Publications

Displaying 201 - 300 of 409
  • Klein, W. (1986). Über Ansehen und Wirkung der deutschen Sprachwissenschaft heute. Linguistische Berichte, 100, 511-520.
  • Knosche, T. R., & Bastiaansen, M. C. M. (2002). On the time resolution of event-related desynchronization: A simulation study. Clinical Neurophysiology, 113(5), 754-763. doi:10.1016/S1388-2457(02)00055-X.

    Abstract

    Objectives: To investigate the time resolution of different methods for the computation of event-related desynchronization/synchronization (ERD/ERS), including one based on Hilbert transform. Methods: In order to better understand the time resolution of ERD/ERS, which is a function of factors such as the exact computation method, the frequency under study, the number of trials, and the sampling frequency, we simulated sudden changes in oscillation amplitude as well as very short and closely spaced events. Results: Hilbert-based ERD yields very similar results to ERD integrated over predefined time intervals (block ERD), if the block length is half the period length of the studied frequency. ERD predicts the onset of a change in oscillation amplitude with an error margin of only 10–30 ms. On the other hand, the time the ERD response needs to climb to its full height after a sudden change in oscillation amplitude is quite long, i.e. between 200 and 500 ms. With respect to sensitivity to short oscillatory events, the ratio between sampling frequency and electroencephalographic frequency band plays a major role. Conclusions: (1) The optimal time interval for the computation of block ERD is half a period of the frequency under investigation. (2) Due to the slow impulse response, amplitude effects in the ERD may in reality be caused by duration differences. (3) Although ERD based on the Hilbert transform does not yield any significant advantages over classical ERD in terms of time resolution, it has some important practical advantages.
  • Korvorst, M., Roelofs, A., & Levelt, W. J. M. (2007). Telling time from analog and digital clocks: A multiple-route account. Experimental Psychology, 54(3), 187-191. doi:10.1027/1618-3169.54.3.187.

    Abstract

    Does the naming of clocks always require conceptual preparation? To examine this question, speakers were presented with analog and digital clocks that had to be named in Dutch using either a relative (e.g., “quarter to four”) or an absolute (e.g., “three forty-five”) clock time expression format. Naming latencies showed evidence of conceptual preparation when speakers produced relative time expressions to analog and digital clocks, but not when they used absolute time expressions. These findings indicate that conceptual mediation is not always mandatory for telling time, but instead depends on clock time expression format, supporting a multiple-route account of Dutch clock time naming.
  • Kristiansen, M., Deriziotis, P., Dimcheff, D. E., Jackson, G. S., Ovaa, H., Naumann, H., Clarke, A. R., van Leeuwen, F. W., Menéndez-Benito, V., Dantuma, N. P., Portis, J. L., Collinge, J., & Tabrizi, S. J. (2007). Disease-associated prion protein oligomers inhibit the 26S proteasome. Molecular Cell, 26, 175-188. doi:10.1016/j.molcel.2007.04.001.

    Abstract

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

    Additional information

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  • Kuiper, K., Van Egmond, M.-E., Kempen, G., & Sprenger, S. A. (2007). Slipping on superlemmas: Multiword lexical items in speech production. The Mental Lexicon, 2(3), 313-357.

