Publications

Displaying 201 - 300 of 570
  • Gullberg, M., & Indefrey, P. (Eds.). (2006). The cognitive neuroscience of second language acquisition. Michigan: Blackwell.

    Abstract

    The papers in this volume explore the cognitive neuroscience of second language acquisition from the perspectives of critical/sensitive periods, maturational effects, individual differences, neural regions involved, and processing characteristics. The research methodologies used include functional magnetic resonance imaging (fMRI), positron emission tomography (PET), and event related potentials (ERP). Questions addressed include: Which brain areas are reliably activated in second language processing? Are they the same or different from those activated in first language acquisition and use? What are the behavioral consequences of individual differences among brains? What are the consequences of anatomical and physiological differences, learner proficiency effects, critical/sensitive periods? What role does degeneracy, in which two different neural systems can produce the same behavioral output, play? What does it mean that learners' brains respond to linguistic distinctions that cannot be recognized or produced yet? The studies in this volume provide initial answers to all of these questions.
  • Gullberg, M., & Holmqvist, K. (2002). Visual attention towards gestures in face-to-face interaction vs. on screen. In I. Wachsmuth, & T. Sowa (Eds.), Gesture and sign languages in human-computer interaction (pp. 206-214). Berlin: Springer.
  • Gullberg, M. (2002). Gestures, languages, and language acquisition. In S. Strömqvist (Ed.), The diversity of languages and language learning (pp. 45-56). Lund: Lund University.
  • Gullberg, M. (1998). Gesture as a communication strategy in second language discourse: A study of learners of French and Swedish. Lund: Lund University Press.

    Abstract

    Gestures are often regarded as the most typical compensatory device used by language learners in communicative trouble. Yet gestural solutions to communicative problems have rarely been studied within any theory of second language use. The work pre­sented in this volume aims to account for second language learners’ strategic use of speech-associated gestures by combining a process-oriented framework for communi­cation strategies with a cognitive theory of gesture. Two empirical studies are presented. The production study investigates Swedish lear­ners of French and French learners of Swedish and their use of strategic gestures. The results, which are based on analyses of both individual and group behaviour, contradict popular opinion as well as theoretical assumptions from both fields. Gestures are not primarily used to replace speech, nor are they chiefly mimetic. Instead, learners use gestures with speech, and although they do exploit mimetic gestures to solve lexical problems, they also use more abstract gestures to handle discourse-related difficulties and metalinguistic commentary. The influence of factors such as proficiency, task, culture, and strategic competence on gesture use is discussed, and the oral and gestural strategic modes are compared. In the evaluation study, native speakers’ assessments of learners’ gestures, and the potential effect of gestures on evaluations of proficiency are analysed and discussed in terms of individual communicative style. Compensatory gestures function at multiple communicative levels. This has implica­tions for theories of communication strategies, and an expansion of the existing frameworks is discussed taking both cognitive and interactive aspects into account.
  • Gullberg, M., & Burenhult, N. (2012). Probing the linguistic encoding of placement and removal events in Swedish. In A. Kopecka, & B. Narasimhan (Eds.), Events of putting and taking: A crosslinguistic perspective (pp. 167-182). Amsterdam: Benjamins.

    Abstract

    This paper explores the linguistic encoding of placement and removal events in Swedish. Drawing on elicited spoken data, it provides a unified approach to caused motion descriptions. The results show uniform syntactic behaviour of placement and removal descriptions and a consistent asymmetry between placement and removal in the semantic specificity of verbs. The results also reveal three further semantic patterns, pertaining to the nature of the relationship between Figure and Ground, that appear to account for how these event types are characterised, viz. whether the Ground is represented by a body part of the Agent; whether the Figure is contained within the Ground; or whether it is supported by the Ground.
  • Gulrajani, G., & Harrison, D. (2002). SHAWEL: Sharable and interactive web-lexicons. In P. Austin, H. Dry, & P. Wittenburg (Eds.), Proceedings of the international LREC workshop on resources and tools in field linguistics (pp. 9-1-9-4). Paris: European Language Resources Association.

    Abstract

    A prototypical lexicon tool was implemented which was intended to allow researchers to collaboratively create lexicons of endangered languages. Increasingly often researchers documenting or analyzing a language work at different locations. Lexicons that evolve through continuous interaction between the collaborators can only be efficiently produced when it can be accessed and manipulated via the Internet. The SHAWEL tool was developed to address these needs; it makes use of a thin Java client and a central database solution.
  • Haderlein, T., Moers, C., Möbius, B., & Nöth, E. (2012). Automatic rating of hoarseness by text-based cepstral and prosodic evaluation. In P. Sojka, A. Horák, I. Kopecek, & K. Pala (Eds.), Proceedings of the 15th International Conference on Text, Speech and Dialogue (TSD 2012) (pp. 573-580). Heidelberg: Springer.

    Abstract

    The standard for the analysis of distorted voices is perceptual rating of read-out texts or spontaneous speech. Automatic voice evaluation, however, is usually done on stable sections of sustained vowels. In this paper, text-based and established vowel-based analysis are compared with respect to their ability to measure hoarseness and its subclasses. 73 hoarse patients (48.3±16.8 years) uttered the vowel /e/ and read the German version of the text “The North Wind and the Sun”. Five speech therapists and physicians rated roughness, breathiness, and hoarseness according to the German RBH evaluation scheme. The best human-machine correlations were obtained for measures based on the Cepstral Peak Prominence (CPP; up to |r | = 0.73). Support Vector Regression (SVR) on CPP-based measures and prosodic features improved the results further to r ≈0.8 and confirmed that automatic voice evaluation should be performed on a text recording.
  • Hagoort, P. (2006). On Broca, brain and binding. In Y. Grodzinsky, & K. Amunts (Eds.), Broca's region (pp. 240-251). Oxford: Oxford University Press.
  • Hagoort, P. (2002). Het unieke menselijke taalvermogen: Van PAUS naar [paus] in een halve seconde. In J. G. van Hell, A. de Klerk, D. E. Strauss, & T. Torremans (Eds.), Taalontwikkeling en taalstoornissen: Theorie, diagnostiek en behandeling (pp. 51-67). Leuven/Apeldoorn: Garant.
  • Hagoort, P. (2006). Het zwarte gat tussen brein en bewustzijn. In J. Janssen, & J. Van Vugt (Eds.), Brein en bewustzijn: Gedachtensprongen tussen hersenen en mensbeeld (pp. 9-24). Damon: Nijmegen.
  • Hagoort, P. (2012). From ants to music and language [Preface]. In A. D. Patel, Music, language, and the brain [Chinese translation] (pp. 9-10). Shanghai: East China Normal University Press Ltd.
  • Hagoort, P. (2016). MUC (Memory, Unification, Control): A Model on the Neurobiology of Language Beyond Single Word Processing. In G. Hickok, & S. Small (Eds.), Neurobiology of language (pp. 339-347). Amsterdam: Elsever. doi:10.1016/B978-0-12-407794-2.00028-6.

    Abstract

    A neurobiological model of language is discussed that overcomes the shortcomings of the classical Wernicke-Lichtheim-Geschwind model. It is based on a subdivision of language processing into three components: Memory, Unification, and Control. The functional components as well as the neurobiological underpinnings of the model are discussed. In addition, the need for extension beyond the classical core regions for language is shown. Attentional networks as well as networks for inferential processing are crucial to realize language comprehension beyond single word processing and beyond decoding propositional content.
  • Hagoort, P. (1998). The shadows of lexical meaning in patients with semantic impairments. In B. Stemmer, & H. Whitaker (Eds.), Handbook of neurolinguistics (pp. 235-248). New York: Academic Press.
  • Hagoort, P. (2016). Zij zijn ons brein. In J. Brockman (Ed.), Machines die denken: Invloedrijke denkers over de komst van kunstmatige intelligentie (pp. 184-186). Amsterdam: Maven Publishing.
  • Hallé, P., & Cristia, A. (2012). Global and detailed speech representations in early language acquisition. In S. Fuchs, M. Weirich, D. Pape, & P. Perrier (Eds.), Speech planning and dynamics (pp. 11-38). Frankfurt am Main: Peter Lang.

