Publications

Displaying 201 - 300 of 336
  • Mehta, G., & Cutler, A. (1988). Detection of target phonemes in spontaneous and read speech. Language and Speech, 31, 135-156.

    Abstract

    Although spontaneous speech occurs more frequently in most listeners’ experience than read speech, laboratory studies of human speech recognition typically use carefully controlled materials read from a script. The phonological and prosodic characteristics of spontaneous and read speech differ considerably, however, which suggests that laboratory results may not generalize to the recognition of spontaneous and read speech materials, and their response time to detect word-initial target phonemes was measured. Response were, overall, equally fast in each speech mode. However analysis of effects previously reported in phoneme detection studies revealed significant differences between speech modes. In read speech but not in spontaneous speech, later targets were detected more rapidly than earlier targets, and targets preceded by long words were detected more rapidly than targets preceded by short words. In contrast, in spontaneous speech but not in read speech, targets were detected more rapidly in accented than unaccented words and in strong than in weak syllables. An explanation for this pattern is offered in terms of characteristic prosodic differences between spontaneous and read speech. The results support claim from previous work that listeners pay great attention to prosodic information in the process of recognizing speech.
  • Meira, S., & Terrill, A. (2005). Contrasting contrastive demonstratives in Tiriyó and Lavukaleve. Linguistics, 43(6), 1131-1152. doi:10.1515/ling.2005.43.6.1131.

    Abstract

    This article explores the contrastive function of demonstratives in two languages, Tiriyó (Cariban, northern Brazil) and Lavukaleve (Papuan isolate, Solomon Islands). The contrastive function has to a large extent been neglected in the theoretical literature on demonstrative functions, although preliminary investigations suggest that there are significant differences in demonstrative use in contrastive versus noncontrastive contexts. Tiriyó and Lavukaleve have what seem at first glance to be rather similar three-term demonstrative systems for exophoric deixis, with a proximal term, a distal term, and a middle term. However, under contrastive usage, significant differences between the two systems become apparent. In presenting an analysis of the contrastive use of demonstratives in these two languages, this article aims to show that the contrastive function is an important parameter of variation in demonstrative systems.
  • Melinger, A. (2002). Foot structure and accent in Seneca. International Journal of American Linguistics, 68(3), 287-315.

    Abstract

    Argues that the Seneca accent system can be explained more simply and naturally if the foot structure is reanalyzed as trochaic. Determination of the position of the accent by the position and structure of the accented syllable and by the position and structure of the post-tonic syllable; Assignment of the pair of syllables which interact to predict where accent is assigned in different iambic feet.
  • Meyer, A. S., & Schriefers, H. (1991). Phonological facilitation in picture-word interference experiments: Effects of stimulus onset asynchrony and types of interfering stimuli. Journal of Experimental Psychology: Learning, Memory, and Cognition, 17, 1146-1160. doi:10.1037/0278-7393.17.6.1146.

    Abstract

    Subjects named pictures while hearing distractor words that shared word-initial or word-final segments with the picture names or were unrelated to the picture names. The relative timing of distractor and picture presentation was varied. Compared with unrelated distractors, both types of related distractors facilitated picture naming under certain timing conditions. Begin-related distractors facilitated the naming responses if the shared segments began 150 ms before, at, or 150 ms after picture onset. By contrast, end-related distractors only facilitated the responses if the shared segments began at or 150 ms after picture onset. The results suggest that the phonological encoding of the beginning of a word is initiated before the encoding of its end.
  • Meyer, A. S. (1991). The time course of phonological encoding in language production: Phonological encoding inside a syllable. Journal of Memory and Language, 30, 69-69. doi:10.1016/0749-596X(91)90011-8.

    Abstract

    Eight experiments were carried out investigating whether different parts of a syllable must be phonologically encoded in a specific order or whether they can be encoded in any order. A speech production task was used in which the subjects in each test trial had to utter one out of three or five response words as quickly as possible. In the so-called homogeneous condition these words were related in form, while in the heterogeneous condition they were unrelated in form. For monosyllabic response words shorter reaction times were obtained in the homogeneous than in the heterogeneous condition when the words had the same onset, but not when they had the same rhyme. Similarly, for disyllabic response words, the reaction times were shorter in the homogeneous than in the heterogeneous condition when the words shared only the onset of the first syllable, but not when they shared only its rhyme. Furthermore, a stronger facilitatory effect was observed when the words had the entire first syllable in common than when they only shared the onset, or the onset and the nucleus, but not the coda of the first syllable. These results suggest that syllables are phonologically encoded in two ordered steps, the first of which is dedicated to the onset and the second to the rhyme.
  • Morgan, J., & Meyer, A. S. (2005). Processing of extrafoveal objects during multiple-object naming. Journal of Experimental Psychology: Learning, Memory, and Cognition, 31, 428-442. doi:10.1037/0278-7393.31.3.428.

    Abstract

    In 3 experiments, the authors investigated the extent to which objects that are about to be named are processed prior to fixation. Participants named pairs or triplets of objects. One of the objects, initially seen extrafoveally (the interloper), was replaced by a different object (the target) during the saccade toward it. The interloper-target pairs were identical or unrelated objects or visually and conceptually unrelated objects with homophonous names (e.g., animal-baseball bat). The mean latencies and gaze durations for the targets were shorter in the identity and homophone conditions than in the unrelated condition. This was true when participants viewed a fixation mark until the interloper appeared and when they fixated on another object and prepared to name it while viewing the interloper. These results imply that objects that are about to be named may undergo far-reaching processing, including access to their names, prior to fixation.
  • Moscoso del Prado Martín, F., Deutsch, A., Frost, R., Schreuder, R., De Jong, N. H., & Baayen, R. H. (2005). Changing places: A cross-language perspective on frequency and family size in Dutch and Hebrew. Journal of Memory and Language, 53(4), 496-512. doi:10.1016/j.jml.2005.07.003.

    Abstract

    This study uses the morphological family size effect as a tool for exploring the degree of isomorphism in the networks of morphologically related words in the Hebrew and Dutch mental lexicon. Hebrew and Dutch are genetically unrelated, and they structure their morphologically complex words in very different ways. Two visual lexical decision experiments document substantial cross-language predictivity for the family size measure after partialing out the effect of word frequency and word length. Our data show that the morphological family size effect is not restricted to Indo-European languages but extends to languages with non-concatenative morphology. In Hebrew, a new inhibitory component of the family size effect emerged that arises when a Hebrew root participates in different semantic fields.
  • Narasimhan, B. (2005). Splitting the notion of 'agent': Case-marking in early child Hindi. Journal of Child Language, 32(4), 787-803. doi:10.1017/S0305000905007117.

    Abstract

    Two construals of agency are evaluated as possible innate biases guiding case-marking in children. A BROAD construal treats agentive arguments of multi-participant and single-participant events as being similar. A NARROWER construal is restricted to agents of multi-participant events. In Hindi, ergative case-marking is associated with agentive participants of multi-participant, perfective actions. Children relying on a broad or narrow construal of agent are predicted to overextend ergative case-marking to agentive participants of transitive imperfective actions and/or intransitive actions. Longitudinal data from three children acquiring Hindi (1;7 to 3;9) reveal no overextension errors, suggesting early sensitivity to distributional patterns in the input.
  • Narasimhan, B., Budwig, N., & Murty, L. (2005). Argument realization in Hindi caregiver-child discourse. Journal of Pragmatics, 37(4), 461-495. doi:10.1016/j.pragma.2004.01.005.

