguistic code-switching (pp. 21-39). Cambridge: Cambridge University Press.

    Abstract

    The aim of this chapter is to provide researchers with a tool kit of semi-experimental and experimental techniques for studying code-switching. It presents an overview of the current off-line and on-line research techniques, ranging from analyses of published bilingual texts of spontaneous conversations, to tightly controlled experiments. A multi-task approach used for studying code-switched sentence production in Papiamento-Dutch bilinguals is also exemplified.
  • Gullberg, M. (2009). Why gestures are relevant to the bilingual mental lexicon. In A. Pavlenko (Ed.), The bilingual mental lexicon: Interdisciplinary approaches (pp. 161-184). Clevedon: Multilingual Matters.

    Abstract

    Gestures, the symbolic movements speakers perform while they speak, are systematically related to speech and language in non-trivial ways. This chapter presents an overview of what gestures can and cannot tell us about the monolingual and the bilingual mental lexicon. Gesture analysis opens for a broader view of the mental lexicon, targeting the interface between conceptual, semantic and syntactic aspects of event construal, and offers new possibilities for examining how languages co-exist and interact in bilinguals beyond the level of surface forms. The first section of this chapter gives a brief introduction to gesture studies and outlines the current views on the relationship between gesture, speech, and language. The second section targets the key questions for the study of the monolingual and bilingual lexicon, and illustrates the methods employed for addressing these questions. It further exemplifies systematic cross-linguistic patterns in gestural behaviour in monolingual and bilingual contexts. The final section discusses some implications of an expanded view of the multilingual lexicon that includes gesture, and outlines directions for future inquiry.

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  • Hagoort, P. (2007). The memory, unification, and control (MUC) model of language. In T. Sakamoto (Ed.), Communicating skills of intention (pp. 259-291). Tokyo: Hituzi Syobo.
  • Hagoort, P. (2007). The memory, unification, and control (MUC) model of language. In A. S. Meyer, L. Wheeldon, & A. Krott (Eds.), Automaticity and control in language processing (pp. 243-270). Hove: Psychology Press.
  • Hagoort, P. (1990). Tracking the time course of language understanding in aphasia. PhD Thesis, Katholieke Universiteit Nijmegen, Nijmegen.
  • Hagoort, P. (2009). The fractionation of spoken language understanding by measuring electrical and magnetic brain signals. In B. C. J. Moore, L. K. Tyler, & W. Marslen-Wilson (Eds.), The perception of speech: From sound to meaning (pp. 223-248). New York: Oxford University Press.
  • Hagoort, P., Ramsey, N. F., & Jensen, O. (2008). De gereedschapskist van de cognitieve neurowetenschap. In F. Wijnen, & F. Verstraten (Eds.), Het brein te kijk: Verkenning van de cognitieve neurowetenschap (pp. 41-75). Amsterdam: Harcourt Assessment.
  • Hagoort, P. (2009). Reflections on the neurobiology of syntax. In D. Bickerton, & E. Szathmáry (Eds.), Biological foundations and origin of syntax (pp. 279-296). Cambridge, MA: MIT Press.

    Abstract

    This contribution focuses on the neural infrastructure for parsing and syntactic encoding. From an anatomical point of view, it is argued that Broca's area is an ill-conceived notion. Functionally, Broca's area and adjacent cortex (together Broca's complex) are relevant for language, but not exclusively for this domain of cognition. Its role can be characterized as providing the necessary infrastructure for unification (syntactic and semantic). A general proposal, but with required level of computational detail, is discussed to account for the distribution of labor between different components of the language network in the brain.Arguments are provided for the immediacy principle, which denies a privileged status for syntax in sentence processing. The temporal profile of event-related brain potential (ERP) is suggested to require predictive processing. Finally, since, next to speed, diversity is a hallmark of human languages, the language readiness of the brain might not depend on a universal, dedicated neural machinery for syntax, but rather on a shaping of the neural infrastructure of more general cognitive systems (e.g., memory, unification) in a direction that made it optimally suited for the purpose of communication through language.
  • Hagoort, P., Baggio, G., & Willems, R. M. (2009). Semantic unification. In M. S. Gazzaniga (Ed.), The cognitive neurosciences, 4th ed. (pp. 819-836). Cambridge, MA: MIT Press.