    Abstract

    We review data and hypotheses dealing with the mental representations for perceived and produced speech that infants build and use over the course of learning a language. In the early stages of speech perception and vocal production, before the emergence of a receptive or a productive lexicon, the dominant picture emerging from the literature suggests rather non-analytic representations based on units of the size of the syllable: Young children seem to parse speech into syllable-sized units in spite of their ability to detect sound equivalence based on shared phonetic features. Once a productive lexicon has emerged, word form representations are initially rather underspecified phonetically but gradually become more specified with lexical growth, up to the phoneme level. The situation is different for the receptive lexicon, in which phonetic specification for consonants and vowels seem to follow different developmental paths. Consonants in stressed syllables are somewhat well specified already at the first signs of a receptive lexicon, and become even better specified with lexical growth. Vowels seem to follow a different developmental path, with increasing flexibility throughout lexical development. Thus, children come to exhibit a consonant vowel asymmetry in lexical representations, which is clear in adult representations.
  • Hammarström, H. (2012). A full-scale test of the language farming dispersal hypothesis. In S. Wichmann, & A. P. Grant (Eds.), Quantitative approaches to linguistic diversity: Commemorating the centenary of the birth of Morris Swadesh (pp. 7-22). Amsterdam: Benjamins.

    Abstract

    Originally published in Diachronica 27:2 (2010) One attempt at explaining why some language families are large (while others are small) is the hypothesis that the families that are now large became large because their ancestral speakers had a technological advantage, most often agriculture. Variants of this idea are referred to as the Language Farming Dispersal Hypothesis. Previously, detailed language family studies have uncovered various supporting examples and counterexamples to this idea. In the present paper I weigh the evidence from ALL attested language families. For each family, I use the number of member languages as a measure of cardinal size, member language coordinates to measure geospatial size and ethnographic evidence to assess subsistence status. This data shows that, although agricultural families tend to be larger in cardinal size, their size is hardly due to the simple presence of farming. If farming were responsible for language family expansions, we would expect a greater east-west geospatial spread of large families than is actually observed. The data, however, is compatible with weaker versions of the farming dispersal hypothesis as well with models where large families acquire farming because of their size, rather than the other way around.
  • Hammarström, H., & Nordhoff, S. (2012). The languages of Melanesia: Quantifying the level of coverage. In N. Evans, & M. Klamer (Eds.), Melanesian languages on the edge of Asia: Challenges for the 21st Century (pp. 13-33). Honolulu: University of Hawai'i Press. Retrieved from http://hdl.handle.net/10125/4559.
  • Hanique, I., & Ernestus, M. (2012). The processes underlying two frequent casual speech phenomena in Dutch: A production experiment. In Proceedings of INTERSPEECH 2012: 13th Annual Conference of the International Speech Communication Association (pp. 2011-2014).

    Abstract

    This study investigated whether a shadowing task can provide insights in the nature of reduction processes that are typical of casual speech. We focused on the shortening and presence versus absence of schwa and /t/ in Dutch past participles. Results showed that the absence of these segments was affected by the same variables as their shortening, suggesting that absence mostly resulted from extreme gradient shortening. This contrasts with results based on recordings of spontaneous conversations. We hypothesize that this difference is due to non-casual fast speech elicited by a shadowing task.
  • Harbusch, K., & Kempen, G. (2006). ELLEIPO: A module that computes coordinative ellipsis for language generators that don't. In Proceedings of the 11th Conference of the European Chapter of the Association for Computational Linguistics (EACL-2006) (pp. 115-118).

    Abstract

    Many current sentence generators lack the ability to compute elliptical versions of coordinated clauses in accordance with the rules for Gapping, Forward and Backward Conjunction Reduction, and SGF (Subject Gap in clauses with Finite/ Fronted verb). We describe a module (implemented in JAVA, with German and Dutch as target languages) that takes non-elliptical coordinated clauses as input and returns all reduced versions licensed by coordinative ellipsis. It is loosely based on a new psycholinguistic theory of coordinative ellipsis proposed by Kempen. In this theory, coordinative ellipsis is not supposed to result from the application of declarative grammar rules for clause formation but from a procedural component that interacts with the sentence generator and may block the overt expression of certain constituents.
  • Harbusch, K., Kempen, G., Van Breugel, C., & Koch, U. (2006). A generation-oriented workbench for performance grammar: Capturing linear order variability in German and Dutch. In Proceedings of the 4th International Natural Language Generation Conference (pp. 9-11).

    Abstract

    We describe a generation-oriented workbench for the Performance Grammar (PG) formalism, highlighting the treatment of certain word order and movement constraints in Dutch and German. PG enables a simple and uniform treatment of a heterogeneous collection of linear order phenomena in the domain of verb constructions (variably known as Cross-serial Dependencies, Verb Raising, Clause Union, Extraposition, Third Construction, Particle Hopping, etc.). The central data structures enabling this feature are clausal “topologies”: one-dimensional arrays associated with clauses, whose cells (“slots”) provide landing sites for the constituents of the clause. Movement operations are enabled by unification of lateral slots of topologies at adjacent levels of the clause hierarchy. The PGW generator assists the grammar developer in testing whether the implemented syntactic knowledge allows all and only the well-formed permutations of constituents.
  • Harbusch, K., & Kempen, G. (2002). A quantitative model of word order and movement in English, Dutch and German complement constructions. In Proceedings of the 19th international conference on Computational linguistics. San Francisco: Morgan Kaufmann.

    Abstract

    We present a quantitative model of word order and movement constraints that enables a simple and uniform treatment of a seemingly heterogeneous collection of linear order phenomena in English, Dutch and German complement constructions (Wh-extraction, clause union, extraposition, verb clustering, particle movement, etc.). Underlying the scheme are central assumptions of the psycholinguistically motivated Performance Grammar (PG). Here we describe this formalism in declarative terms based on typed feature unification. PG allows a homogenous treatment of both the within- and between-language variations of the ordering phenomena under discussion, which reduce to different settings of a small number of quantitative parameters.
  • Harmon, Z., Barak, L., Shafto, P., Edwards, J., & Feldman, N. H. (2021). Making heads or tails of it: A competition–compensation account of morphological deficits in language impairment. In T. Fitch, C. Lamm, H. Leder, & K. Teßmar-Raible (Eds.), Proceedings of the 43rd Annual Conference of the Cognitive Science Society (CogSci 2021) (pp. 1872-1878). Vienna: Cognitive Science Society.

    Abstract

    Children with developmental language disorder (DLD) regularly use the base form of verbs (e.g., dance) instead of inflected forms (e.g., danced). We propose an account of this behavior in which children with DLD have difficulty processing novel inflected verbs in their input. This leads the inflected form to face stronger competition from alternatives. Competition is resolved by the production of a more accessible alternative with high semantic overlap with the inflected form: in English, the bare form. We test our account computationally by training a nonparametric Bayesian model that infers the productivity of the inflectional suffix (-ed). We systematically vary the number of novel types of inflected verbs in the input to simulate the input as processed by children with and without DLD. Modeling results are consistent with our hypothesis, suggesting that children’s inconsistent use of inflectional morphemes could stem from inferences they make on the basis of impoverished data.
  • Harmon, Z., & Kapatsinski, V. (2016). Fuse to be used: A weak cue’s guide to attracting attention. In A. Papafragou, D. Grodner, D. Mirman, & J. Trueswell (Eds.), Proceedings of the 38th Annual Meeting of the Cognitive Science Society (CogSci 2016). Austin, TX: Cognitive Science Society (pp. 520-525). Austin, TX: Cognitive Science Society.

    Abstract

    Several studies examined cue competition in human learning by testing learners on a combination of conflicting cues rooting for different outcomes, with each cue perfectly predicting its outcome. A common result has been that learners faced with cue conflict choose the outcome associated with the rare cue (the Inverse Base Rate Effect, IBRE). Here, we investigate cue competition including IBRE with sentences containing cues to meanings in a visual world. We do not observe IBRE. Instead we find that position in the sentence strongly influences cue salience. Faced with conflict between an initial cue and a non-initial cue, learners choose the outcome associated with the initial cue, whether frequent or rare. However, a frequent configuration of non-initial cues that are not sufficiently salient on their own can overcome a competing salient initial cue rooting for a different meaning. This provides a possible explanation for certain recurring patterns in language change.
  • Harmon, Z., & Kapatsinski, V. (2016). Determinants of lengths of repetition disfluencies: Probabilistic syntactic constituency in speech production. In R. Burkholder, C. Cisneros, E. R. Coppess, J. Grove, E. A. Hanink, H. McMahan, C. Meyer, N. Pavlou, Ö. Sarıgül, A. R. Singerman, & A. Zhang (Eds.), Proceedings of the Fiftieth Annual Meeting of the Chicago Linguistic Society (pp. 237-248). Chicago: Chicago Linguistic Society.
  • Hellwig, B., Defina, R., Kidd, E., Allen, S. E. M., Davidson, L., & Kelly, B. F. (2021). Child language documentation: The sketch acquisition project. In G. Haig, S. Schnell, & F. Seifart (Eds.), Doing corpus-based typology with spoken language data: State of the art (pp. 29-58). Honolulu, HI: University of Hawai'i Press.