    Abstract

    An influential claim in the child language literature posits that children use structural cues in the input language to acquire verb meaning (Gleitman, 1990). One such cue is the number of arguments co-occurring with the verb, which provides an indication as to the event type associated with the verb (Fisher, 1995). In some languages however (e.g. Hindi), verb arguments are ellipted relatively freely, subject to certain discourse-pragmatic constraints. In this paper, we address three questions: Is the pervasive argument ellipsis characteristic of adult Hindi also found in Hindi-speaking caregivers’ input ? If so, do children consequently make errors in verb transitivity? How early do children learning a split-ergative language, such as Hindi, exhibit sensitivity to discourse-pragmatic influences on argument realization? We show that there is massive argument ellipsis in caregivers’ input to 3–4 year-olds. However, children acquiring Hindi do not make transitivity errors in their own speech. Nor do they elide arguments randomly. Rather, even at this early age, children appear to be sensitive to discourse-pragmatics in their own spontaneous speech production. These findings in a split-ergative language parallel patterns of argument realization found in children acquiring both nominative-accusative languages (e.g. Korean) and ergative-absolutive languages (e.g. Tzeltal, Inuktitut).
  • Newbury, D. F., Cleak, J. D., Ishikawa-Brush, Y., Marlow, A. J., Fisher, S. E., Monaco, A. P., Stott, C. M., Merricks, M. J., Goodyer, I. M., Bolton, P. F., Jannoun, L., Slonims, V., Baird, G., Pickles, A., Bishop, D. V. M., Helms., P. J., & The SLI Consortium (2002). A genomewide scan identifies two novel loci involved in specific language impairment. American Journal of Human Genetics, 70(2), 384-398. doi:10.1086/338649.

    Abstract

    Approximately 4% of English-speaking children are affected by specific language impairment (SLI), a disorder in the development of language skills despite adequate opportunity and normal intelligence. Several studies have indicated the importance of genetic factors in SLI; a positive family history confers an increased risk of development, and concordance in monozygotic twins consistently exceeds that in dizygotic twins. However, like many behavioral traits, SLI is assumed to be genetically complex, with several loci contributing to the overall risk. We have compiled 98 families drawn from epidemiological and clinical populations, all with probands whose standard language scores fall ⩾1.5 SD below the mean for their age. Systematic genomewide quantitative-trait–locus analysis of three language-related measures (i.e., the Clinical Evaluation of Language Fundamentals–Revised [CELF-R] receptive and expressive scales and the nonword repetition [NWR] test) yielded two regions, one on chromosome 16 and one on 19, that both had maximum LOD scores of 3.55. Simulations suggest that, of these two multipoint results, the NWR linkage to chromosome 16q is the most significant, with empirical P values reaching 10−5, under both Haseman-Elston (HE) analysis (LOD score 3.55; P=.00003) and variance-components (VC) analysis (LOD score 2.57; P=.00008). Single-point analyses provided further support for involvement of this locus, with three markers, under the peak of linkage, yielding LOD scores >1.9. The 19q locus was linked to the CELF-R expressive-language score and exceeds the threshold for suggestive linkage under all types of analysis performed—multipoint HE analysis (LOD score 3.55; empirical P=.00004) and VC (LOD score 2.84; empirical P=.00027) and single-point HE analysis (LOD score 2.49) and VC (LOD score 2.22). Furthermore, both the clinical and epidemiological samples showed independent evidence of linkage on both chromosome 16q and chromosome 19q, indicating that these may represent universally important loci in SLI and, thus, general risk factors for language impairment.
  • Newbury, D. F., Bonora, E., Lamb, J. A., Fisher, S. E., Lai, C. S. L., Baird, G., Jannoun, L., Slonims, V., Stott, C. M., Merricks, M. J., Bolton, P. F., Bailey, A. J., Monaco, A. P., & International Molecular Genetic Study of Autism Consortium (2002). FOXP2 is not a major susceptibility gene for autism or specific language impairment. American Journal of Human Genetics, 70(5), 1318-1327. doi:10.1086/339931.

    Abstract

    The FOXP2 gene, located on human 7q31 (at the SPCH1 locus), encodes a transcription factor containing a polyglutamine tract and a forkhead domain. FOXP2 is mutated in a severe monogenic form of speech and language impairment, segregating within a single large pedigree, and is also disrupted by a translocation in an isolated case. Several studies of autistic disorder have demonstrated linkage to a similar region of 7q (the AUTS1 locus), leading to the proposal that a single genetic factor on 7q31 contributes to both autism and language disorders. In the present study, we directly evaluate the impact of the FOXP2 gene with regard to both complex language impairments and autism, through use of association and mutation screening analyses. We conclude that coding-region variants in FOXP2 do not underlie the AUTS1 linkage and that the gene is unlikely to play a role in autism or more common forms of language impairment.
  • Nieuwland, M. S., & Van Berkum, J. J. A. (2005). Testing the limits of the semantic illusion phenomenon: ERPs reveal temporary semantic change deafness in discourse comprehension. Cognitive Brain Research, 24(3), 691-701. doi:10.1016/j.cogbrainres.2005.04.003.

    Abstract

    In general, language comprehension is surprisingly reliable. Listeners very rapidly extract meaning from the unfolding speech signal, on a word-by-word basis, and usually successfully. Research on ‘semantic illusions’ however suggests that under certain conditions, people fail to notice that the linguistic input simply doesn't make sense. In the current event-related brain potentials (ERP) study, we examined whether listeners would, under such conditions, spontaneously detect an anomaly in which a human character central to the story at hand (e.g., “a tourist”) was suddenly replaced by an inanimate object (e.g., “a suitcase”). Because this replacement introduced a very powerful coherence break, we expected listeners to immediately notice the anomaly and generate the standard ERP effect associated with incoherent language, the N400 effect. However, instead of the standard N400 effect, anomalous words elicited a positive ERP effect from about 500–600 ms onwards. The absence of an N400 effect suggests that subjects did not immediately notice the anomaly, and that for a few hundred milliseconds the comprehension system has converged on an apparently coherent but factually incorrect interpretation. The presence of the later ERP effect indicates that subjects were processing for comprehension and did ultimately detect the anomaly. Therefore, we take the absence of a regular N400 effect as the online manifestation of a temporary semantic illusion. Our results also show that even attentive listeners sometimes fail to notice a radical change in the nature of a story character, and therefore suggest a case of short-lived ‘semantic change deafness’ in language comprehension.
  • Norris, D., McQueen, J. M., & Cutler, A. (2002). Bias effects in facilitatory phonological priming. Memory & Cognition, 30(3), 399-411.

    Abstract

    In four experiments, we examined the facilitation that occurs when spoken-word targets rhyme with preceding spoken primes. In Experiment 1, listeners’ lexical decisions were faster to words following rhyming words (e.g., ramp–LAMP) than to words following unrelated primes (e.g., pink–LAMP). No facilitation was observed for nonword targets. Targets that almost rhymed with their primes (foils; e.g., bulk–SULSH) were included in Experiment 2; facilitation for rhyming targets was severely attenuated. Experiments 3 and 4 were single-word shadowing variants of the earlier experiments. There was facilitation for both rhyming words and nonwords; the presence of foils had no significant influence on the priming effect. A major component of the facilitation in lexical decision appears to be strategic: Listeners are biased to say “yes” to targets that rhyme with their primes, unless foils discourage this strategy. The nonstrategic component of phonological facilitation may reflect speech perception processes that operate prior to lexical access.
  • Norris, D., & Cutler, A. (1985). Juncture detection. Linguistics, 23, 689-705.
  • Norris, D., & Cutler, A. (1988). Speech recognition in French and English. MRC News, 39, 30-31.
  • Norris, D., & Cutler, A. (1988). The relative accessibility of phonemes and syllables. Perception and Psychophysics, 43, 541-550. Retrieved from http://www.psychonomic.org/search/view.cgi?id=8530.

    Abstract

    Previous research comparing detection times for syllables and for phonemes has consistently found that syllables are responded to faster than phonemes. This finding poses theoretical problems for strictly hierarchical models of speech recognition, in which smaller units should be able to be identified faster than larger units. However, inspection of the characteristics of previous experiments’stimuli reveals that subjects have been able to respond to syllables on the basis of only a partial analysis of the stimulus. In the present experiment, five groups of subjects listened to identical stimulus material. Phoneme and syllable monitoring under standard conditions was compared with monitoring under conditions in which near matches of target and stimulus occurred on no-response trials. In the latter case, when subjects were forced to analyze each stimulus fully, phonemes were detected faster than syllables.
  • Nyberg, L., Forkstam, C., Petersson, K. M., Cabeza, R., & Ingvar, M. (2002). Brain imaging of human memory systems: Between-systems similarities and within-system differences. Cognitive Brain Research, 13(2), 281-292. doi:10.1016/S0926-6410(02)00052-6.