    Abstract

    Language and communication are about the exchange of meaning. A key feature of understanding and producing language is the construction of complex meaning from more elementary semantic building blocks. The functional characteristics of this semantic unification process are revealed by studies using event related brain potentials. These studies have found that word meaning is assembled into compound meaning in not more than 500 ms. World knowledge, information about the speaker, co-occurring visual input and discourse all have an immediate impact on semantic unification, and trigger similar electrophysiological responses as sentence-internal semantic information. Neuroimaging studies show that a network of brain areas, including the left inferior frontal gyrus, the left superior/middle temporal cortex, the left inferior parietal cortex and, to a lesser extent their right hemisphere homologues are recruited to perform semantic unification.
  • Hagoort, P. (2009). Taalontwikkeling: Meer dan woorden alleen. In M. Evenblij (Ed.), Brein in beeld: Beeldvorming bij heersenonderzoek (pp. 53-57). Den Haag: Stichting Bio-Wetenschappen en Maatschappij.
  • Hagoort, P. (2008). Über Broca, Gehirn und Bindung. In Jahrbuch 2008: Tätigkeitsberichte der Institute. München: Generalverwaltung der Max-Planck-Gesellschaft. Retrieved from http://www.mpg.de/306524/forschungsSchwerpunkt1?c=166434.

    Abstract

    Beim Sprechen und beim Sprachverstehen findet man die Wortbedeutung im Gedächtnis auf und kombiniert sie zu größeren Einheiten (Unifikation). Solche Unifikations-Operationen laufen auf unterschiedlichen Ebenen der Sprachverarbeitung ab. In diesem Beitrag wird ein Rahmen vorgeschlagen, in dem psycholinguistische Modelle mit neurobiologischer Sprachbetrachtung in Verbindung gebracht werden. Diesem Vorschlag zufolge spielt der linke inferiore frontale Gyrus (LIFG) eine bedeutende Rolle bei der Unifi kation
  • Hammarström, H. (2018). Language isolates in the New Guinea region. In L. Campbell (Ed.), Language Isolates (pp. 287-322). London: Routledge.
  • Hammond, J. (2009). The grammar of nouns and verbs in Whitesands, an oceanic language of Southern Vanuatu. Master Thesis, University of Sydney, Sydney.

    Abstract

    Whitesands is an under-described language of southern Vanuatu, and this thesis presents Whitesands-specific data based on primary in-situ field research. The thesis addresses the distinction of noun and verb word classes in the language. It claims that current linguistic syntax theory cannot account for the argument structure of canonical object-denoting roots. It is shown that there are distinct lexical noun and verb classes in Whitesands but this is only a weak dichotomy. Stronger is the NP and VP distinction, and this is achieved by employing a new theoretical approach that proposes functional categories and their selection of complements as crucial tests of distinction. This approach contrasts with previous analyses of parts of speech in Oceanic languages and cross-linguistically. It ultimately explains many of the syntactic phenomena seen in the language family, including the above argument assignment dilemma, the alienable possession of nouns with classifiers and also the nominalisation processes.
  • Hanulikova, A., & Dietrich, R. (2008). Die variable Coda in der slowakisch-deutschen Interimsprache. In M. Tarvas (Ed.), Tradition und Geschichte im literarischen und sprachwissenschaftlichen Kontext (pp. 119-130). Bern: Peter Lang.
  • Hanulikova, A. (2009). The role of syllabification in the lexical segmentation of German and Slovak. In S. Fuchs, H. Loevenbruck, D. Pape, & P. Perrier (Eds.), Some aspects of speech and the brain (pp. 331-361). Frankfurt am Main: Peter Lang.