    Abstract

    This paper reports on an on-going project designed to collect comparable corpus data on child language and child-directed language in under-researched languages. Despite a long history of cross-linguistic research, there is a severe empirical bias within language acquisition research: Data is available for less than 2% of the world's languages, heavily skewed towards the larger and better-described languages. As a result, theories of language development tend to be grounded in a non-representative sample, and we know little about the acquisition of typologically-diverse languages from different families, regions, or sociocultural contexts. It is very likely that the reasons are to be found in the forbidding methodological challenges of constructing child language corpora under fieldwork conditions with their strict requirements on participant selection, sampling intervals, and amounts of data. There is thus an urgent need for proposals that facilitate and encourage language acquisition research across a wide variety of languages. Adopting a language documentation perspective, we illustrate an approach that combines the construction of manageable corpora of natural interaction with and between children with a sketch description of the corpus data – resulting in a set of comparable corpora and comparable sketches that form the basis for cross-linguistic comparisons.
  • Hendricks, I., Lefever, E., Croijmans, I., Majid, A., & Van den Bosch, A. (2016). Very quaffable and great fun: Applying NLP to wine reviews. In Proceedings of the 54th Annual Meeting of the Association for Computational Linguistics: Vol 2 (pp. 306-312). Stroudsburg, PA: Association for Computational Linguistics.

    Abstract

    We automatically predict properties of
    wines on the basis of smell and flavor de-
    scriptions from experts’ wine reviews. We
    show wine experts are capable of describ-
    ing their smell and flavor experiences in
    wine reviews in a sufficiently consistent
    manner, such that we can use their descrip-
    tions to predict properties of a wine based
    solely on language. The experimental re-
    sults show promising F-scores when using
    lexical and semantic information to predict
    the color, grape variety, country of origin,
    and price of a wine. This demonstrates,
    contrary to popular opinion, that wine ex-
    perts’ reviews really are informative.
  • Herbst, L. E. (2006). The influence of language dominance on bilingual VOT: A case study. In Proceedings of the 4th University of Cambridge Postgraduate Conference on Language Research (CamLing 2006) (pp. 91-98). Cambridge: Cambridge University Press.

    Abstract

    Longitudinally collected VOT data from an early English-Italian bilingual who became increasingly English-dominant was analyzed. Stops in English were always produced with significantly longer VOT than in Italian. However, the speaker did not show any significant change in the VOT production in either language over time, despite the clear dominance of English in his every day language use later in his life. The results indicate that – unlike L2 learners – early bilinguals may remain unaffected by language use with respect to phonetic realization.
  • Hintz, F., Voeten, C. C., McQueen, J. M., & Scharenborg, O. (2021). The effects of onset and offset masking on the time course of non-native spoken-word recognition in noise. In T. Fitch, C. Lamm, H. Leder, & K. Teßmar-Raible (Eds.), Proceedings of the 43rd Annual Conference of the Cognitive Science Society (CogSci 2021) (pp. 133-139). Vienna: Cognitive Science Society.

    Abstract

    Using the visual-word paradigm, the present study investigated the effects of word onset and offset masking on the time course of non-native spoken-word recognition in the presence of background noise. In two experiments, Dutch non-native listeners heard English target words, preceded by carrier sentences that were noise-free (Experiment 1) or contained intermittent noise (Experiment 2). Target words were either onset- or offset-masked or not masked at all. Results showed that onset masking delayed target word recognition more than offset masking did, suggesting that – similar to natives – non-native listeners strongly rely on word onset information during word recognition in noise.

    Additional information

    Link to Preprint on BioRxiv
  • Hintz, F., & Scharenborg, O. (2016). Neighbourhood density influences word recognition in native and non-native speech recognition in noise. In H. Van den Heuvel, B. Cranen, & S. Mattys (Eds.), Proceedings of the Speech Processing in Realistic Environments (SPIRE) workshop (pp. 46-47). Groningen.
  • Hintz, F., & Scharenborg, O. (2016). The effect of background noise on the activation of phonological and semantic information during spoken-word recognition. In Proceedings of Interspeech 2016: The 17th Annual Conference of the International Speech Communication Association (pp. 2816-2820).

    Abstract

    During spoken-word recognition, listeners experience phonological competition between multiple word candidates, which increases, relative to optimal listening conditions, when speech is masked by noise. Moreover, listeners activate semantic word knowledge during the word’s unfolding. Here, we replicated the effect of background noise on phonological competition and investigated to which extent noise affects the activation of semantic information in phonological competitors. Participants’ eye movements were recorded when they listened to sentences containing a target word and looked at three types of displays. The displays either contained a picture of the target word, or a picture of a phonological onset competitor, or a picture of a word semantically related to the onset competitor, each along with three unrelated distractors. The analyses revealed that, in noise, fixations to the target and to the phonological onset competitor were delayed and smaller in magnitude compared to the clean listening condition, most likely reflecting enhanced phonological competition. No evidence for the activation of semantic information in the phonological competitors was observed in noise and, surprisingly, also not in the clear. We discuss the implications of the lack of an effect and differences between the present and earlier studies.
  • Hoiting, N., & Slobin, D. I. (2002). Transcription as a tool for understanding: The Berkeley Transcription System for sign language research (BTS). In G. Morgan, & B. Woll (Eds.), Directions in sign language acquisition (pp. 55-75). Amsterdam: John Benjamins.
  • Hoiting, N., & Slobin, D. I. (2002). What a deaf child needs to see: Advantages of a natural sign language over a sign system. In R. Schulmeister, & H. Reinitzer (Eds.), Progress in sign language research. In honor of Siegmund Prillwitz / Fortschritte in der Gebärdensprach-forschung. Festschrift für Siegmund Prillwitz (pp. 267-277). Hamburg: Signum.
  • Holler, J., & Stevens, R. (2006). How speakers represent size information in referential communication for knowing and unknowing recipients. In D. Schlangen, & R. Fernandez (Eds.), Brandial '06 Proceedings of the 10th Workshop on the Semantics and Pragmatics of Dialogue, Potsdam, Germany, September 11-13.
  • Holler, J., Kelly, S., Hagoort, P., & Ozyurek, A. (2012). When gestures catch the eye: The influence of gaze direction on co-speech gesture comprehension in triadic communication. In N. Miyake, D. Peebles, & R. P. Cooper (Eds.), Proceedings of the 34th Annual Meeting of the Cognitive Science Society (CogSci 2012) (pp. 467-472). Austin, TX: Cognitive Society. Retrieved from http://mindmodeling.org/cogsci2012/papers/0092/index.html.

    Abstract

    Co-speech gestures are an integral part of human face-to-face communication, but little is known about how pragmatic factors influence our comprehension of those gestures. The present study investigates how different types of recipients process iconic gestures in a triadic communicative situation. Participants (N = 32) took on the role of one of two recipients in a triad and were presented with 160 video clips of an actor speaking, or speaking and gesturing. Crucially, the actor’s eye gaze was manipulated in that she alternated her gaze between the two recipients. Participants thus perceived some messages in the role of addressed recipient and some in the role of unaddressed recipient. In these roles, participants were asked to make judgements concerning the speaker’s messages. Their reaction times showed that unaddressed recipients did comprehend speaker’s gestures differently to addressees. The findings are discussed with respect to automatic and controlled processes involved in gesture comprehension.
  • Holler, J., Kendrick, K. H., Casillas, M., & Levinson, S. C. (Eds.). (2016). Turn-Taking in Human Communicative Interaction. Lausanne: Frontiers Media. doi:10.3389/978-2-88919-825-2.