    Abstract

    There is much evidence for the existence of multiple memory systems. However, it has been argued that tasks assumed to reflect different memory systems share basic processing components and are mediated by overlapping neural systems. Here we used multivariate analysis of PET-data to analyze similarities and differences in brain activity for multiple tests of working memory, semantic memory, and episodic memory. The results from two experiments revealed between-systems differences, but also between-systems similarities and within-system differences. Specifically, support was obtained for a task-general working-memory network that may underlie active maintenance. Premotor and parietal regions were salient components of this network. A common network was also identified for two episodic tasks, cued recall and recognition, but not for a test of autobiographical memory. This network involved regions in right inferior and polar frontal cortex, and lateral and medial parietal cortex. Several of these regions were also engaged during the working-memory tasks, indicating shared processing for episodic and working memory. Fact retrieval and synonym generation were associated with increased activity in left inferior frontal and middle temporal regions and right cerebellum. This network was also associated with the autobiographical task, but not with living/non-living classification, and may reflect elaborate retrieval of semantic information. Implications of the present results for the classification of memory tasks with respect to systems and/or processes are discussed.
  • O'Shannessy, C. (2005). Light Warlpiri: A new language. Australian Journal of Linguistics, 25(1), 31-57. doi:10.1080/07268600500110472.
  • Ozyurek, A. (2002). Do speakers design their co-speech gestures for their addresees? The effects of addressee location on representational gestures. Journal of Memory and Language, 46(4), 688-704. doi:10.1006/jmla.2001.2826.

    Abstract

    Do speakers use spontaneous gestures accompanying their speech for themselves or to communicate their message to their addressees? Two experiments show that speakers change the orientation of their gestures depending on the location of shared space, that is, the intersection of the gesture spaces of the speakers and addressees. Gesture orientations change more frequently when they accompany spatial prepositions such as into and out, which describe motion that has a beginning and end point, rather than across, which depicts an unbounded path across space. Speakers change their gestures so that they represent the beginning and end point of motion INTO or OUT by moving into or out of the shared space. Thus, speakers design their gestures for their addressees and therefore use them to communicate. This has implications for the view that gestures are a part of language use as well as for the role of gestures in speech production.
  • Ozyurek, A., Kita, S., Allen, S., Furman, R., & Brown, A. (2005). How does linguistic framing of events influence co-speech gestures? Insights from crosslinguistic variations and similarities. Gesture, 5(1/2), 219-240.

    Abstract

    What are the relations between linguistic encoding and gestural representations of events during online speaking? The few studies that have been conducted on this topic have yielded somewhat incompatible results with regard to whether and how gestural representations of events change with differences in the preferred semantic and syntactic encoding possibilities of languages. Here we provide large scale semantic, syntactic and temporal analyses of speech- gesture pairs that depict 10 different motion events from 20 Turkish and 20 English speakers. We find that the gestural representations of the same events differ across languages when they are encoded by different syntactic frames (i.e., verb-framed or satellite-framed). However, where there are similarities across languages, such as omission of a certain element of the event in the linguistic encoding, gestural representations also look similar and omit the same content. The results are discussed in terms of what gestures reveal about the influence of language specific encoding on on-line thinking patterns and the underlying interactions between speech and gesture during the speaking process.
  • Penke, M., Janssen, U., Indefrey, P., & Seitz, R. (2005). No evidence for a rule/procedural deficit in German patients with Parkinson's disease. Brain and Language, 95(1), 139-140. doi:10.1016/j.bandl.2005.07.078.
  • Petersson, K. M. (2005). On the relevance of the neurobiological analogue of the finite-state architecture. Neurocomputing, 65(66), 825-832. doi:10.1016/j.neucom.2004.10.108.

    Abstract

    We present two simple arguments for the potential relevance of a neurobiological analogue of the finite-state architecture. The first assumes the classical cognitive framework, is wellknown, and is based on the assumption that the brain is finite with respect to its memory organization. The second is formulated within a general dynamical systems framework and is based on the assumption that the brain sustains some level of noise and/or does not utilize infinite precision processing. We briefly review the classical cognitive framework based on Church–Turing computability and non-classical approaches based on analog processing in dynamical systems. We conclude that the dynamical neurobiological analogue of the finitestate architecture appears to be relevant, at least at an implementational level, for cognitive brain systems
  • Petrovic, P., Kalso, E., Petersson, K. M., & Ingvar, M. (2002). Placebo and opioid analgesia - Imaging a shared neuronal network. Science, 295(5560), 1737-1740. doi:10.1126/science.1067176.

    Abstract

    It has been suggested that placebo analgesia involves both higher order cognitive networks and endogenous opioid systems. The rostral anterior cingulate cortex (rACC) and the brainstem are implicated in opioid analgesia, suggesting a similar role for these structures in placebo analgesia. Using positron emission tomography, we confirmed that both opioid and placebo analgesia are associated with increased activity in the rACC. We also observed a covariation between the activity in the rACC and the brainstem during both opioid and placebo analgesia, but not during the pain-only condition. These findings indicate a related neural mechanism in placebo and opioid analgesia.
  • Petrovic, P., Kalso, E., Petersson, K. M., & Ingvar, M. (2002). Placebo and opioid analgesia - Imaging a shared neuronal network. Science, 295(5560), 1737-1740. doi:10.1126/science.1067176.

    Abstract

    It has been suggested that placebo analgesia involves both higher order cognitive networks and endogenous opioid systems. The rostral anterior cingulate cortex (rACC) and the brainstem are implicated in opioid analgesia, suggesting a similar role for these structures in placebo analgesia. Using positron emission tomography, we confirmed that both opioid and placebo analgesia are associated with increased activity in the rACC. We also observed a covariation between the activity in the rACC and the brainstem during both opioid and placebo analgesia, but not during the pain-only condition. These findings indicate a related neural mechanism in placebo and opioid analgesia.
  • Petrovic, P., Petersson, K. M., Hansson, P., & Ingvar, M. (2002). A regression analysis study of the primary somatosensory cortex during pain. NeuroImage, 16(4), 1142-1150. doi:10.1006/nimg.2002.1069.

    Abstract

    Several functional imaging studies of pain, using a number of different experimental paradigms and a variety of reference states, have failed to detect activations in the somatosensory cortices, while other imaging studies of pain have reported significant activations in these regions. The role of the somatosensory areas in pain processing has therefore been debated. In the present study the left hand was immersed in painfully cold water (standard cold pressor test) and in nonpainfully cold water during 2 min, and PET-scans were obtained either during the first or the second minute of stimulation. We observed no significant increase of activity in the somatosensory regions when the painful conditions were directly compared with the control conditions. In order to better understand the role of the primary somatosensory cortex (S1) in pain processing we used a regression analysis to study the relation between a ROI (region of interest) in the somatotopic S1-area for the stimulated hand and other regions known to be involved in pain processing. We hypothesized that although no increased activity was observed in the S1 during pain, this region would change its covariation pattern during noxious input as compared to the control stimulation if it is involved in or affected by the processing of pain. In the nonpainful cold conditions widespread regions of the ipsilateral and contralateral somatosensory cortex showed a positive covariation with the activity in the S1-ROI. However, during the first and second minute of pain this regression was significantly attenuated. During the second minute of painful stimulation there was a significant positive covariation between the activity in the S1-ROI and the other regions that are known to be involved in pain processing. Importantly, this relation was significantly stronger for the insula and the orbitofrontal cortex bilaterally when compared to the nonpainful state. The results indicate that the S1-cortex may be engaged in or affected by the processing of pain although no differential activity is observed when pain is compared with the reference condition.
  • Pijls, F., Daelemans, W., & Kempen, G. (1987). Artificial intelligence tools for grammar and spelling instruction. Instructional Science, 16(4), 319-336. doi:10.1007/BF00117750.