    Abstract

    Only relatively recently have theories of speech production concerned themselves with the part idioms and other multi-word lexical items (MLIs) play in the processes of speech production. Two theories of speech production which attempt to account for the accessing of idioms in speech production are those of Cutting and Bock (1997) and superlemma theory (Sprenger, 2003; Sprenger, Levelt, & Kempen, 2006). Much of the data supporting theories of speech production comes either from time course experiments or from slips of the tongue (Bock & Levelt, 1994). The latter are of two kinds: experimentally induced (Baars, 1992) or naturally observed (Fromkin, 1980). Cutting and Bock use experimentally induced speech errors while Sprenger et al. use time course experiments. The missing data type that has a bearing on speech production involving MLIs is that of naturally occurring slips. In this study the impact of data taken from naturally observed slips involving English and Dutch MLIs are brought to bear on these theories. The data are taken initially from a corpus of just over 1000 naturally observed English slips involving MLIs (the Tuggy corpus). Our argument proceeds as follows. First we show that slips occur independent of whether or not there are MLIs involved. In other words, speech production proceeds in certain of its aspects as though there were no MLI present. We illustrate these slips from the Tuggy data. Second we investigate the predictions of superlemma theory. Superlemma theory (Sprenger et al., 2006) accounts for the selection of MLIs and how their properties enter processes of speech production. It predicts certain activation patterns dependent on a MLI being selected. Each such pattern might give rise to slips of the tongue. This set of predictions is tested against the Tuggy data. Each of the predicted activation patterns yields a significant number of slips. These findings are therefore compatible with a view of MLIs as single units in so far as their activation by lexical concepts goes. However, the theory also predicts that some slips are likely not to occur. We confirm that such slips are not present in the data. These findings are further corroborated by reference a second smaller dataset of slips involving Dutch MLIs (the Kempen corpus). We then use slips involving irreversible binomials to distinguish between the predictions of superlemma theory which are supported by slips involving irreversible binomials and the Cutting and Bock model's predictions for slips involving these MLIs which are not
  • Küntay, A. C., & Slobin, D. I. (2002). Putting interaction back into child language: Examples from Turkish. Psychology of Language and Communication, 6(1): 14.

    Abstract

    As in the case of other non-English languages, the study of the acquisition of Turkish has mostly focused on aspects of grammatical morphology and syntax, largely neglecting the study of the effect of interactional factors on child morphosyntax. This paper reviews indications from past research that studying input and adult-child discourse can facilitate the study of the acquisition of morphosyntax in the Turkish language. It also provides some recent studies of Turkish child language on the relationship of child-directed speech to the early acquisition of morphosyntax, and on the pragmatic features of a certain kind of discourse form in child-directed speech called variation sets.
  • Kuperman, V., Pluymaekers, M., Ernestus, M., & Baayen, R. H. (2007). Morphological predictability and acoustic duration of interfixes in Dutch compounds. Journal of the Acoustical Society of America, 121(4), 2261-2271. doi:10.1121/1.2537393.

    Abstract

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

    Abstract

    This study addressed prosodic effects on the duration of and amount of glottal vibration in German word-initial fricatives /f, v, z/ in assimilatory and non-assimilatory devoicing contexts. Fricatives following /small schwa/ (non-assimilation context) were longer and were produced with less glottal vibration after higher prosodic boundaries, reflecting domain-initial prosodic strengthening. After /t/ (assimilation context), lenis fricatives (/v, z/) were produced with less glottal vibration than after /small schwa/, due to assimilatory devoicing. This devoicing was especially strong across lower prosodic boundaries, showing the influence of prosodic structure on sandhi processes. Reduction in glottal vibration made lenis fricatives more fortis-like (/f, s/). Importantly, fricative duration, another major cue to the fortis-lenis distinction, was affected by initial lengthening, but not by assimilation. Hence, at smaller boundaries, fricatives were more devoiced (more fortis-like), but also shorter (more lenis-like). As a consequence, the fortis and lenis fricatives remained acoustically distinct in all prosodic and segmental contexts. Overall, /z/ was devoiced to a greater extent than /v/. Since /z/ does not have a fortis counterpart in word-initial position, these findings suggest that phonotactic restrictions constrain phonetic processes. The present study illuminates a complex interaction of prosody, sandhi processes, and phonotactics, yielding systematic phonetic cues to prosodic structure and phonological distinctions.
  • Lausberg, H., & Kita, S. (2002). Dissociation of right and left gesture spaces in split-brain patients. Cortex, 38(5), 883-886. doi:10.1016/S0010-9452(08)70062-5.