    Abstract

    The core use of language is in face-to-face conversation. This is characterized by rapid turn-taking. This turn-taking poses a number central puzzles for the psychology of language.

    Consider, for example, that in large corpora the gap between turns is on the order of 100 to 300 ms, but the latencies involved in language production require minimally between 600ms (for a single word) or 1500 ms (for as simple sentence). This implies that participants in conversation are predicting the ends of the incoming turn and preparing in advance. But how is this done? What aspects of this prediction are done when? What happens when the prediction is wrong? What stops participants coming in too early? If the system is running on prediction, why is there consistently a mode of 100 to 300 ms in response time?

    The timing puzzle raises further puzzles: it seems that comprehension must run parallel with the preparation for production, but it has been presumed that there are strict cognitive limitations on more than one central process running at a time. How is this bottleneck overcome? Far from being 'easy' as some psychologists have suggested, conversation may be one of the most demanding cognitive tasks in our everyday lives. Further questions naturally arise: how do children learn to master this demanding task, and what is the developmental trajectory in this domain?

    Research shows that aspects of turn-taking such as its timing are remarkably stable across languages and cultures, but the word order of languages varies enormously. How then does prediction of the incoming turn work when the verb (often the informational nugget in a clause) is at the end? Conversely, how can production work fast enough in languages that have the verb at the beginning, thereby requiring early planning of the whole clause? What happens when one changes modality, as in sign languages -- with the loss of channel constraints is turn-taking much freer? And what about face-to-face communication amongst hearing individuals -- do gestures, gaze, and other body behaviors facilitate turn-taking? One can also ask the phylogenetic question: how did such a system evolve? There seem to be parallels (analogies) in duetting bird species, and in a variety of monkey species, but there is little evidence of anything like this among the great apes.

    All this constitutes a neglected set of problems at the heart of the psychology of language and of the language sciences. This research topic welcomes contributions from right across the board, for example from psycholinguists, developmental psychologists, students of dialogue and conversation analysis, linguists interested in the use of language, phoneticians, corpus analysts and comparative ethologists or psychologists. We welcome contributions of all sorts, for example original research papers, opinion pieces, and reviews of work in subfields that may not be fully understood in other subfields.
  • Ibarretxe-Antuñano, I. (2012). Placement and removal events in Basque and Spanish. In A. Kopecka, & B. Narasimhan (Eds.), Events of putting and taking: A crosslinguistic perspective (pp. 123-144). Amsterdam: Benjamins.

    Abstract

    This paper examines how placement and removal events are lexicalised and conceptualised in Basque and Peninsular Spanish. After a brief description of the main linguistic devices employed for the coding of these types of events, the paper discusses how speakers of the two languages choose to talk about these events. Finally, the paper focuses on two aspects that seem to be crucial in the description of these events (1) the role of force dynamics: both languages distinguish between different degrees of force, causality, and intentionality, and (2) the influence of the verb-framed lexicalisation pattern. Data come from six Basque and ten Peninsular Spanish native speakers.
  • Indefrey, P. (2012). Hemodynamic studies of syntactic processing. In M. Faust (Ed.), Handbook of the neuropsychology of language. Volume 1: Language processing in the brain: Basic science (pp. 209-228). Malden, MA: Wiley-Blackwell.
  • Irivine, E., & Roberts, S. G. (2016). Deictic tools can limit the emergence of referential symbol systems. In S. G. Roberts, C. Cuskley, L. McCrohon, L. Barceló-Coblijn, O. Feher, & T. Verhoef (Eds.), The Evolution of Language: Proceedings of the 11th International Conference (EVOLANG11). Retrieved from http://evolang.org/neworleans/papers/99.html.

    Abstract

    Previous experiments and models show that the pressure to communicate can lead to the emergence of symbols in specific tasks. The experiment presented here suggests that the ability to use deictic gestures can reduce the pressure for symbols to emerge in co-operative tasks. In the 'gesture-only' condition, pairs built a structure together in 'Minecraft', and could only communicate using a small range of gestures. In the 'gesture-plus' condition, pairs could also use sound to develop a symbol system if they wished. All pairs were taught a pointing convention. None of the pairs we tested developed a symbol system, and performance was no different across the two conditions. We therefore suggest that deictic gestures, and non-referential means of organising activity sequences, are often sufficient for communication. This suggests that the emergence of linguistic symbols in early hominids may have been late and patchy with symbols only emerging in contexts where they could significantly improve task success or efficiency. Given the communicative power of pointing however, these contexts may be fewer than usually supposed. An approach for identifying these situations is outlined.
  • Irizarri van Suchtelen, P. (2012). Dative constructions in the Spanish of heritage speakers in the Netherlands. In Z. Wąsik, & P. P. Chruszczewski (Eds.), Languages in contact 2011 (pp. 103-118). Wrocław: Philological School of Higher Education in Wrocław Publishing.

    Abstract

    Spanish can use dative as well as non-dative strategies to encode Possessors, Human Sources, Interestees (datives of interest) and Experiencers. In Dutch this optionality is virtually absent, restricting dative encoding mainly to the Recipient of a ditransitive. The present study examines whether this may lead to instability of the non-prototypical dative constructions in the Spanish of Dutch-Spanish bilinguals. Elicited data of 12 Chilean heritage informants from the Netherlands were analyzed. Whereas the evidence on the stability of dative Experiencers was not conclusive, the results indicate that the use of prototypical datives, dative External Possessors, dative Human Sources and datives of interest is fairly stable in bilinguals, except for those with limited childhood exposure to Spanish. It is argued that the consistent preference for non-dative strategies of this group was primarily attributable to instability of the dative clitic, which affected all constructions, even the encoding of prototypical indirect objects
  • Ishibashi, M. (2012). The expression of ‘putting’ and ‘taking’ events in Japanese: The asymmetry of Source and Goal revisited. In A. Kopecka, & B. Narasimhan (Eds.), Events of putting and taking: A crosslinguistic perspective (pp. 253-272). Amsterdam: Benjamins.

    Abstract

    This study explores the expression of Source and Goal in describing placement and removal events in adult Japanese. Although placement and removal events a priori represent symmetry regarding the orientation of motion, their (c)overt expressions actually exhibit multiple asymmetries at various structural levels. The results show that the expression of the Source is less frequent than the expression of the Goal, but, if expressed, morphosyntactically more complex, suggesting that ‘taking’ events are more complex than ‘putting’ events in their construal. It is stressed that finer linguistic analysis is necessary before explaining linguistic asymmetries in terms of non-linguistic foundations of spatial language.
  • Janse, E. (2002). Time-compressing natural and synthetic speech. In Proceedings of 7th International Conference on Spoken Language Processing (pp. 1645-1648).
  • Janssen, R., Winter, B., Dediu, D., Moisik, S. R., & Roberts, S. G. (2016). Nonlinear biases in articulation constrain the design space of language. In S. G. Roberts, C. Cuskley, L. McCrohon, L. Barceló-Coblijn, O. Feher, & T. Verhoef (Eds.), The Evolution of Language: Proceedings of the 11th International Conference (EVOLANG11). Retrieved from http://evolang.org/neworleans/papers/86.html.