    Abstract

    Two experiments were carried out to examine the syllable affiliation of intervocalic consonant clusters and their effects on speech segmentation in two different languages. In a syllable reversal task, Slovak and German speakers divided bisyllabic non-words that were presented aurally into two parts, starting with the second syllable. Following the maximal onset principle, intervocalic consonants should be maximally assigned to the onset of the following syllable in conformity with language-specific restrictions, e.g., /du.gru/, /zu.kro:/ (dot indicates a syllable boundary). According to German phonology, syllables require branching rhymes (hence, /zuk.ro:/). In Slovak, both /du.gru/ and /dug.ru/ are possible syllabifications. Experiment 1 showed that German speakers more often closed the first syllable (/zuk.ro:/), following the requirement for a branching rhyme. In Experiment 2, Slovak speakers showed no clear preference; the first syllable was either closed (/dug.ru/) or open (/du.gru/). Correlation analyses on previously conducted word-spotting studies (Hanulíková, in press, 2008) suggest that speech segmentation is unaffected by these syllabification preferences.
  • Haun, D. B. M. (2007). Cognitive cladistics and the relativity of spatial cognition. PhD Thesis, Radboud University Nijmegen, Nijmegen.

    Abstract

    This thesis elaborates on a methodological approach to reliably infer cognitive preferences in an extinct evolutionary ancestor of modern humans. In attempts to understand cognitive evolution, humans have been compared to capuchin monkeys, tamarins, and chimpanzees to name but a few. But comparisons between humans and one other, maybe even distantly related primate, as interesting as they might be, will not tell us anything about an evolutionary ancestor to humans. To put it bluntly: None of the living primates, not even chimpanzees, are a human ancestor. With that in mind, we can still use a comparative approach to gain information about our evolutionary ancestors, as long as we are careful about whom we compare with whom. If a certain trait exists in all genera of a phylogenetic clade, it was most likely present in their common ancestor. The great apes are such a clade (Pongo, Gorilla, Pan and Homo). It follows that, if members of all great ape genera shared a particular cognitive preference or ability, it is most likely part of the evolutionary inheritance of the clade at least ever since their last common ancestor, and therefore also an evolutionarily old, inherited cognitive default in humans. This thesis contains studies comparing all 4 extant Hominid genera, including humans of 4 different age-groups and 2 different cultures. Results show that all great apes do indeed share some cognitive preferences, which they most likely inherited from an evolutionary ancestor. Additionally, human cognitive preferences can change away from such an inherited predisposition given ontogenetic factors, and are at least in part variably adaptable to cultural circumstance.

    Additional information

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  • Hayano, K. (2007). Repetitional agreement and anaphorical agreement: negotiation of affiliation and disaffiliation in Japanese conversation. Master Thesis, University of California, Los Angeles.
  • Hill, C. (2018). Person reference and interaction in Umpila/Kuuku Ya'u narrative. PhD Thesis, Radboud University Nijmegen, Nijmegen.
  • Hoey, E., & Kendrick, K. H. (2018). Conversation analysis. In A. M. B. De Groot, & P. Hagoort (Eds.), Research methods in psycholinguistics and the neurobiology of language: A practical guide (pp. 151-173). Hoboken: Wiley.

    Abstract

    Conversation Analysis (CA) is an inductive, micro-analytic, and predominantly qualitative
    method for studying human social interactions. This chapter describes and illustrates the basic
    methods of CA. We first situate the method by describing its sociological foundations, key areas
    of analysis, and particular approach in using naturally occurring data. The bulk of the chapter is
    devoted to practical explanations of the typical conversation analytic process for collecting data
    and producing an analysis. We analyze a candidate interactional practice – the assessmentimplicative
    interrogative – using real data extracts as a demonstration of the method, explicitly
    laying out the relevant questions and considerations for every stage of an analysis. The chapter
    concludes with some discussion of quantitative approaches to conversational interaction, and
    links between CA and psycholinguistic concerns
  • Hunley, K., Dunn, M., Lindström, E., Reesink, G., Terrill, A., Norton, H., Scheinfeldt, L., Friedlaender, F. R., Merriwether, D. A., Koki, G., & Friedlaender, J. S. (2007). Inferring prehistory from genetic, linguistic, and geographic variation. In J. S. Friedlaender (Ed.), Genes, language, & culture history in the Southwest Pacific (pp. 141-154). Oxford: Oxford University Press.