    Abstract

    In The Netherlands, grammar teaching is an especially important subject in the curriculum of children aged 10-15 for several reasons. However, in spite of all attention and time invested, the results are poor. This article describes the problems and our attempt to overcome them by developing an intelligent computational instructional environment consisting of: a linguistic expert system, containing a module representing grammar and spelling rules and a number of modules to manipulate these rules; a didactic module; and a student interface with special facilities for grammar and spelling. Three prototypes of the functionality are discussed: BOUWSTEEN and COGO, which are programs for constructing and analyzing Dutch sentences; and TDTDT, a program for the conjugation of Dutch verbs.
  • Pijls, F., & Kempen, G. (1987). Kennistechnologische leermiddelen in het grammatica- en spellingonderwijs. Nederlands Tijdschrift voor de Psychologie, 42, 354-363.
  • Pine, J. M., Rowland, C. F., Lieven, E. V., & Theakston, A. L. (2005). Testing the Agreement/Tense Omission Model: Why the data on children's use of non-nominative 3psg subjects count against the ATOM. Journal of Child Language, 32(2), 269-289. doi:10.1017/S0305000905006860.

    Abstract

    One of the most influential recent accounts of pronoun case-marking errors in young children's speech is Schütze & Wexler's (1996) Agreement/Tense Omission Model (ATOM). The ATOM predicts that the rate of agreeing verbs with non-nominative subjects will be so low that such errors can be reasonably disregarded as noise in the data. The present study tests this prediction on data from 12 children between the ages of 1;8.22 and 3;0.10. This is done, first, by identifying children who produced a reasonably large number of non-nominative 3psg subjects; second, by estimating the expected rate of agreeing verbs with masculine and feminine non-nominative subjects in these children's speech; and, third, by examining the actual rate at which agreeing verb forms occurred with non-nominative subjects in those areas of the data in which the expected error rate was significantly greater than 10%. The results show, first, that only three of the children produced enough non-nominative subjects to allow a reasonable test of the ATOM to be made; second, that for all three of these children, the only area of the data in which the expected frequency of agreeing verbs with non-nominative subjects was significantly greater than 10% was their use of feminine case-marked subjects; and third, that for all three of these children, the rate of agreeing verbs with non-nominative feminine subjects was over 30%. These results raise serious doubts about the claim that children's use of non-nominative subjects can be explained in terms of AGR optionality, and suggest the need for a model of pronoun case-marking error that can explain why some children produce agreeing verb forms with non-nominative subjects as often as they do.
  • Pluymaekers, M., Ernestus, M., & Baayen, R. H. (2005). Articulatory planning is continuous and sensitive to informational redundancy. Phonetica, 62(2-4), 146-159. doi:10.1159/000090095.

    Abstract

    This study investigates the relationship between word repetition, predictability from neighbouring words, and articulatory reduction in Dutch. For the seven most frequent words ending in the adjectival suffix -lijk, 40 occurrences were randomly selected from a large database of face-to-face conversations. Analysis of the selected tokens showed that the degree of articulatory reduction (as measured by duration and number of realized segments) was affected by repetition, predictability from the previous word and predictability from the following word. Interestingly, not all of these effects were significant across morphemes and target words. Repetition effects were limited to suffixes, while effects of predictability from the previous word were restricted to the stems of two of the seven target words. Predictability from the following word affected the stems of all target words equally, but not all suffixes. The implications of these findings for models of speech production are discussed.
  • Pluymaekers, M., Ernestus, M., & Baayen, R. H. (2005). Lexical frequency and acoustic reduction in spoken Dutch. Journal of the Acoustical Society of America, 118(4), 2561-2569. doi:10.1121/1.2011150.

    Abstract

    This study investigates the effects of lexical frequency on the durational reduction of morphologically complex words in spoken Dutch. The hypothesis that high-frequency words are more reduced than low-frequency words was tested by comparing the durations of affixes occurring in different carrier words. Four Dutch affixes were investigated, each occurring in a large number of words with different frequencies. The materials came from a large database of face-to-face conversations. For each word containing a target affix, one token was randomly selected for acoustic analysis. Measurements were made of the duration of the affix as a whole and the durations of the individual segments in the affix. For three of the four affixes, a higher frequency of the carrier word led to shorter realizations of the affix as a whole, individual segments in the affix, or both. Other relevant factors were the sex and age of the speaker, segmental context, and speech rate. To accommodate for these findings, models of speech production should allow word frequency to affect the acoustic realizations of lower-level units, such as individual speech sounds occurring in affixes.
  • Poletiek, F. H. (2002). [Review of the book Adaptive thinking: Rationality in the real world by G. Gigerenzer]. Acta Psychologica, 111(3), 351-354. doi:10.1016/S0001-6918(02)00046-X.
  • Poletiek, F. H. (2002). How psychiatrists and judges assess the dangerousness of persons with mental illness: An 'expertise bias'. Behavioral Sciences & the Law, 20(1-2), 19-29. doi:10.1002/bsl.468.

    Abstract

    When assessing dangerousness of mentally ill persons with the objective of making a decision on civil commitment, medical and legal experts use information typically belonging to their professional frame of reference. This is investigated in two studies of the commitment decision. It is hypothesized that an ‘expertise bias’ may explain differences between the medical and the legal expert in defining the dangerousness concept (study 1), and in assessing the seriousness of the danger (study 2). Judges define dangerousness more often as harming others, whereas psychiatrists more often include harm to self in the definition. In assessing the seriousness of the danger, experts tend to be more tolerant with regard to false negatives, as the type of behavior is more familiar to them. The theoretical and practical implications of the results are discussed.
  • Poletiek, F. H. (2002). Implicit learning of a recursive rule in an artificial grammar. Acta Psychologica, 111(3), 323-335. doi:10.1016/S0001-6918(02)00057-4.

    Abstract

    Participants performed an artificial grammar learning task, in which the standard finite
    state grammar (J. Verb. Learn. Verb. Behavior 6 (1967) 855) was extended with a recursive
    rule generating self-embedded sequences. We studied the learnability of such a rule in two experiments.
    The results verify the general hypothesis that recursivity can be learned in an artificial
    grammar learning task. However this learning seems to be rather based on recognising
    chunks than on abstract rule induction. First, performance was better for strings with more
    than one level of self-embedding in the sequence, uncovering more clearly the self-embedding
    pattern. Second, the infinite repeatability of the recursive rule application was not spontaneously
    induced from the training, but it was when an additional cue about this possibility was
    given. Finally, participants were able to verbalise their knowledge of the fragments making up
    the sequences––especially in the crucial front and back positions––, whereas knowledge of the
    underlying structure, to the extent it was acquired, was not articulatable. The results are discussed
    in relation to previous studies on the implicit learnability of complex and abstract rules.
  • Poletiek, F. H., & Rassin E. (Eds.). (2005). Het (on)bewuste [Special Issue]. De Psycholoog.
  • Poletiek, F. H., & Van den Bos, E. J. (2005). Het onbewuste is een dader met een motief. De Psycholoog, 40(1), 11-17.
  • Praamstra, P., Hagoort, P., Maassen, B., & Crul, T. (1991). Word deafness and auditory cortical function: A case history and hypothesis. Brain, 114, 1197-1225. doi:10.1093/brain/114.3.1197.