    Abstract

    In Iterated Learning (IL) experiments, a participant’s learned output serves as the next participant’s learning input (Kirby et al., 2014). IL can be used to model cultural transmission and has indicated that weak biases can be amplified through repeated cultural transmission (Kirby et al., 2007). So, for example, structural language properties can emerge over time because languages come to reflect the cognitive constraints in the individuals that learn and produce the language. Similarly, we propose that languages may also reflect certain anatomical biases. Do sound systems adapt to the affordances of the articulation space induced by the vocal tract?
    The human vocal tract has inherent nonlinearities which might derive from acoustics and aerodynamics (cf. quantal theory, see Stevens, 1989) or biomechanics (cf. Gick & Moisik, 2015). For instance, moving the tongue anteriorly along the hard palate to produce a fricative does not result in large changes in acoustics in most cases, but for a small range there is an abrupt change from a perceived palato-alveolar [ʃ] to alveolar [s] sound (Perkell, 2012). Nonlinearities such as these might bias all human speakers to converge on a very limited set of phonetic categories, and might even be a basis for combinatoriality or phonemic ‘universals’.
    While IL typically uses discrete symbols, Verhoef et al. (2014) have used slide whistles to produce a continuous signal. We conducted an IL experiment with human subjects who communicated using a digital slide whistle for which the degree of nonlinearity is controlled. A single parameter (α) changes the mapping from slide whistle position (the ‘articulator’) to the acoustics. With α=0, the position of the slide whistle maps Bark-linearly to the acoustics. As α approaches 1, the mapping gets more double-sigmoidal, creating three plateaus where large ranges of positions map to similar frequencies. In more abstract terms, α represents the strength of a nonlinear (anatomical) bias in the vocal tract.
    Six chains (138 participants) of dyads were tested, each chain with a different, fixed α. Participants had to communicate four meanings by producing a continuous signal using the slide-whistle in a ‘director-matcher’ game, alternating roles (cf. Garrod et al., 2007).
    Results show that for high αs, subjects quickly converged on the plateaus. This quick convergence is indicative of a strong bias, repelling subjects away from unstable regions already within-subject. Furthermore, high αs lead to the emergence of signals that oscillate between two (out of three) plateaus. Because the sigmoidal spaces are spatially constrained, participants increasingly used the sequential/temporal dimension. As a result of this, the average duration of signals with high α was ~100ms longer than with low α. These oscillations could be an expression of a basis for phonemic combinatoriality.
    We have shown that it is possible to manipulate the magnitude of an articulator-induced non-linear bias in a slide whistle IL framework. The results suggest that anatomical biases might indeed constrain the design space of language. In particular, the signaling systems in our study quickly converged (within-subject) on the use of stable regions. While these conclusions were drawn from experiments using slide whistles with a relatively strong bias, weaker biases could possibly be amplified over time by repeated cultural transmission, and likely lead to similar outcomes.
  • Janssen, R., Dediu, D., & Moisik, S. R. (2016). Simple agents are able to replicate speech sounds using 3d vocal tract model. In S. G. Roberts, C. Cuskley, L. McCrohon, L. Barceló-Coblijn, O. Feher, & T. Verhoef (Eds.), The Evolution of Language: Proceedings of the 11th International Conference (EVOLANG11). Retrieved from http://evolang.org/neworleans/papers/97.html.

    Abstract

    Many factors have been proposed to explain why groups of people use different speech sounds in their language. These range from cultural, cognitive, environmental (e.g., Everett, et al., 2015) to anatomical (e.g., vocal tract (VT) morphology). How could such anatomical properties have led to the similarities and differences in speech sound distributions between human languages?

    It is known that hard palate profile variation can induce different articulatory strategies in speakers (e.g., Brunner et al., 2009). That is, different hard palate profiles might induce a kind of bias on speech sound production, easing some types of sounds while impeding others. With a population of speakers (with a proportion of individuals) that share certain anatomical properties, even subtle VT biases might become expressed at a population-level (through e.g., bias amplification, Kirby et al., 2007). However, before we look into population-level effects, we should first look at within-individual anatomical factors. For that, we have developed a computer-simulated analogue for a human speaker: an agent. Our agent is designed to replicate speech sounds using a production and cognition module in a computationally tractable manner.

    Previous agent models have often used more abstract (e.g., symbolic) signals. (e.g., Kirby et al., 2007). We have equipped our agent with a three-dimensional model of the VT (the production module, based on Birkholz, 2005) to which we made numerous adjustments. Specifically, we used a 4th-order Bezier curve that is able to capture hard palate variation on the mid-sagittal plane (XXX, 2015). Using an evolutionary algorithm, we were able to fit the model to human hard palate MRI tracings, yielding high accuracy fits and using as little as two parameters. Finally, we show that the samples map well-dispersed to the parameter-space, demonstrating that the model cannot generate unrealistic profiles. We can thus use this procedure to import palate measurements into our agent’s production module to investigate the effects on acoustics. We can also exaggerate/introduce novel biases.

    Our agent is able to control the VT model using the cognition module.

    Previous research has focused on detailed neurocomputation (e.g., Kröger et al., 2014) that highlights e.g., neurobiological principles or speech recognition performance. However, the brain is not the focus of our current study. Furthermore, present-day computing throughput likely does not allow for large-scale deployment of these architectures, as required by the population model we are developing. Thus, the question whether a very simple cognition module is able to replicate sounds in a computationally tractable manner, and even generalize over novel stimuli, is one worthy of attention in its own right.

    Our agent’s cognition module is based on running an evolutionary algorithm on a large population of feed-forward neural networks (NNs). As such, (anatomical) bias strength can be thought of as an attractor basin area within the parameter-space the agent has to explore. The NN we used consists of a triple-layered (fully-connected), directed graph. The input layer (three neurons) receives the formants frequencies of a target-sound. The output layer (12 neurons) projects to the articulators in the production module. A hidden layer (seven neurons) enables the network to deal with nonlinear dependencies. The Euclidean distance (first three formants) between target and replication is used as fitness measure. Results show that sound replication is indeed possible, with Euclidean distance quickly approaching a close-to-zero asymptote.

    Statistical analysis should reveal if the agent can also: a) Generalize: Can it replicate sounds not exposed to during learning? b) Replicate consistently: Do different, isolated agents always converge on the same sounds? c) Deal with consolidation: Can it still learn new sounds after an extended learning phase (‘infancy’) has been terminated? Finally, a comparison with more complex models will be used to demonstrate robustness.
  • Jeske, J., Kember, H., & Cutler, A. (2016). Native and non-native English speakers' use of prosody to predict sentence endings. In Proceedings of the 16th Australasian International Conference on Speech Science and Technology (SST2016).
  • Jordens, P. (1998). Defaultformen des Präteritums. Zum Erwerb der Vergangenheitsmorphologie im Niederlänidischen. In H. Wegener (Ed.), Eine zweite Sprache lernen (pp. 61-88). Tübingen, Germany: Verlag Gunter Narr.
  • Jordens, P., & Dimroth, C. (2006). Finiteness in children and adults learning Dutch. In N. Gagarina, & I. Gülzow (Eds.), The acquisition of verbs and their grammar: The effect of particular languages (pp. 173-200). Dordrecht: Springer.
  • Jordens, P. (2006). Inversion as an artifact: The acquisition of topicalization in child L1- and adult L2-Dutch. In S. H. Foster-Cohen, M. Medved Krajnovic, & J. Mihaljevic Djigunovic (Eds.), EUROSLA Yearbook 6 (pp. 101-120).
  • Jordens, P. (2012). Language acquisition and the functional category system. Berlin: De Gruyter.

    Abstract

    Research on spontaneous language acquisition both in children learning their mother tongue and in adults learning a second language has shown that language development proceeds in a stagewise manner. Learner utterances are accounted for in terms of so-called 'learner languages'. Learner languages of both children and adults are language systems that are initially rather simple. The present monograph shows how these learner languages develop both in child L1 and in adult L2 Dutch. At the initial stage of both L1 and L2 Dutch, learner systems are lexical systems. This means that utterance structure is determined by the lexical projection of a predicate-argument structure, while the functional properties of the target language are absent. At some point in acquisition, this lexical-semantic system develops into a target-like system. With this target-like system, learners have reached a stage at which their language system has the morpho-syntactic features to express the functional properties of finiteness and topicality. Evidence of this is word order variation and the use of linguistic elements such as auxiliaries, tense, and agreement markers and determiners. Looking at this process of language acquisition from a functional point of view, the author focuses on questions such as the following. What is the driving force behind the process that causes learners to give up a simple lexical-semantic system in favour of a functional-pragmatic one? What is the added value of linguistic features such as the morpho-syntactic properties of inflection, word order variation, and definiteness?
  • Karaca, F., Brouwer, S., Unsworth, S., & Huettig, F. (2021). Prediction in bilingual children: The missing piece of the puzzle. In E. Kaan, & T. Grüter (Eds.), Prediction in Second Language Processing and Learning (pp. 116-137). Amsterdam: Benjamins.