    Abstract

    This chapter investigates the fit of genetic, phenotypic, and linguistic data to two well-known models of population history. The first of these models, termed the population fissions model, emphasizes population splitting, isolation, and independent evolution. It predicts that genetic and linguistic data will be perfectly tree-like. The second model, termed isolation by distance, emphasizes genetic exchange among geographically proximate populations. It predicts a monotonic decline in genetic similarity with increasing geographic distance. While these models are overly simplistic, deviations from them were expected to provide important insights into the population history of northern Island Melanesia. The chapter finds scant support for either model because the prehistory of the region has been so complex. Nonetheless, the genetic and linguistic data are consistent with an early radiation of proto-Papuan speakers into the region followed by a much later migration of Austronesian speaking peoples. While these groups subsequently experienced substantial genetic and cultural exchange, this exchange has been insufficient to erase this history of separate migrations.
  • Hurford, J. R., & Dediu, D. (2009). Diversity in language, genes and the language faculty. In R. Botha, & C. Knight (Eds.), The cradle of language (pp. 167-188). Oxford: Oxford University Press.
  • Indefrey, P. (2007). Brain imaging studies of language production. In G. Gaskell (Ed.), Oxford handbook of psycholinguistics (pp. 547-564). Oxford: Oxford University Press.

    Abstract

    Neurocognitive studies of language production have provided sufficient evidence on both the spatial and the temporal patterns of brain activation to allow tentative and in some cases not so tentative conclusions about function-structure relationships. This chapter reports meta-analysis results that identify reliable activation areas for a range of word, sentence, and narrative production tasks both in the native language and a second language. Based on a theoretically motivated analysis of language production tasks it is possible to specify relationships between brain areas and functional processing components of language production that could not have been derived from the data provided by any single task.
  • Indefrey, P., & Davidson, D. J. (2009). Second language acquisition. In L. R. Squire (Ed.), Encyclopedia of neuroscience (pp. 517-523). London: Academic Press.

    Abstract

    This article reviews neurocognitive evidence on second language (L2) processing at speech sound, word, and sentence levels. Hemodynamic (functional magnetic resonance imaging and positron emission tomography) data suggest that L2s are implemented in the same brain structures as the native language but with quantitative differences in the strength of activation that are modulated by age of L2 acquisition and L2 proficiency. Electrophysiological data show a more complex pattern of first and L2 similarities and differences, providing some, although not conclusive, evidence for qualitative differences between L1 and L2 syntactic processing.
  • Indefrey, P. (2018). The relationship between syntactic production and comprehension. In S.-A. Rueschemeyer, & M. G. Gaskell (Eds.), The Oxford Handbook of Psycholinguistics (2nd ed., pp. 486-505). Oxford: Oxford University Press.

    Abstract

    This chapter deals with the question of whether there is one syntactic system that is shared by language production and comprehension or whether there are two separate systems. It first discusses arguments in favor of one or the other option and then presents the current evidence on the brain structures involved in sentence processing. The results of meta-analyses of numerous neuroimaging studies suggest that there is one system consisting of functionally distinct cortical regions: the dorsal part of Broca’s area subserving compositional syntactic processing; the ventral part of Broca’s area subserving compositional semantic processing; and the left posterior temporal cortex (Wernicke’s area) subserving the retrieval of lexical syntactic and semantic information. Sentence production, the comprehension of simple and complex sentences, and the parsing of sentences containing grammatical violations differ with respect to the recruitment of these functional components.
  • Janssen, R., & Dediu, D. (2018). Genetic biases affecting language: What do computer models and experimental approaches suggest? In T. Poibeau, & A. Villavicencio (Eds.), Language, Cognition and Computational Models (pp. 256-288). Cambridge: Cambridge University Press.