    Abstract

    The present study investigates hemispheric specialisation in the use of space in communicative gestures. For this purpose, we investigate split-brain patients in whom spontaneous and distinct right hand gestures can only be controlled by the left hemisphere and vice versa, the left hand only by the right hemisphere. On this anatomical basis, we can infer hemispheric specialisation from the performances of the right and left hands. In contrast to left hand dyspraxia in tasks that require language processing, split-brain patients utilise their left hands in a meaningful way in visuo-constructive tasks such as copying drawings or block-design. Therefore, we conjecture that split-brain patients are capable of using their left hands for the communication of the content of visuo-spatial animations via gestural demonstration. On this basis, we further examine the use of space in communicative gestures by the right and left hands. McNeill and Pedelty (1995) noted for the split-brain patient N.G. that her iconic right hand gestures were exclusively displayed in the right personal space. The present study investigates systematically if there is indication for neglect of the left personal space in right hand gestures in split-brain patients.
  • Lausberg, H., & Kita, S. (2002). Dissociation of right and left hand gesture spaces in split-brain patients. Cortex, 38(5), 883-886. doi:10.1016/S0010-9452(08)70062-5.

    Abstract

    The present study investigates hemispheric specialisation in the use of space in communicative gestures. For this purpose, we investigate split-brain patients in whom spontaneous and distinct right hand gestures can only be controlled by the left hemisphere and vice versa, the left hand only by the right hemisphere. On this anatomical basis, we can infer hemispheric specialisation from the performances of the right and left hands. In contrast to left hand dyspraxia in tasks that require language processing, split-brain patients utilise their left hands in a meaningful way in visuo-constructive tasks such as copying drawings or block-design. Therefore, we conjecture that split-brain patients are capable of using their left hands for the communication of the content of visuo-spatial animations via gestural demonstration. On this basis, we further examine the use of space in communicative gestures by the right and left hands. McNeill and Pedelty (1995) noted for the split-brain patient N.G. that her iconic right hand gestures were exclusively displayed in the right personal space. The present study investigates systematically if there is indication for neglect of the left personal space in right hand gestures in split-brain patients.
  • Lehtonen, M., Cunillera, T., Rodríguez-Fornells, A., Hultén, A., Tuomainen, J., & Laine, M. (2007). Recognition of morphologically complex words in Finnish: Evidence from event-related potentials. Brain Research, 1148, 123-137. doi:10.1016/j.brainres.2007.02.026.

    Abstract

    The temporal dynamics of processing morphologically complex words was investigated by recording event-related brain potentials (ERPs) when native Finnish-speakers performed a visual lexical decision task. Behaviorally, there is evidence that recognition of inflected nouns elicits a processing cost (i.e., longer reaction times and higher error rates) in comparison to matched monomorphemic words. We aimed to reveal whether the processing cost stems from decomposition at the early visual word form level or from recomposition at the later semantic–syntactic level. The ERPs showed no early effects for morphology, but revealed an interaction with word frequency at a late N400-type component, as well as a late positive component that was larger for inflected words. These results suggest that the processing cost stems mainly from the semantic–syntactic level. We also studied the features of the morphological decomposition route by investigating the recognition of pseudowords carrying real morphemes. The results showed no differences between inflected vs. uninflected pseudowords with a false stem, but differences in relation to those with a real stem, suggesting that a recognizable stem is needed to initiate the decomposition route.
  • Levelt, W. J. M. (2002). Picture naming and word frequency: Comments on Alario, Costa and Caramazza, Language and Cognitive Processes, 17(3), 299-319. Language and Cognitive Processes, 17(6), 663-671. doi:0.1080/01690960143000443.

    Abstract

    This commentary on Alario et al. (2002) addresses two issues: (1) Different from what the authors suggest, there are no theories of production claiming the phonological word to be the upper bound of advance planning before the onset of articulation; (2) Their picture naming study of word frequency effects on speech onset is inconclusive by lack of a crucial control, viz., of object recognition latency. This is a perennial problem in picture naming studies of word frequency and age of acquisition effects
  • Levelt, C. C., Schiller, N. O., & Levelt, W. J. M. (1999). A developmental grammar for syllable structure in the production of child language. Brain and Language, 68, 291-299.