    Abstract

    A wealth of studies has shown that more proficient monolingual speakers are better at predicting upcoming information during language comprehension. Similarly, prediction skills of adult second language (L2) speakers in their L2 have also been argued to be modulated by their L2 proficiency. How exactly language proficiency and prediction are linked, however, is yet to be systematically investigated. One group of language users which has the potential to provide invaluable insights into this link is bilingual children. In this paper, we compare bilingual children’s prediction skills with those of monolingual children and adult L2 speakers, and show how investigating bilingual children’s prediction skills may contribute to our understanding of how predictive processing works.
  • Karadöller, D. Z., Sumer, B., Ünal, E., & Ozyurek, A. (2021). Spatial language use predicts spatial memory of children: Evidence from sign, speech, and speech-plus-gesture. In T. Fitch, C. Lamm, H. Leder, & K. Teßmar-Raible (Eds.), Proceedings of the 43rd Annual Conference of the Cognitive Science Society (CogSci 2021) (pp. 672-678). Vienna: Cognitive Science Society.

    Abstract

    There is a strong relation between children’s exposure to
    spatial terms and their later memory accuracy. In the current
    study, we tested whether the production of spatial terms by
    children themselves predicts memory accuracy and whether
    and how language modality of these encodings modulates
    memory accuracy differently. Hearing child speakers of
    Turkish and deaf child signers of Turkish Sign Language
    described pictures of objects in various spatial relations to each
    other and later tested for their memory accuracy of these
    pictures in a surprise memory task. We found that having
    described the spatial relation between the objects predicted
    better memory accuracy. However, the modality of these
    descriptions in sign, speech, or speech-plus-gesture did not
    reveal differences in memory accuracy. We discuss the
    implications of these findings for the relation between spatial
    language, memory, and the modality of encoding.
  • Kearns, R. K., Norris, D., & Cutler, A. (2002). Syllable processing in English. In Proceedings of the 7th International Conference on Spoken Language Processing [ICSLP 2002] (pp. 1657-1660).

    Abstract

    We describe a reaction time study in which listeners detected word or nonword syllable targets (e.g. zoo, trel) in sequences consisting of the target plus a consonant or syllable residue (trelsh, trelshek). The pattern of responses differed from an earlier word-spotting study with the same material, in which words were always harder to find if only a consonant residue remained. The earlier results should thus not be viewed in terms of syllabic parsing, but in terms of a universal role for syllables in speech perception; words which are accidentally present in spoken input (e.g. sell in self) can be rejected when they leave a residue of the input which could not itself be a word.
  • Kember, H., Choi, J., & Cutler, A. (2016). Processing advantages for focused words in Korean. In J. Barnes, A. Brugos, S. Shattuck-Hufnagel, & N. Veilleux (Eds.), Proceedings of Speech Prosody 2016 (pp. 702-705).

    Abstract

    In Korean, focus is expressed in accentual phrasing. To ascertain whether words focused in this manner enjoy a processing advantage analogous to that conferred by focus as expressed in, e.g, English and Dutch, we devised sentences with target words in one of four conditions: prosodic focus, syntactic focus, prosodic + syntactic focus, and no focus as a control. 32 native speakers of Korean listened to blocks of 10 sentences, then were presented visually with words and asked whether or not they had heard them. Overall, words with focus were recognised significantly faster and more accurately than unfocused words. In addition, words with syntactic focus or syntactic + prosodic focus were recognised faster than words with prosodic focus alone. As for other languages, Korean focus confers processing advantage on the words carrying it. While prosodic focus does provide an advantage, however, syntactic focus appears to provide the greater beneficial effect for recognition memory
  • Kempen, G., & Harbusch, K. (2002). Performance Grammar: A declarative definition. In A. Nijholt, M. Theune, & H. Hondorp (Eds.), Computational linguistics in the Netherlands 2001: Selected papers from the Twelfth CLIN Meeting (pp. 148-162). Amsterdam: Rodopi.

    Abstract

    In this paper we present a definition of Performance Grammar (PG), a psycholinguistically motivated syntax formalism, in declarative terms. PG aims not only at describing and explaining intuitive judgments and other data concerning the well–formedness of sentences of a language, but also at contributing to accounts of syntactic processing phenomena observable in language comprehension and language production. We highlight two general properties of human sentence generation, incrementality and late linearization,which make special demands on the design of grammar formalisms claiming psychological plausibility. In order to meet these demands, PG generates syntactic structures in a two-stage process. In the first and most important ‘hierarchical’ stage, unordered hierarchical structures (‘mobiles’) are assembled out of lexical building blocks. The key operation at work here is typed feature unification, which also delimits the positional options of the syntactic constituents in terms of so-called topological features. The second, much simpler stage takes care of arranging the branches of the mobile from left to right by ‘reading–out’ one positional option of every constituent. In this paper we concentrate on the structure assembly formalism in PG’s hierarchical component. We provide a declarative definition couched in an HPSG–style notation based on typed feature unification. Our emphasis throughout is on linear order constraints.
  • Kempen, G., & Van Breugel, C. (2002). A workbench for visual-interactive grammar instruction at the secondary education level. In Proceedings of the 10th International CALL Conference (pp. 157-158). Antwerp: University of Antwerp.
  • Kempen, G., & Harbusch, K. (1998). A 'tree adjoining' grammar without adjoining: The case of scrambling in German. In Fourth International Workshop on Tree Adjoining Grammars and Related Frameworks (TAG+4).
  • Kempen, G. (1998). Sentence parsing. In A. D. Friederici (Ed.), Language comprehension: A biological perspective (pp. 213-228). Berlin: Springer.
  • Kempen, G., & Harbusch, K. (2002). Rethinking the architecture of human syntactic processing: The relationship between grammatical encoding and decoding. In Proceedings of the 35th Meeting of the Societas Linguistica Europaea. University of Potsdam.
  • Kemps-Snijders, M., Ducret, J., Romary, L., & Wittenburg, P. (2006). An API for accessing the data category registry. In Proceedings of the 5th International Conference on Language Resources and Evaluation (LREC 2006) (pp. 2299-2302).
  • Kemps-Snijders, M., Nederhof, M.-J., & Wittenburg, P. (2006). LEXUS, a web-based tool for manipulating lexical resources. In Proceedings of the 5th International Conference on Language Resources and Evaluation (LREC 2006) (pp. 1862-1865).
  • Kidd, E. (2006). The acquisition of complement clause constructions. In E. V. Clark, & B. F. Kelly (Eds.), Constructions in acquisition (pp. 311-332). Stanford: Center for the Study of Language and Information.
  • Kirschenbaum, A., Wittenburg, P., & Heyer, G. (2012). Unsupervised morphological analysis of small corpora: First experiments with Kilivila. In F. Seifart, G. Haig, N. P. Himmelmann, D. Jung, A. Margetts, & P. Trilsbeek (Eds.), Potentials of language documentation: Methods, analyses, and utilization (pp. 32-38). Honolulu: University of Hawai'i Press.

    Abstract

    Language documentation involves linguistic analysis of the collected material, which is typically done manually. Automatic methods for language processing usually require large corpora. The method presented in this paper uses techniques from bioinformatics and contextual information to morphologically analyze raw text corpora. This paper presents initial results of the method when applied on a small Kilivila corpus.
  • Kita, S. (Ed.). (2002). 2002 Supplement (version 3) for the Manual for the field season 2001. Nijmegen: Max Planck Institute for Psycholinguistics.
  • Kita, S. (2002). Jesuchaa: kangaeru karada: Gesture: the body that thinks. Tokyo: Kaneko Shobo.
  • Kita, S., van Gijn, I., & van der Hulst, H. (1998). Movement phases in signs and co-speech gestures, and their transcription by human coders. In Gesture and Sign-Language in Human-Computer Interaction (Lecture Notes in Artificial Intelligence - LNCS Subseries, Vol. 1371) (pp. 23-35). Berlin, Germany: Springer-Verlag.