    Abstract

    Computer models of cultural evolution have shown language properties emerging on interacting agents with a brain that lacks dedicated, nativist language modules. Notably, models using Bayesian agents provide a precise specification of (extra-)liguististic factors (e.g., genetic) that shape language through iterated learning (biases on language), and demonstrate that weak biases get expressed more strongly over time (bias amplification). Other models attempt to lessen assumption on agents’ innate predispositions even more, and emphasize self-organization within agents, highlighting glossogenesis (the development of language from a nonlinguistic state). Ultimately however, one also has to recognize that biology and culture are strongly interacting, forming a coevolving system. As such, computer models show that agents might (biologically) evolve to a state predisposed to language adaptability, where (culturally) stable language features might get assimilated into the genome via Baldwinian niche construction. In summary, while many questions about language evolution remain unanswered, it is clear that it is not to be completely understood from a purely biological, cognitivist perspective. Language should be regarded as (partially) emerging on the social interactions between large populations of speakers. In this context, agent models provide a sound approach to investigate the complex dynamics of genetic biasing on language and speech
  • Janssen, R. (2018). Let the agents do the talking: On the influence of vocal tract anatomy no speech during ontogeny. PhD Thesis, Radboud University Nijmegen, Nijmegen.
  • Jolink, A. (2009). Finiteness in children with SLI: A functional approach. In C. Dimroth, & P. Jordens (Eds.), Functional categories in learner language (pp. 235-260). Berlin: Mouton de Gruyter.
  • Jongen-Janner, E., Pijls, F., & Kempen, G. (1990). Intelligente programma's voor grammatica- en spellingonderwijs. In Q. De Kort, & G. Leerdam (Eds.), Computertoepassingen in de Neerlandistiek. Almere: Landelijke Vereniging van Neerlandici.
  • Jordan, F. (2007). A comparative phylogenetic approach to Austronesian cultural evolution. PhD Thesis, University College London, London.
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    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., & Harbusch, K. (2008). Comparing linguistic judgments and corpus frequencies as windows on grammatical competence: A study of argument linearization in German clauses. In A. Steube (Ed.), The discourse potential of underspecified structures (pp. 179-192). Berlin: Walter de Gruyter.

    Abstract

    We present an overview of several corpus studies we carried out into the frequencies of argument NP orderings in the midfield of subordinate and main clauses of German. Comparing the corpus frequencies with grammaticality ratings published by Keller’s (2000), we observe a “grammaticality–frequency gap”: Quite a few argument orderings with zero corpus frequency are nevertheless assigned medium–range grammaticality ratings. We propose an explanation in terms of a two-factor theory. First, we hypothesize that the grammatical induction component needs a sufficient number of exposures to a syntactic pattern to incorporate it into its repertoire of more or less stable rules of grammar. Moderately to highly frequent argument NP orderings are likely have attained this status, but not their zero-frequency counterparts. This is why the latter argument sequences cannot be produced by the grammatical encoder and are absent from the corpora. Secondly, we assumed that an extraneous (nonlinguistic) judgment process biases the ratings of moderately grammatical linear order patterns: Confronted with such structures, the informants produce their own “ideal delivery” variant of the to-be-rated target sentence and evaluate the similarity between the two versions. A high similarity score yielded by this judgment then exerts a positive bias on the grammaticality rating—a score that should not be mistaken for an authentic grammaticality rating. We conclude that, at least in the linearization domain studied here, the goal of gaining a clear view of the internal grammar of language users is best served by a combined strategy in which grammar rules are founded on structures that elicit moderate to high grammaticality ratings and attain at least moderate usage frequencies.
  • Kirsch, J. (2018). Listening for the WHAT and the HOW: Older adults' processing of semantic and affective information in speech. PhD Thesis, Radboud University Nijmegen, Nijmegen.
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  • Klaas, G. (2009). Hints and recommendations concerning field equipment. In A. Majid (Ed.), Field manual volume 12 (pp. VI-VII). Nijmegen: Max Planck Institute for Psycholinguistics.
  • 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.
  • Klaas, G. (2008). Hints and recommendations concerning field equipment. In A. Majid (Ed.), Field manual volume 11 (pp. vi-vii). Nijmegen: Max Planck Institute for Psycholinguistics.
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  • Klein, W., & Dimroth, C. (2009). Untutored second language acquisition. In W. C. Ritchie, & T. K. Bhatia (Eds.), The new handbook of second language acquisition (2nd rev. ed., pp. 503-522). Bingley: Emerald.
  • Koch, X. (2018). Age and hearing loss effects on speech processing. PhD Thesis, Radboud University Nijmegen, Nijmegen.
  • Kolipakam, V. (2018). A holistic approach to understanding pre-history. PhD Thesis, Radboud University Nijmegen, Nijmegen.
  • Kooijman, V., Johnson, E. K., & Cutler, A. (2008). Reflections on reflections of infant word recognition. In A. D. Friederici, & G. Thierry (Eds.), Early language development: Bridging brain and behaviour (pp. 91-114). Amsterdam: Benjamins.
  • Kooijman, V. (2007). Continuous-speech segmentation at the beginning of language acquisition: Electrophysiological evidence. PhD Thesis, Radboud University Nijmegen, Nijmegen.