    Abstract

    The order of acquisition of Dutch syllable types by first language learners is analyzed as following from an initial ranking and subsequent rerankings of constraints in an optimality theoretic grammar. Initially, structural constraints are all ranked above faithfulness constraints, leading to core syllable (CV) productions only. Subsequently, faithfulness gradually rises to the highest position in the ranking, allowing more and more marked syllable types to appear in production. Local conjunctions of Structural constraints allow for a more detailed analysis.
  • Levelt, W. J. M., Roelofs, A., & Meyer, A. S. (1999). A theory of lexical access in speech production. Behavioral and Brain Sciences, 22, 1-38. doi:10.1017/S0140525X99001776.

    Abstract

    Preparing words in speech production is normally a fast and accurate process. We generate them two or three per second in fluent conversation; and overtly naming a clear picture of an object can easily be initiated within 600 msec after picture onset. The underlying process, however, is exceedingly complex. The theory reviewed in this target article analyzes this process as staged and feedforward. After a first stage of conceptual preparation, word generation proceeds through lexical selection, morphological and phonological encoding, phonetic encoding, and articulation itself. In addition, the speaker exerts some degree of output control, by monitoring of self-produced internal and overt speech. The core of the theory, ranging from lexical selection to the initiation of phonetic encoding, is captured in a computational model, called WEAVER + +. Both the theory and the computational model have been developed in interaction with reaction time experiments, particularly in picture naming or related word production paradigms, with the aim of accounting. for the real-time processing in normal word production. A comprehensive review of theory, model, and experiments is presented. The model can handle some of the main observations in the domain of speech errors (the major empirical domain for most other theories of lexical access), and the theory opens new ways of approaching the cerebral organization of speech production by way of high-temporal-resolution imaging.
  • Levelt, W. J. M. (1999). Models of word production. Trends in Cognitive Sciences, 3, 223-232.

    Abstract

    Research on spoken word production has been approached from two angles. In one research tradition, the analysis of spontaneous or induced speech errors led to models that can account for speech error distributions. In another tradition, the measurement of picture naming latencies led to chronometric models accounting for distributions of reaction times in word production. Both kinds of models are, however, dealing with the same underlying processes: (1) the speaker’s selection of a word that is semantically and syntactically appropriate; (2) the retrieval of the word’s phonological properties; (3) the rapid syllabification of the word in context; and (4) the preparation of the corresponding articulatory gestures. Models of both traditions explain these processes in terms of activation spreading through a localist, symbolic network. By and large, they share the main levels of representation: conceptual/semantic, syntactic, phonological and phonetic. They differ in various details, such as the amount of cascading and feedback in the network. These research traditions have begun to merge in recent years, leading to highly constructive experimentation. Currently, they are like two similar knives honing each other. A single pair of scissors is in the making.
  • Levelt, W. J. M., Roelofs, A., & Meyer, A. S. (1999). Multiple perspectives on lexical access [authors' response ]. Behavioral and Brain Sciences, 22, 61-72. doi:10.1017/S0140525X99451775.
  • Levelt, W. J. M. (1982). Het lineariseringsprobleem van de spreker. Tijdschrift voor Taal- en Tekstwetenschap (TTT), 2(1), 1-15.
  • Levelt, W. J. M. (1995). Hoezo 'neuro'? Hoezo 'linguïstisch'? Intermediair, 31(46), 32-37.
  • Levelt, W. J. M. (1995). The ability to speak: From intentions to spoken words. European Review, 3(1), 13-23. doi:10.1017/S1062798700001290.

    Abstract

    In recent decades, psychologists have become increasingly interested in our ability to speak. This paper sketches the present theoretical perspective on this most complex skill of homo sapiens. The generation of fluent speech is based on the interaction of various processing components. These mechanisms are highly specialized, dedicated to performing specific subroutines, such as retrieving appropriate words, generating morpho-syntactic structure, computing the phonological target shape of syllables, words, phrases and whole utterances, and creating and executing articulatory programmes. As in any complex skill, there is a self-monitoring mechanism that checks the output. These component processes are targets of increasingly sophisticated experimental research, of which this paper presents a few salient examples.
  • Levelt, W. J. M., & Kelter, S. (1982). Surface form and memory in question answering. Cognitive Psychology, 14, 78-106. doi:10.1016/0010-0285(82)90005-6.