    Abstract

    The previous literature has suggested that the hand movement in co-speech gestures and signs consists of a series of phases with qualitatively different dynamic characteristics. In this paper, we propose a syntagmatic rule system for movement phases that applies to both co-speech gestures and signs. Descriptive criteria for the rule system were developed for the analysis video-recorded continuous production of signs and gesture. It involves segmenting a stream of body movement into phases and identifying different phase types. Two human coders used the criteria to analyze signs and cospeech gestures that are produced in natural discourse. It was found that the criteria yielded good inter-coder reliability. These criteria can be used for the technology of automatic recognition of signs and co-speech gestures in order to segment continuous production and identify the potentially meaningbearing phase.
  • Kita, S. (2002). Preface and priorities. In S. Kita (Ed.), 2002 Supplement (version 3) for the “Manual” for the field season 2001 (pp. 3-4). Nijmegen: Max Planck Institute for Psycholinguistics.
  • Klassmann, A., Offenga, F., Broeder, D., Skiba, R., & Wittenburg, P. (2006). Comparison of resource discovery methods. In Proceedings of the 5th International Conference on Language Resources and Evaluation (LREC 2006) (pp. 113-116).
  • Klein, W., & Von Stutterheim, C. (2002). Quaestio and L-perspectivation. In C. F. Graumann, & W. Kallmeyer (Eds.), Perspective and perspectivation in discourse (pp. 59-88). Amsterdam: Benjamins.
  • Klein, W. (2006). On finiteness. In V. Van Geenhoven (Ed.), Semantics in acquisition (pp. 245-272). Dordrecht: Springer.

    Abstract

    The distinction between finite and non-finite verb forms is well-established but not particularly well-defined. It cannot just be a matter of verb morphology, because it is also made when there is hardly any morphological difference: by far most English verb forms can be finite as well as non-finite. More importantly, many structural phenomena are clearly associated with the presence or absence of finiteness, a fact which is clearly reflected in the early stages of first and second language acquisition. In syntax, these include basic word order rules, gapping, the licensing of a grammatical subject and the licensing of expletives. In semantics, the specific interpretation of indefinite noun phrases is crucially linked to the presence of a finite element. These phenomena are surveyed, and it is argued that finiteness (a) links the descriptive content of the sentence (the 'sentence basis') to its topic component (in particular, to its topic time), and (b) it confines the illocutionary force to that topic component. In a declarative main clause, for example, the assertion is confined to a particular time, the topic time. It is shown that most of the syntactic and semantic effects connected to finiteness naturally follow from this assumption.
  • Klein, W. (2002). The argument-time structure of recipient constructions in German. In W. Abraham, & J.-W. Zwart (Eds.), Issues in formal german(ic) typology (pp. 141-178). Amsterdam: Benjamins.

    Abstract

    It is generally assumed that verbs have an ‘argument structure’, which imposes various constraints on the noun phrases that can or must go with the verb, and an ‘event structure’, which characterises the particular temporal characteristics of the ‘event’ which the verb relates to: this event may be a state, a process, an activity, an ‘event in the narrow sense’, and others. In this paper, it is argued that that argument structure and event structure should be brought together. The lexical content of a verb assigns descriptive properties to one or more arguments at one or more times, hence verbs have an ‘argument time-structure’ (AT-structure). Numerous morphological and syntactical operations, such as participle formation or complex verb constructions, modify this AT-structure. This is illustrated with German recipient constructions such as ein Buch geschenkt bekommen or das Fenster geöffnet kriegen.
  • Klein, W. (2002). Time in language (in Korean, translated by Soo-Song Shin). Seoul: Doseo-chul-phan Yeok lak.
  • Klein, W. (2002). Why case marking? In I. Kaufmann, & B. Stiebels (Eds.), More than words: Festschrift for Dieter Wunderlich (pp. 251-273). Berlin: Akademie Verlag.
  • Klein, W. (2021). Das „Heidelberger Forschungsprojekt Pidgin-Deutsch “und die Folgen. In B. Ahrenholz, & M. Rost-Roth (Eds.), Ein Blick zurück nach vorn: Frühe deutsche Forschung zu Zweitspracherwerb, Migration, Mehrsprachigkeit und zweitsprachbezogener Sprachdidaktik sowie ihre Bedeutung heute (pp. 50-95). Berlin: De Gruyter.
  • Klein, W. (2012). Auf dem Markt der Wissenschaften oder: Weniger wäre mehr. In K. Sonntag (Ed.), Heidelberger Profile. Herausragende Persönlichkeiten berichten über ihre Begegnung mit Heidelberg. (pp. 61-84). Heidelberg: Universitätsverlag Winter.
  • Klein, W. (2012). A way to look at second language acquisition. In M. Watorek, S. Benazzo, & M. Hickmann (Eds.), Comparative perspectives on language acquisition: A tribute to Clive Perdue (pp. 23-36). Bristol: Multilingual Matters.
  • Klein, W. (2012). Alle zwei Wochen verschwindet eine Sprache. In G. Stock (Ed.), Die Akademie am Gendarmenmarkt 2012/13, Jahresmagazin 2012/13 (pp. 8-13). Berlin: Berlin-Brandenburgische Akademie der Wissenschaften.
  • Klein, W. (1998). Ein Blick zurück auf die Varietätengrammatik. In U. Ammon, K. Mattheier, & P. Nelde (Eds.), Sociolinguistica: Internationales Jahrbuch für europäische Soziolinguistik (pp. 22-38). Tübingen: Niemeyer.
  • Klein, W. (2012). Die Sprache der Denker. In J. Voss, & M. Stolleis (Eds.), Fachsprachen und Normalsprache (pp. 49-60). Göttingen: Wallstein.
  • Klein, W. (1998). Assertion and finiteness. In N. Dittmar, & Z. Penner (Eds.), Issues in the theory of language acquisition: Essays in honor of Jürgen Weissenborn (pp. 225-245). Bern: Peter Lang.
  • Klein, W., & Musan, R. (2002). (A)Symmetry in language: seit and bis, and others. In C. Maienborn (Ed.), (A)Symmetrien - (A)Symmetry. Beiträge zu Ehren von Ewald Lang - Papers in Honor of Ewald Lang (pp. 283-295). Tübingen: Stauffenburg.
  • Klein, W., & Von Stechow, A. (Eds.). (1974). Functional generative grammar in Prague. Kronberg/Ts: Scriptor.
  • Klein, W. (2012). Grußworte. In C. Markschies, & E. Osterkamp (Eds.), Vademekum der Inspirationsmittel (pp. 63-65). Göttingen: Wallstein.
  • Klein, W., & Vater, H. (1998). The perfect in English and German. In L. Kulikov, & H. Vater (Eds.), Typology of verbal categories: Papers presented to Vladimir Nedjalkov on the occasion of his 70th birthday (pp. 215-235). Tübingen: Niemeyer.
  • Klein, W. (2012). The information structure of French. In M. Krifka, & R. Musan (Eds.), The expression of information structure (pp. 95-126). Berlin: de Gruyter.
  • Klein, W. (1974). Variation in der Sprache. Kronberg/Ts: Scriptor.
  • Klein, W. (1974). Variation, Norm und Abweichung in der Sprache. In G. Lotzmann (Ed.), Sprach- und Sprechnormen - Verhalten und Abweichung (pp. 7-21). Heidelberg: Groos.
  • Kopecka, A. (2006). The semantic structure of motion verbs in French: Typological perspectives. In M. Hickmann, & Roberts S. (Eds.), Space in languages: Linguistic systems and cognitive categories (pp. 83-102). Amsterdam: Benjamins.
  • Kopecka, A., & Narasimhan, B. (Eds.). (2012). Events of putting and taking: A crosslinguistic perspective. Amsterdam: Benjamins.

    Abstract

    Events of putting things in places, and removing them from places, are fundamental activities of human experience. But do speakers of different languages construe such events in the same way when describing them? This volume investigates placement and removal event descriptions from 18 areally, genetically, and typologically diverse languages. Each chapter describes the lexical and grammatical means used to describe such events, and further investigates one of the following themes: syntax-semantics mappings, lexical semantics, and asymmetries in the encoding of placement versus removal events. The chapters demonstrate considerable crosslinguistic variation in the encoding of this domain, as well as commonalities, e.g. in the semantic distinctions that recur across languages, and in the asymmetric treatment of placement versus removal events. This volume provides a significant contribution within the emerging field of semantic typology, and will be of interest to researchers interested in the language-cognition interface, including linguists, psychologists, anthropologists, and philosophers.
  • Kopecka, A. (2012). Semantic granularity of placement and removal expressions in Polish. In A. Kopecka, & B. Narasimhan (Eds.), Events of putting and taking: A crosslinguistic perspective (pp. 327-348). Amsterdam: Benjamins.