    Abstract

    A patient who already had Wernick's aphasia due to a left temporal lobe lesion suffered a severe deterioration specifically of auditory language comprehension, subsequent to right temporal lobe infarction. A detailed comparison of his new condition with his language status before the second stroke revealed that the newly acquired deficit was limited to tasks related to auditory input. Further investigations demonstrated a speech perceptual disorder, which we analysed as due to deficits both at the level of general auditory processes and at the level of phonetic analysis. We discuss some arguments related to hemisphere specialization of phonetic processing and to the disconnection explanation of word deafness that support the hypothesis of word deafness being generally caused by mixed deficits.
  • Reesink, G. (2002). Clause-final negation, structure and interpretation. Functions of Language, 9(2), 239-268.

    Abstract

    Negation in a number of Austronesian and Papuan languages with SVO order is expressed by a rather rigid clause-final position of the negative adverb. Some typological generalizations for negation are reviewed and the distribution of this trait in languages of different stocks is discussed, arguing that it most likely originates in Papuan languages. Some proposals for different types of negation, such as whether it is a verbal (or VP) operator, a constituent operator or a sentential operator are considered. The problem of determining the scope of negation is discussed, with the conclusion that hard and fast semantic meanings for NEG at different structural levels cannot be posited, suggesting that perhaps a solution can be found in the application of some universal pragmatic principles.
  • Rey, A., & Schiller, N. O. (2005). Graphemic complexity and multiple print-to-sound associations in visual word recognition. Memory & Cognition, 33(1), 76-85.

    Abstract

    It has recently been reported that words containing a multiletter grapheme are processed slower than are words composed of single-letter graphemes (Rastle & Coltheart, 1998; Rey, Jacobs, Schmidt-Weigand, & Ziegler, 1998). In the present study, using a perceptual identification task, we found in Experiment 1 that this graphemic complexity effect can be observed while controlling for multiple print-to-sound associations, indexed by regularity or consistency. In Experiment 2, we obtained cumulative effects of graphemic complexity and regularity. These effects were replicated in Experiment 3 in a naming task. Overall, these results indicate that graphemic complexity and multiple print-to-sound associations effects are independent and should be accounted for in different ways by models of written word processing.
  • Robinson, S. (2002). Constituent order in Tenejapa Tzeltal. International Journal of American Linguistics, 68(1), 51-81.

    Abstract

    Examines the basic constituent order (BCO) on the transitive sentences in the Tenejapa dialect of Tzeltal. Concept of the basic word order; Patterns of constituent order of the transitive clauses; Consideration of VOA as the BCO.
  • Roelofs, A. (2002). Syllable structure effects turn out to be word length effects: Comment on Santiago et al. (2000). Language and Cognitive Processes, 17(1), 1-13. doi:10.1080/01690960042000139.

    Abstract

    Santiago, MacKay, Palma, and Rho (2000) report two picture naming experiments examining the role of syllable onset complexity and number of syllables in spoken word production. Experiment 1 showed that naming latencies are longer for words with two syllables (e.g., demon ) than one syllable (e.g., duck ), and longer for words beginning with a consonant cluster (e.g., drill ) than a single consonant (e.g., duck ). Experiment 2 replicated these findings and showed that the complexity of the syllable nucleus and coda has no effect. These results are taken to support MacKay's (1987) Node Structure theory and to refute models such as WEAVER++ (Roelofs, 1997a) that predict effects of word length but not of onset complexity and number of syllables per se. In this comment, I show that a re-analysis of the data of Santiago et al. that takes word length into account leads to the opposite conclusion. The observed effects of onset complexity and number of syllables appear to be length effects, supporting WEAVER++ and contradicting the Node Structure theory.
  • Roelofs, A. (2002). Spoken language planning and the initiation of articulation. Quarterly Journal of Experimental Psychology, 55A(2), 465-483. doi:10.1080/02724980143000488.

    Abstract

    Minimalist theories of spoken language planning hold that articulation starts when the first
    speech segment has been planned, whereas non-minimalist theories assume larger units (e.g.,
    Levelt, Roelofs, & Meyer, 1999a). Three experiments are reported, which were designed to distinguish
    between these views using a newhybrid task that factorially manipulated preparation and
    auditory priming of spoken language production. Minimalist theories predict no effect from
    priming of non-initial segments when the initial segment of an utterance is already prepared;
    observing such a priming effect would support non-minimalist theories. In all three experiments,
    preparation and priming yielded main effects, and together their effects were additive. Preparation
    of initial segments does not eliminate priming effects for later segments. These results challenge
    the minimalist view. The findings are simulated by WEAVER++ (Roelofs, 1997b), which
    employs the phonological word as the lower limit for articulation initiation.
  • Roelofs, A. (2005). The visual-auditory color-word Stroop asymmetry and its time course. Memory & Cognition, 33(8), 1325-1336.

    Abstract

    Four experiments examined crossmodal versions of the Stroop task in order (1) to look for Stroop asymmetries in color naming, spoken-word naming, and written-word naming and to evaluate the time course of these asymmetries, and (2) to compare these findings to current models of the Stroop effect. Participants named color patches while ignoring spoken color words presented with an onset varying from 300 msec before to 300 msec after the onset of the color (Experiment 1), or they named the spoken words and ignored the colors (Experiment 2). A secondary visual detection task assured that the participants looked at the colors in both tasks. Spoken color words yielded Stroop effects in color naming, but colors did not yield an effect in spoken-word naming at any stimulus onset asynchrony. This asymmetry in effects was obtained with equivalent color- and spoken-word-naming latencies. Written color words yielded a Stroop effect in naming spoken words (Experiment 3), and spoken color words yielded an effect in naming written words (Experiment 4). These results were interpreted as most consistent with an architectural account of the color-word Stroop asymmetry, in contrast with discriminability and pathway strength accounts.
  • Roelofs, A., & Hagoort, P. (2002). Control of language use: Cognitive modeling of the hemodynamics of Stroop task performance. Cognitive Brain Research, 15(1), 85-97. doi:10.1016/S0926-6410(02)00218-5.

    Abstract

    The control of language use has in its simplest form perhaps been most intensively studied using the color–word Stroop task. The authors review chronometric and neuroimaging evidence on Stroop task performance to evaluate two prominent, implemented models of control in naming and reading: GRAIN and WEAVER++. Computer simulations are reported, which reveal that WEAVER++ offers a more satisfactory account of the data than GRAIN. In particular, we report WEAVER++ simulations of the BOLD response in anterior cingulate cortex during Stroop performance. Aspects of single-word production and perception in the Stroop task are discussed in relation to the wider problem of the control of language use.
  • Roelofs, A. (2002). How do bilinguals control their use of languages? Bilingualism: Language and Cognition, 5(3), 214-215. doi:10.1017/S1366728902263014.
  • Roelofs, A., & Baayen, R. H. (2002). Morphology by itself in planning the production of spoken words. Psychonomic Bulletin & Review, 9(1), 132-138.

    Abstract

    The authors report a study in Dutch that used an on-line preparation paradigm to test the issue of semantic
    dependency versus morphological autonomy in the production of polymorphemic words. Semantically
    transparent complex words (like input in English) and semantically opaque complex words
    (like invoice) showed clear evidence of morphological structure in word-form encoding, since both exhibited
    an equally large preparation effect that was much greater than that for morphologically simple
    words (like insect). These results suggest that morphemes may be planning units in the production of
    complex words, without making a semantic contribution, thereby supporting the autonomy view. Language
    production establishes itself as a domain in which morphology may operate “by itself” (Aronoff,
    1994) without recourse to meaning.
  • Rösler, D., & Skiba, R. (1988). Möglichkeiten für den Einsatz einer Lehrmaterial-Datenbank in der Lehrerfortbildung. Deutsch lernen, 14(1), 24-31.
  • Rowland, C. F., Pine, J. M., Lieven, E. V., & Theakston, A. L. (2005). The incidence of error in young children's wh-questions. Journal of Speech, Language, and Hearing Research, 48, 384-404. doi:10.1044/1092-4388(2005/027).