    Abstract

    Speakers tend to repeat materials from previous talk. This tendency is experimentally established and manipulated in various question-answering situations. It is shown that a question's surface form can affect the format of the answer given, even if this form has little semantic or conversational consequence, as in the pair Q: (At) what time do you close. A: “(At)five o'clock.” Answerers tend to match the utterance to the prepositional (nonprepositional) form of the question. This “correspondence effect” may diminish or disappear when, following the question, additional verbal material is presented to the answerer. The experiments show that neither the articulatory buffer nor long-term memory is normally involved in this retention of recent speech. Retaining recent speech in working memory may fulfill a variety of functions for speaker and listener, among them the correct production and interpretation of surface anaphora. Reusing recent materials may, moreover, be more economical than regenerating speech anew from a semantic base, and thus contribute to fluency. But the realization of this strategy requires a production system in which linguistic formulation can take place relatively independent of, and parallel to, conceptual planning.
  • Levelt, W. J. M. (1982). Science policy: Three recent idols, and a goddess. IPO Annual Progress Report, 17, 32-35.
  • Levelt, W. J. M. (1982). Zelfcorrecties in het spreekproces. KNAW: Mededelingen van de afdeling letterkunde, nieuwe reeks, 45(8), 215-228.
  • Levinson, S. C., Kita, S., Haun, D. B. M., & Rasch, B. H. (2002). Returning the tables: Language affects spatial reasoning. Cognition, 84(2), 155-188. doi:10.1016/S0010-0277(02)00045-8.

    Abstract

    Li and Gleitman (Turning the tables: language and spatial reasoning. Cognition, in press) seek to undermine a large-scale cross-cultural comparison of spatial language and cognition which claims to have demonstrated that language and conceptual coding in the spatial domain covary (see, for example, Space in language and cognition: explorations in linguistic diversity. Cambridge: Cambridge University Press, in press; Language 74 (1998) 557): the most plausible interpretation is that different languages induce distinct conceptual codings. Arguing against this, Li and Gleitman attempt to show that in an American student population they can obtain any of the relevant conceptual codings just by varying spatial cues, holding language constant. They then argue that our findings are better interpreted in terms of ecologically-induced distinct cognitive styles reflected in language. Linguistic coding, they argue, has no causal effects on non-linguistic thinking – it simply reflects antecedently existing conceptual distinctions. We here show that Li and Gleitman did not make a crucial distinction between frames of spatial reference relevant to our line of research. We report a series of experiments designed to show that they have, as a consequence, misinterpreted the results of their own experiments, which are in fact in line with our hypothesis. Their attempts to reinterpret the large cross-cultural study, and to enlist support from animal and infant studies, fail for the same reasons. We further try to discern exactly what theory drives their presumption that language can have no cognitive efficacy, and conclude that their position is undermined by a wide range of considerations.
  • Levinson, S. C. (2002). Time for a linguistic anthropology of time. Current Anthropology, 43(4), S122-S123. doi:10.1086/342214.
  • Levinson, S. C. (2007). Cut and break verbs in Yélî Dnye, the Papuan language of Rossel Island. Cognitive Linguistics, 18(2), 207-218. doi:10.1515/COG.2007.009.

    Abstract

    The paper explores verbs of cutting and breaking (C&B, hereafter) in Yeli Dnye, the Papuan language of Rossel Island. The Yeli Dnye verbs covering the C&B domain do not divide it in the expected way, with verbs focusing on special instruments and manners of action on the one hand, and verbs focusing on the resultant state on the other. Instead, just three transitive verbs and their intransitive counterparts cover most of the domain, and they are all based on 'exotic' distinctions in mode of severance[--]coherent severance with the grain vs. against the grain, and incoherent severance (regardless of grain).
  • Levinson, S. C. (1999). Maxim. Journal of Linguistic Anthropology, 9, 144-147. doi:10.1525/jlin.1999.9.1-2.144.
  • Liszkowski, U., Carpenter, M., & Tomasello, M. (2007). Reference and attitude in infant pointing. Journal of Child Language, 34(1), 1-20. doi:10.1017/S0305000906007689.