    Abstract

    Word segmentation, or detecting word boundaries in continuous speech, is not an easy task. Spoken language does not contain silences to indicate word boundaries and words partly overlap due to coarticalution. Still, adults listening to their native language perceive speech as individual words. They are able to combine different distributional cues in the language, such as the statistical distribution of sounds and metrical cues, with lexical information, to efficiently detect word boundaries. Infants in the first year of life do not command these cues. However, already between seven and ten months of age, before they know word meaning, infants learn to segment words from speech. This important step in language acquisition is the topic of this dissertation. In chapter 2, the first Event Related Brain Potential (ERP) study on word segmentation in Dutch ten-month-olds is discussed. The results show that ten-month-olds can already segment words with a strong-weak stress pattern from speech and they need roughly the first half of a word to do so. Chapter 3 deals with segmentation of words beginning with a weak syllable, as a considerable number of words in Dutch do not follow the predominant strong-weak stress pattern. The results show that ten-month-olds still largely rely on the strong syllable in the language, and do not show an ERP response to the initial weak syllable. In chapter 4, seven-month-old infants' segmentation of strong-weak words was studied. An ERP response was found to strong-weak words presented in sentences. However, a behavioral response was not found in an additional Headturn Preference Procedure study. There results suggest that the ERP response is a precursor to the behavioral response that infants show at a later age.

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  • Kopecka, A. (2009). Continuity and change in the representation of motion events in French. In J. Guo, E. Lieven, N. Budwig, S. Ervin-Tripp, K. Nakamura, & S. Özçaliskan (Eds.), Crosslinguistic approaches to the psychology of language: Research in the tradition of Dan Isaac Slobin (pp. 415-426). New York: Psychology Press.
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  • Kung, C. (2018). Speech comprehension in a tone language: The role of lexical tone, context, and intonation in Cantonese-Chinese. PhD Thesis, Radboud University Nijmegen, Nijmegen.
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    Abstract

    Selected papers from the 18th International Conference on Historical Linguistics, Montreal, 6-11 August 2007
  • Levelt, W. J. M. (1990). De connectionistische mode. In P. Van Hoogstraten (Ed.), Belofte en werkelijkheid: Sociale wetenschappen en informatisering (pp. 39-68). Lisse: Swets & Zeitlinger.
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  • Levelt, W. J. M. (1990). Some studies of lexical access at the Max Planck Institute for Psycholinguistics. In F. Aarts, & T. Van Els (Eds.), Contemporary Dutch linguistics (pp. 131-139). Washington: Georgetown University Press.
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  • 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., 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. (2009). Cognitive anthropology. In G. Senft, J. O. Östman, & J. Verschueren (Eds.), Culture and language use (pp. 50-57). Amsterdam: Benjamins.
  • Levinson, S. C. (2009). Foreword. In J. Liep (Ed.), A Papuan plutocracy: Ranked exchange on Rossel Island (pp. ix-xxiii). Copenhagen: Aarhus University Press.
  • Levinson, S. C. (2009). Language and mind: Let's get the issues straight! In S. D. Blum (Ed.), Making sense of language: Readings in culture and communication (pp. 95-104). Oxford: Oxford University Press.
  • 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. (2018). Introduction: Demonstratives: Patterns in diversity. In S. C. Levinson, S. Cutfield, M. Dunn, N. J. Enfield, & S. Meira (Eds.), Demonstratives in cross-linguistic perspective (pp. 1-42). Cambridge: Cambridge University Press.
  • Levinson, S. C., & Majid, A. (2008). Preface and priorities. In A. Majid (Ed.), Field manual volume 11 (pp. iii-iv). Nijmegen: Max Planck Institute for Psycholinguistics.
  • Levinson, S. C., & Majid, A. (2009). Preface and priorities. In A. Majid (Ed.), Field manual volume 12 (pp. III). Nijmegen: Max Planck Institute for Psycholinguistics.
  • Levinson, S. C., & Majid, A. (2009). The role of language in mind. In S. Nolen-Hoeksema, B. Fredrickson, G. Loftus, & W. Wagenaar (Eds.), Atkinson and Hilgard's introduction to psychology (15th ed., pp. 352). London: Cengage learning.
  • 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., Bohnemeyer, J., & Enfield, N. J. (2008). Time and space questionnaire. In A. Majid (Ed.), Field Manual Volume 11 (pp. 42-49). Nijmegen: Max Planck Institute for Psycholinguistics. doi:10.17617/2.492955.