    Abstract

    Many current generativist theorists suggest that young children possess the grammatical principles of inversion required for question formation but make errors because they find it difficult to learn language-specific rules about how inversion applies. The present study analyzed longitudinal spontaneous sampled data from twelve 2–3-year-old English speaking children and the intensive diary data of 1 child (age 2;7 [years;months] to 2;11) in order to test some of these theories. The results indicated significantly different rates of error use across different auxiliaries. In particular, error rates differed across 2 forms of the same auxiliary subtype (e.g., auxiliary is vs. are), and auxiliary DO and modal auxiliaries attracted significantly higher rates of errors of inversion than other auxiliaries. The authors concluded that current generativist theories might have problems explaining the patterning of errors seen in children's questions, which might be more consistent with a constructivist account of development. However, constructivists need to devise more precise predictions in order to fully explain the acquisition of questions.
  • Sandberg, A., Lansner, A., Petersson, K. M., & Ekeberg, Ö. (2002). A Bayesian attractor network with incremental learning. Network: Computation in Neural Systems, 13(2), 179-194. doi:10.1088/0954-898X/13/2/302.

    Abstract

    A realtime online learning system with capacity limits needs to gradually forget old information in order to avoid catastrophic forgetting. This can be achieved by allowing new information to overwrite old, as in a so-called palimpsest memory. This paper describes an incremental learning rule based on the Bayesian confidence propagation neural network that has palimpsest properties when employed in an attractor neural network. The network does not suffer from catastrophic forgetting, has a capacity dependent on the learning time constant and exhibits faster convergence for newer patterns.
  • Scharenborg, O., Norris, D., Ten Bosch, L., & McQueen, J. M. (2005). How should a speech recognizer work? Cognitive Science, 29(6), 867-918. doi:10.1207/s15516709cog0000_37.

    Abstract

    Although researchers studying human speech recognition (HSR) and automatic speech recognition (ASR) share a common interest in how information processing systems (human or machine) recognize spoken language, there is little communication between the two disciplines. We suggest that this lack of communication follows largely from the fact that research in these related fields has focused on the mechanics of how speech can be recognized. In Marr's (1982) terms, emphasis has been on the algorithmic and implementational levels rather than on the computational level. In this article, we provide a computational-level analysis of the task of speech recognition, which reveals the close parallels between research concerned with HSR and ASR. We illustrate this relation by presenting a new computational model of human spoken-word recognition, built using techniques from the field of ASR that, in contrast to current existing models of HSR, recognizes words from real speech input.
  • Schiller, N. O., & Caramazza, A. (2002). The selection of grammatical features in word production: The case of plural nouns in German. Brain and Language, 81(1-3), 342-357. doi:10.1006/brln.2001.2529.

    Abstract

    Two experiments investigate the effect of number congruency using picture–word interference. Native German participants were required to name pictures of single objects (Nase ‘nose’) or two instances of the same object (Nasen ‘noses’) while ignoring simultaneously presented distractor words. Distractor words either had the same number or were different in number. In addition, the type of plural formation (same or different inflectional plural suffix) and the semantic relationship (same or different semantic category) between target and distractor were varied in Experiments 1 and 2. Results showed no effect of number congruency in either experiment. Furthermore, the type of inflectional suffix did not exert an influence on naming latencies in Experiment 1, but semantic relationship led to a significant interference effect in Experiment 2. The results indicate that selection of the number feature diacritic in noun production is not a competitive process. The implications of the results for models of lexical access are discussed.
  • Schoffelen, J.-M., Oostenveld, R., & Fries, P. (2005). Neuronal coherence as a mechanism of effective corticospinal interaction. Science, 308, 111-113. doi:10.1126/science.1107027.

    Abstract

    Neuronal groups can interact with each other even if they are widely separated. One group might modulate its firing rate or its internal oscillatory synchronization to influence another group. We propose that coherence between two neuronal groups is a mechanism of efficient interaction, because it renders mutual input optimally timed and thereby maximally effective. Modulations of subjects' readiness to respond in a simple reaction-time task were closely correlated with the strength of gamma-band (40 to 70 hertz) coherence between motor cortex and spinal cord neurons. This coherence may contribute to an effective corticospinal interaction and shortened reaction times.
  • Scott, D. R., & Cutler, A. (1984). Segmental phonology and the perception of syntactic structure. Journal of Verbal Learning and Verbal Behavior, 23, 450-466. Retrieved from http://www.sciencedirect.com/science//journal/00225371.

    Abstract

    Recent research in speech production has shown that syntactic structure is reflected in segmental phonology--the application of certain phonological rules of English (e.g., palatalization and alveolar flapping) is inhibited across phrase boundaries. We examined whether such segmental effects can be used in speech perception as cues to syntactic structure, and the relation between the use of these segmental features as syntactic markers in production and perception. Speakers of American English (a dialect in which the above segmental effects occur) could indeed use the segmental cues in syntax perception; speakers of British English (in which the effects do not occur) were unable to make use of them, while speakers of British English who were long-term residents of the United States showed intermediate performance.
  • Senft, G. (1988). A grammar of Manam by Frantisek Lichtenberk [Book review]. Language and linguistics in Melanesia, 18, 169-173.
  • Senft, G. (1985). Emic or etic or just another catch 22? A repartee to Hartmut Haberland. Journal of Pragmatics, 9, 845.
  • Senft, G. (1991). [Review of the book Einführung in die deskriptive Linguistik by Michael Dürr and Peter Schlobinski]. Linguistics, 29, 722-725.
  • Senft, G. (1988). [Review of the book Functional syntax: Anaphora, discourse and empathy by Susumu Kuno]. Journal of Pragmatics, 12, 396-399. doi:10.1016/0378-2166(88)90040-9.
  • Senft, G. (1991). [Review of the book The sign languages of Aboriginal Australia by Adam Kendon]. Journal of Pragmatics, 15, 400-405. doi:10.1016/0378-2166(91)90040-5.
  • Senft, G. (2002). Aus dem Arbeitsalltag von Gunter Senft, MPI Nijmegen. Rundbrief - Forum für Mitglieder und Freunde des Pazifik-Netzwerkes e.V., 51(2), 24-26.
  • Senft, G. (2002). [Review of the book Die Deutsche Südsee 1884-1914. Ein Handbuch ed. by Hermann Joseph Hiery]. Paideuma, 48, 299-303.
  • Senft, G. (2005). [Review of the book Malinowski: Odyssey of an anthropologist 1884-1920 by Michael Young]. Oceania, 75(3), 302-302.
  • Senft, G. (2005). [Review of the book The art of Kula by Shirley F. Campbell]. Anthropos, 100, 247-249.
  • Senft, G. (1985). How to tell - and understand - a 'dirty' joke in Kilivila. Journal of Pragmatics, 9, 815-834.
  • Senft, G. (1987). Kilivila color terms. Studies in Language, 11, 313-346.
  • Senft, G. (1985). Kilivila: Die Sprache der Trobriander. Studium Linguistik, 17/18, 127-138.
  • Senft, G. (1985). Klassifikationspartikel im Kilivila: Glossen zu ihrer morphologischen Rolle, ihrem Inventar und ihrer Funktion in Satz und Diskurs. Linguistische Berichte, 99, 373-393.
  • Senft, G. (1987). Nanam'sa Bwena - Gutes Denken: Eine ethnolinguistische Fallstudie über eine Dorfversammlung auf den Trobriand Inseln. Zeitschrift für Ethnologie, 112, 181-222.
  • Senft, G. (1991). Network models to describe the Kilivila classifier system. Oceanic Linguistics, 30, 131-155. Retrieved from http://www.jstor.org/stable/3623085.
  • Senft, G. (1987). Rituelle Kommunikation auf den Trobriand Inseln. Zeitschrift für Literaturwissenschaft und Linguistik, 65, 105-130.
  • Senft, G. (1985). Weyeis Wettermagie: Eine ethnolinguistische Untersuchung von fünf magischen Formeln eines Wettermagiers auf den Trobriand Inseln. Zeitschrift für Ethnologie, 110(2), 67-90.
  • Senft, G. (1987). The system of classificatory particles in Kilivila reconsidered: First results on its inventory, its acquisition, and its usage. Language and Linguistics in Melanesia, 16, 100-125.
  • Senft, G. (1985). Trauer auf Trobriand: Eine ethnologisch/-linguistische Fallstudie. Anthropos, 80, 471-492.
  • Senghas, A., Ozyurek, A., & Kita, S. (2005). [Response to comment on Children creating core properties of language: Evidence from an emerging sign language in Nicaragua]. Science, 309(5731), 56c-56c. doi:10.1126/science.1110901.
  • Seuren, P. A. M. (2002). The logic of thinking. Koninklijke Nederlandse Akademie van Wetenschappen, Mededelingen van de Afdeling Letterkunde, Nieuwe Reeks, 65(9), 5-35.
  • Seuren, P. A. M. (1987). A note on siki. Journal of Pidgin and Creole Languages, 2(1), 57-62. doi:10.1075/jpcl.2.1.07pie.
  • Seuren, P. A. M. (1988). [Review of the book Pidgin and Creole linguistics by P. Mühlhäusler]. Studies in Language, 12(2), 504-513.
  • Seuren, P. A. M. (1988). [Review of the Collins Cobuild English Language Dictionary (Collins Birmingham University International Language Database)]. Journal of Semantics, 6, 169-174. doi:10.1093/jos/6.1.169.
  • Seuren, P. A. M. (2005). Eubulides as a 20th-century semanticist. Language Sciences, 27(1), 75-95. doi:10.1016/j.langsci.2003.12.001.