    Abstract

    This chapter explores the expression of placement (or Goal-oriented) and removal (or Source-oriented) events by speakers of Polish (a West Slavic language). Its aim is to investigate the hypothesis known as ‘Source/Goal asymmetry’ according to which languages tend to favor the expression of Goals (e.g., into, onto) and to encode them more systematically and in a more fine-grained way than Sources (e.g., from, out of). The study provides both evidence and counter-evidence for Source/Goal asymmetry. On the one hand, it shows that Polish speakers use a greater variety of verbs to convey Manner and/or mode of manipulation in the expression of placement, encoding such events in a more fine-grained manner than removal events. The expression of placement is also characterized by a greater variety of verb prefixes conveying Path and prepositional phrases (including prepositions and case markers) conveying Ground. On the other hand, the study reveals that Polish speakers attend to Sources as often as to Goals, revealing no evidence for an attentional bias toward the endpoints of events.
  • Koutamanis, E., Kootstra, G. J., Dijkstra, T., & Unsworth., S. (2021). Lexical priming as evidence for language-nonselective access in the simultaneous bilingual child's lexicon. In D. Dionne, & L.-A. Vidal Covas (Eds.), BUCLD 45: Proceedings of the 45th annual Boston University Conference on Language Development (pp. 413-430). Sommerville, MA: Cascadilla Press.
  • Kouwenhoven, H., & Van Mulken, M. (2012). The perception of self in L1 and L2 for Dutch-English compound bilinguals. In N. De Jong, K. Juffermans, M. Keijzer, & L. Rasier (Eds.), Papers of the Anéla 2012 Applied Linguistics Conference (pp. 326-335). Delft: Eburon.
  • Krott, A., Schreuder, R., & Baayen, R. H. (2002). Analogical hierarchy: Exemplar-based modeling of linkers in Dutch noun-noun compounds. In R. Skousen (Ed.), Analogical modeling: An exemplar-based approach to language (pp. 181-206). Amsterdam: Benjamins.
  • Kuijpers, C., Van Donselaar, W., & Cutler, A. (2002). Perceptual effects of assimilation-induced violation of final devoicing in Dutch. In J. H. L. Hansen, & B. Pellum (Eds.), The 7th International Conference on Spoken Language Processing (pp. 1661-1664). Denver: ICSA.

    Abstract

    Voice assimilation in Dutch is an optional phonological rule which changes the surface forms of words and in doing so may violate the otherwise obligatory phonological rule of syllablefinal devoicing. We report two experiments examining the influence of voice assimilation on phoneme processing, in lexical compound words and in noun-verb phrases. Processing was not impaired in appropriate assimilation contexts across morpheme boundaries, but was impaired when devoicing was violated (a) in an inappropriate non-assimilatory) context, or (b) across a syntactic boundary.
  • Kuijpers, C. T., Coolen, R., Houston, D., & Cutler, A. (1998). Using the head-turning technique to explore cross-linguistic performance differences. In C. Rovee-Collier, L. Lipsitt, & H. Hayne (Eds.), Advances in infancy research: Vol. 12 (pp. 205-220). Stamford: Ablex.
  • Kuntay, A., & Ozyurek, A. (2002). Joint attention and the development of the use of demonstrative pronouns in Turkish. In B. Skarabela, S. Fish, & A. H. Do (Eds.), Proceedings of the 26th annual Boston University Conference on Language Development (pp. 336-347). Somerville, MA: Cascadilla Press.
  • Kupisch, T., Pereira Soares, S. M., Puig-Mayenco, E., & Rothman, J. (2021). Multilingualism and Chomsky's Generative Grammar. In N. Allott (Ed.), A companion to Chomsky (pp. 232-242). doi:10.1002/9781119598732.ch15.

    Abstract

    Like Einstein's general theory of relativity is concerned with explaining the basics of an observable experience – i.e., gravity – most people take for granted that Chomsky's theory of generative grammar (GG) is concerned with the basic nature of language. This chapter highlights a mere subset of central constructs in GG, showing how they have featured prominently and thus shaped formal linguistic studies in multilingualism. Because multilingualism includes a wide range of nonmonolingual populations, the constructs are divided across child bilingualism and adult third language for greater coverage. In the case of the former, the chapter examines how poverty of the stimulus has been investigated. Using the nascent field of L3/Ln acquisition as the backdrop, it discusses how the GG constructs of I-language versus E-language sit at the core of debates regarding the very notion of what linguistic transfer and mental representations should be taken to be.
  • Kuzla, C., Mitterer, H., Ernestus, M., & Cutler, A. (2006). Perceptual compensation for voice assimilation of German fricatives. In P. Warren, & I. Watson (Eds.), Proceedings of the 11th Australasian International Conference on Speech Science and Technology (pp. 394-399).

    Abstract

    In German, word-initial lax fricatives may be produced with substantially reduced glottal vibration after voiceless obstruents. This assimilation occurs more frequently and to a larger extent across prosodic word boundaries than across phrase boundaries. Assimilatory devoicing makes the fricatives more similar to their tense counterparts and could thus hinder word recognition. The present study investigates how listeners cope with assimilatory devoicing. Results of a cross-modal priming experiment indicate that listeners compensate for assimilation in appropriate contexts. Prosodic structure moderates compensation for assimilation: Compensation occurs especially after phrase boundaries, where devoiced fricatives are sufficiently long to be confused with their tense counterparts.
  • Kuzla, C., Ernestus, M., & Mitterer, H. (2006). Prosodic structure affects the production and perception of voice-assimilated German fricatives. In R. Hoffmann, & H. Mixdorff (Eds.), Speech prosody 2006. Dresden: TUD Press.

    Abstract

    Prosodic structure has long been known to constrain phonological processes [1]. More recently, it has also been recognized as a source of fine-grained phonetic variation of speech sounds. In particular, segments in domain-initial position undergo prosodic strengthening [2, 3], which also implies more resistance to coarticulation in higher prosodic domains [5]. The present study investigates the combined effects of prosodic strengthening and assimilatory devoicing on word-initial fricatives in German, the functional implication of both processes for cues to the fortis-lenis contrast, and the influence of prosodic structure on listeners’ compensation for assimilation. Results indicate that 1. Prosodic structure modulates duration and the degree of assimilatory devoicing, 2. Phonological contrasts are maintained by speakers, but differ in phonetic detail across prosodic domains, and 3. Compensation for assimilation in perception is moderated by prosodic structure and lexical constraints.
  • Kuzla, C., Mitterer, H., & Ernestus, M. (2006). Compensation for assimilatory devoicing and prosodic structure in German fricative perception. In Variation, detail and representation: 10th Conference on Laboratory Phonology (pp. 43-44).
  • Lenkiewicz, P., Auer, E., Schreer, O., Masneri, S., Schneider, D., & Tschöpe, S. (2012). AVATecH ― automated annotation through audio and video analysis. In N. Calzolari (Ed.), Proceedings of LREC 2012: 8th International Conference on Language Resources and Evaluation (pp. 209-214). European Language Resources Association.

    Abstract

    In different fields of the humanities annotations of multimodal resources are a necessary component of the research workflow. Examples include linguistics, psychology, anthropology, etc. However, creation of those annotations is a very laborious task, which can take 50 to 100 times the length of the annotated media, or more. This can be significantly improved by applying innovative audio and video processing algorithms, which analyze the recordings and provide automated annotations. This is the aim of the AVATecH project, which is a collaboration of the Max Planck Institute for Psycholinguistics (MPI) and the Fraunhofer institutes HHI and IAIS. In this paper we present a set of results of automated annotation together with an evaluation of their quality.
  • Lenkiewicz, A., Lis, M., & Lenkiewicz, P. (2012). Linguistic concepts described with Media Query Language for automated annotation. In J. C. Meiser (Ed.), Digital Humanities 2012 Conference Abstracts. University of Hamburg, Germany; July 16–22, 2012 (pp. 477-479).

    Abstract

    Introduction Human spoken communication is multimodal, i.e. it encompasses both speech and gesture. Acoustic properties of voice, body movements, facial expression, etc. are an inherent and meaningful part of spoken interaction; they can provide attitudinal, grammatical and semantic information. In the recent years interest in audio-visual corpora has been rising rapidly as they enable investigation of different communicative modalities and provide more holistic view on communication (Kipp et al. 2009). Moreover, for some languages such corpora are the only available resource, as is the case for endangered languages for which no written resources exist.

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