    Abstract

    This entry contains: 1. An invitation to think about to what extent the grammar of space and time share lexical and morphosyntactic resources − the suggestions here are only prompts, since it would take a long questionnaire to fully explore this; 2. A suggestion about how to collect gestural data that might show us to what extent the spatial and temporal domains, have a psychological continuity. This is really the goal − but you need to do the linguistic work first or in addition. The goal of this task is to explore the extent to which time is conceptualised on a spatial basis.
  • Levinson, S. C. (2018). Yélî Dnye: Demonstratives in the language of Rossel Island, Papua New Guinea. In S. C. Levinson, S. Cutfield, M. Dunn, N. J. Enfield, & S. Meira (Eds.), Demonstratives in cross-linguistic perspective (pp. 318-342). Cambridge: Cambridge University Press.
  • Levinson, S. C. (2024). Culture as cognitive technology: An evolutionary perspective. In G. Bennardo, V. C. De Munck, & S. Chrisomalis (Eds.), Cognition in and out of the mind: Advances in cultural model theory (pp. 241-265). London: Palgrave Macmillan.

    Abstract

    Cognitive anthropology is in need of a theory that extends beyond cultural model theory and explains both how culture has transformed human cognition and the curious ontology of culture itself, for, as Durkheim insisted, culture cannot be reduced to psychology. This chapter promotes a framework that deals with both the evolutionary question and the ontological problem. It is argued that at least a central part of culture should be conceived of in terms of cognitive technology. Beginning with obvious examples of cognitive artifacts, like those used in measurement, way-finding, time-reckoning and numerical calculation, the chapter goes on to consider extensions to our communication systems, emotion-modulating systems and the cognitive division of labor. Cognitive artifacts form ‘coupled systems’ that amplify individual psychology, lying partly outside the head, and are honed by cultural evolution. They make clear how culture gave human cognition an evolutionary edge.
  • 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.
  • Liszkowski, U. (2007). Human twelve-month-olds point cooperatively to share interest with and helpfully provide information for a communicative partner. In K. Liebal, C. Müller, & S. Pika (Eds.), Gestural communication in nonhuman and human primates (pp. 124-140). Amsterdam: Benjamins.

    Abstract

    This paper investigates infant pointing at 12 months. Three recent experimental studies from our lab are reported and contrasted with existing accounts on infant communicative and social-cognitive abilities. The new results show that infant pointing at 12 months already is a communicative act which involves the intentional transmission of information to share interest with, or provide information for other persons. It is argued that infant pointing is an inherently social and cooperative act which is used to share psychological relations between interlocutors and environment, repairs misunderstandings in proto-conversational turn-taking, and helps others by providing information. Infant pointing builds on an understanding of others as persons with attentional states and attitudes. Findings do not support lean accounts on early infant pointing which posit that it is initially non-communicative, does not serve the function of indicating, or is purely self-centered. It is suggested to investigate the emergence of reference and the motivation to jointly engage with others also before pointing has emerged.

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