    Abstract

    It is the purpose of the present paper to highlight the figure of Eubulides, a relatively unknown Greek philosopher who lived ±405–330 BC and taught at Megara, not far from Athens. He is mainly known for his four paradoxes (the Liar, the Sorites, the Electra, and the Horns), and for the mutual animosity between him and his younger contemporary Aristotle. The Megarian school of philosophy was one of the main sources of the great Stoic tradition in ancient philosophy. What has never been made explicit in the literature is the importance of the four paradoxes for the study of meaning in natural language: they summarize the whole research programme of 20th century formal or formally oriented semantics, including the problems of vague predicates (Sorites), intensional contexts (Electra), and presuppositions (Horns). One might say that modern formal or formally oriented semantics is essentially an attempt at finding linguistically tenable answers to problems arising in the context of Aristotelian thought. It is a surprising and highly significant fact that a contemporary of Aristotle already spotted the main weaknesses of the Aristotelian paradigm.
  • Seuren, P. A. M. (2002). [Review of the book Indigenous Grammar Across Cultures ed. by Hannes Kniffka]. Linguistics, 40(5), 1090-1096.
  • Seuren, P. A. M. (1987). How relevant?: A commentary on Sperber and Wilson "Précis of relevance: Communication and cognition'. Behavioral and Brain Sciences, 10, 731-733. doi:10.1017/S0140525X00055564.
  • Seuren, P. A. M. (1963). Naar aanleiding van Dr. F. Balk-Smit Duyzentkunst "De Grammatische Functie". Levende Talen, 219, 179-186.
  • Seuren, P. A. M. (1987). Les paradoxes et le langage. Logique et Analyse, 30(120), 365-383.
  • Seuren, P. A. M. (1991). Grammatika als algorithme: Rekenen met taal. Koninklijke Nederlandse Akademie van Wetenschappen. Mededelingen van de Afdeling Letterkunde, Nieuwe Reeks, 54(2), 25-63.
  • Seuren, P. A. M. (1989). Neue Entwicklungen im Wahrheitsbegriff. Studia Leibnitiana, 21(2), 155-173.
  • Seuren, P. A. M. (1984). Operator lowering. Linguistics, 22(5), 573-627. doi:10.1515/ling.1984.22.5.573.
  • Seuren, P. A. M. (1988). Presupposition and negation. Journal of Semantics, 6(3/4), 175-226. doi:10.1093/jos/6.1.175.

    Abstract

    This paper is an attempt to show that given the available observations on the behaviour of negation and presuppositions there is no simpler explanation than to assume that natural language has two distinct negation operators, the minimal negation which preserves presuppositions and the radical negation which does not. The three-valued logic emerging from this distinction, and especially its model-theory, are discussed in detail. It is, however, stressed that the logic itself is only epiphenomenal on the structures and processes involved in the interpretation of sentences. Horn (1985) brings new observations to bear, related with metalinguistic uses of negation, and proposes a “pragmatic” ambiguity in negation to the effect that in descriptive (or “straight”) use negation is the classical bivalent operator, whereas in metalinguistic use it is non-truthfunctional but only pragmatic. Van der Sandt (to appear) accepts Horn's observations but proposes a different solution: he proposes an ambiguity in the argument clause of the negation operator (which, for him, too, is classical and bivalent), according to whether the negation takes only the strictly asserted proposition or covers also the presuppositions, the (scalar) implicatures and other implications (in particular of style and register) of the sentence expressing that proposition. These theories are discussed at some length. The three-valued analysis is defended on the basis of partly new observations, which do not seem to fit either Horn's or Van der Sandt's solution. It is then placed in the context of incremental discourse semantics, where both negations are seen to do the job of keeping increments out of the discourse domain, though each does so in its own specific way. The metalinguistic character of the radical negation is accounted for in terms of the incremental apparatus. The metalinguistic use of negation in denials of implicatures or implications of style and register is regarded as a particular form of minimal negation, where the negation denies not the proposition itself but the appropriateness of the use of an expression in it. This appropriateness negation is truth-functional and not pragmatic, but it applies to a particular, independently motivated, analysis of the argument clause. The ambiguity of negation in natural language is different from the ordinary type of ambiguity found in the lexicon. Normally, lexical ambiguities are idiosyncratic, highly contingent, and unpredictable from language to language. In the case of negation, however, the two meanings are closely related, both truth-conditionally and incrementally. Moreover, the mechanism of discourse incrementation automatically selects the right meaning. These properties are taken to provide a sufficient basis for discarding the, otherwise valid, objection that negation is unlikely to be ambiguous because no known language makes a lexical distinction between the two readings.
  • Seuren, P. A. M. (1984). The bioprogram hypothesis: Facts and fancy. A commentary on Bickerton "The language bioprogram hypothesis". Behavioral and Brain Sciences, 7(2), 208-209. doi:10.1017/S0140525X00044356.
  • Seuren, P. A. M. (1984). The comparative revisited. Journal of Semantics, 3(1), 109-141. doi:10.1093/jos/3.1-2.109.
  • Shapiro, K. A., Mottaghy, F. M., Schiller, N. O., Poeppel, T. D., Flüss, M. O., Müller, H. W., Caramazza, A., & Krause, B. J. (2005). Dissociating neural correlates for nouns and verbs. NeuroImage, 24(4), 1058-1067. doi:10.1016/j.neuroimage.2004.10.015.

    Abstract

    Dissociations in the ability to produce words of different grammatical categories are well established in neuropsychology but have not been corroborated fully with evidence from brain imaging. Here we report on a PET study designed to reveal the anatomical correlates of grammatical processes involving nouns and verbs. German-speaking subjects were asked to produce either plural and singular nouns, or first-person plural and singular verbs. Verbs, relative to nouns, activated a left frontal cortical network, while the opposite contrast (nouns–verbs) showed greater activation in temporal regions bilaterally. Similar patterns emerged when subjects performed the task with pseudowords used as nouns or as verbs. These results converge with findings from lesion studies and suggest that grammatical category is an important dimension of organization for knowledge of language in the brain.
  • Sharp, D. J., Scott, S. K., Cutler, A., & Wise, R. J. S. (2005). Lexical retrieval constrained by sound structure: The role of the left inferior frontal gyrus. Brain and Language, 92(3), 309-319. doi:10.1016/j.bandl.2004.07.002.

    Abstract

    Positron emission tomography was used to investigate two competing hypotheses about the role of the left inferior frontal gyrus (IFG) in word generation. One proposes a domain-specific organization, with neural activation dependent on the type of information being processed, i.e., surface sound structure or semantic. The other proposes a process-specific organization, with activation dependent on processing demands, such as the amount of selection needed to decide between competing lexical alternatives. In a novel word retrieval task, word reconstruction (WR), subjects generated real words from heard non-words by the substitution of either a vowel or consonant. Both types of lexical retrieval, informed by sound structure alone, produced activation within anterior and posterior left IFG regions. Within these regions there was greater activity for consonant WR, which is more difficult and imposes greater processing demands. These results support a process-specific organization of the anterior left IFG.
  • Sidnell, J., & Stivers, T. (Eds.). (2005). Multimodal Interaction [Special Issue]. Semiotica, 156.
  • Smalley, S. L., Kustanovich, V., Minassian, S. L., Stone, J. L., Ogdie, M. N., McGough, J. J., McCracken, J. T., MacPhie, I. L., Francks, C., Fisher, S. E., Cantor, R. M., Monaco, A. P., & Nelson, S. F. (2002). Genetic linkage of Attention-Deficit/Hyperactivity Disorder on chromosome 16p13, in a region implicated in autism. American Journal of Human Genetics, 71(4), 959-963. doi:10.1086/342732.

    Abstract

    Attention-deficit/hyperactivity disorder (ADHD) is the most commonly diagnosed behavioral disorder in childhood and likely represents an extreme of normal behavior. ADHD significantly impacts learning in school-age children and leads to impaired functioning throughout the life span. There is strong evidence for a genetic etiology of the disorder, although putative alleles, principally in dopamine-related pathways suggested by candidate-gene studies, have very small effect sizes. We use affected-sib-pair analysis in 203 families to localize the first major susceptibility locus for ADHD to a 12-cM region on chromosome 16p13 (maximum LOD score 4.2; P=.000005), building upon an earlier genomewide scan of this disorder. The region overlaps that highlighted in three genome scans for autism, a disorder in which inattention and hyperactivity are common, and physically maps to a 7-Mb region on 16p13. These findings suggest that variations in a gene on 16p13 may contribute to common deficits found in both ADHD and autism.
  • Smith, M. R., Cutler, A., Butterfield, S., & Nimmo-Smith, I. (1989). The perception of rhythm and word boundaries in noise-masked speech. Journal of Speech and Hearing Research, 32, 912-920.

    Abstract

    The present experiment tested the suggestion that human listeners may exploit durational information in speech to parse continuous utterances into words. Listeners were presented with six-syllable unpredictable utterances under noise-masking, and were required to judge between alternative word strings as to which best matched the rhythm of the masked utterances. For each utterance there were four alternative strings: (a) an exact rhythmic and word boundary match, (b) a rhythmic mismatch, and (c) two utterances with the same rhythm as the masked utterance, but different word boundary locations. Listeners were clearly able to perceive the rhythm of the masked utterances: The rhythmic mismatch was chosen significantly less often than any other alternative. Within the three rhythmically matched alternatives, the exact match was chosen significantly more often than either word boundary mismatch. Thus, listeners both perceived speech rhythm and used durational cues effectively to locate the position of word boundaries.
  • Spinelli, E., Cutler, A., & McQueen, J. M. (2002). Resolution of liaison for lexical access in French. Revue Française de Linguistique Appliquée, 7, 83-96.

    Abstract

    Spoken word recognition involves automatic activation of lexical candidates compatible with the perceived input. In running speech, words abut one another without intervening gaps, and syllable boundaries can mismatch with word boundaries. For instance, liaison in ’petit agneau’ creates a syllable beginning with a consonant although ’agneau’ begins with a vowel. In two cross-modal priming experiments we investigate how French listeners recognise words in liaison environments. These results suggest that the resolution of liaison in part depends on acoustic cues which distinguish liaison from non-liaison consonants, and in part on the availability of lexical support for a liaison interpretation.
  • Srivastava, S., Budwig, N., & Narasimhan, B. (2005). A developmental-functionalist view of the development of transitive and intratransitive constructions in a Hindi-speaking child: A case study. International Journal of Idiographic Science, 2.
  • Stivers, T. (2005). Parent resistance to physicians' treatment recommendations: One resource for initiating a negotiation of the treatment decision. Health Communication, 18(1), 41-74. doi:10.1207/s15327027hc1801_3.

    Abstract

    This article examines pediatrician-parent interaction in the context of acute pediatric encounters for children with upper respiratory infections. Parents and physicians orient to treatment recommendations as normatively requiring parent acceptance for physicians to close the activity. Through acceptance, withholding of acceptance, or active resistance, parents have resources with which to negotiate for a treatment outcome that is in line with their own wants. This article offers evidence that even in acute care, shared decision making not only occurs but, through normative constraints, is mandated for parents and physicians to reach accord in the treatment decision.
  • Stivers, T. (2005). Modified repeats: One method for asserting primary rights from second position. Research on Language and Social Interaction, 38(2), 131-158. doi:10.1207/s15327973rlsi3802_1.

    Abstract

    In this article I examine one practice speakers have for confirming when confirmation was not otherwise relevant. The practice involves a speaker repeating an assertion previously made by another speaker in modified form with stress on the copula/auxiliary. I argue that these modified repeats work to undermine the first speaker's default ownership and rights over the claim and instead assert the primacy of the second speaker's rights to make the statement. Two types of modified repeats are identified: partial and full. Although both involve competing for primacy of the claim, they occur in distinct sequential environments: The former are generally positioned after a first claim was epistemically downgraded, whereas the latter are positioned following initial claims that were offered straightforwardly, without downgrading.
  • Stivers, T. (2002). 'Symptoms only' and 'Candidate diagnoses': Presenting the problem in pediatric encounters. Health Communication, 14(3), 299-338.
  • Stivers, T., & Sidnell, J. (2005). Introduction: Multimodal interaction. Semiotica, 156(1/4), 1-20. doi:10.1515/semi.2005.2005.156.1.

    Abstract

    That human social interaction involves the intertwined cooperation of different modalities is uncontroversial. Researchers in several allied fields have, however, only recently begun to document the precise ways in which talk, gesture, gaze, and aspects of the material surround are brought together to form coherent courses of action. The papers in this volume are attempts to develop this line of inquiry. Although the authors draw on a range of analytic, theoretical, and methodological traditions (conversation analysis, ethnography, distributed cognition, and workplace studies), all are concerned to explore and illuminate the inherently multimodal character of social interaction. Recent studies, including those collected in this volume, suggest that different modalities work together not only to elaborate the semantic content of talk but also to constitute coherent courses of action. In this introduction we present evidence for this position. We begin by reviewing some select literature focusing primarily on communicative functions and interactive organizations of specific modalities before turning to consider the integration of distinct modalities in interaction.
  • Stivers, T. (2005). Non-antibiotic treatment recommendations: Delivery formats and implications for parent resistance. Social Science & Medicine, 60(5), 949-964. doi:10.1016/j.socscimed.2004.06.040.

    Abstract

    This study draws on a database of 570 community-based acute pediatric encounters in the USA and uses conversation analysis as a methodology to identify two formats physicians use to recommend non-antibiotic treatment in acute pediatric care (using a subset of 309 cases): recommendations for particular treatment (e.g., “I’m gonna give her some cough medicine.”) and recommendations against particular treatment (e.g., “She doesn’t need any antibiotics.”). The findings are that the presentation of a specific affirmative recommendation for treatment is less likely to engender parent resistance to a non-antibiotic treatment recommendation than a recommendation against particular treatment even if the physician later offers a recommendation for particular treatment. It is suggested that physicians who provide a specific positive treatment recommendation followed by a negative recommendation are most likely to attain parent alignment and acceptance when recommending a non-antibiotic treatment for a viral upper respiratory illness.
  • Stivers, T. (2002). Overt parent pressure for antibiotic medication in pediatric encounters. Social Science and Medicine, 54(7), 1111-1130.

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