    Abstract

    We investigated two main components of infant declarative pointing, reference and attitude, in two experiments with a total of 106 preverbal infants at 1;0. When an experimenter (E) responded to the declarative pointing of these infants by attending to an incorrect referent (with positive attitude), infants repeated pointing within trials to redirect E’s attention, showing an understanding of E’s reference and active message repair. In contrast, when E identified infants’ referent correctly but displayed a disinterested attitude, infants did not repeat pointing within trials and pointed overall in fewer trials, showing an understanding of E’s unenthusiastic attitude about the referent. When E attended to infants’ intended referent AND shared interest in it, infants were most satisfied, showing no message repair within trials and pointing overall in more trials. These results suggest that by twelve months of age infant declarative pointing is a full communicative act aimed at sharing with others both attention to a referent and a specific attitude about that referent.
  • Liszkowski, U., Carpenter, M., & Tomasello, M. (2007). Pointing out new news, old news, and absent referents at 12 months of age. Developmental Science, 10(2), F1-F7. doi:0.1111/j.1467-7687.2006.00552.x.

    Abstract

    There is currently controversy over the nature of 1-year-olds' social-cognitive understanding and motives. In this study we investigated whether 12-month-old infants point for others with an understanding of their knowledge states and with a prosocial motive for sharing experiences with them. Declarative pointing was elicited in four conditions created by crossing two factors: an adult partner (1) was already attending to the target event or not, and (2) emoted positively or neutrally. Pointing was also coded after the event had ceased. The findings suggest that 12-month-olds point to inform others of events they do not know about, that they point to share an attitude about mutually attended events others already know about, and that they can point (already prelinguistically) to absent referents. These findings provide strong support for a mentalistic and prosocial interpretation of infants' prelinguistic communication
  • Maess, B., Friederici, A. D., Damian, M., Meyer, A. S., & Levelt, W. J. M. (2002). Semantic category interference in overt picture naming: Sharpening current density localization by PCA. Journal of Cognitive Neuroscience, 14(3), 455-462. doi:10.1162/089892902317361967.

    Abstract

    The study investigated the neuronal basis of the retrieval of words from the mental lexicon. The semantic category interference effect was used to locate lexical retrieval processes in time and space. This effect reflects the finding that, for overt naming, volunteers are slower when naming pictures out of a sequence of items from the same semantic category than from different categories. Participants named pictures blockwise either in the context of same- or mixedcategory items while the brain response was registered using magnetoencephalography (MEG). Fifteen out of 20 participants showed longer response latencies in the same-category compared to the mixed-category condition. Event-related MEG signals for the participants demonstrating the interference effect were submitted to a current source density (CSD) analysis. As a new approach, a principal component analysis was applied to decompose the grand average CSD distribution into spatial subcomponents (factors). The spatial factor indicating left temporal activity revealed significantly different activation for the same-category compared to the mixedcategory condition in the time window between 150 and 225 msec post picture onset. These findings indicate a major involvement of the left temporal cortex in the semantic interference effect. As this effect has been shown to take place at the level of lexical selection, the data suggest that the left temporal cortex supports processes of lexical retrieval during production.
  • Majid, A., Bowerman, M., Van Staden, M., & Boster, J. S. (2007). The semantic categories of cutting and breaking events: A crosslinguistic perspective. Cognitive Linguistics, 18(2), 133-152. doi:10.1515/COG.2007.005.

    Abstract

    This special issue of Cognitive Linguistics explores the linguistic encoding of events of cutting and breaking. In this article we first introduce the project on which it is based by motivating the selection of this conceptual domain, presenting the methods of data collection used by all the investigators, and characterizing the language sample. We then present a new approach to examining crosslinguistic similarities and differences in semantic categorization. Applying statistical modeling to the descriptions of cutting and breaking events elicited from speakers of all the languages, we show that although there is crosslinguistic variation in the number of distinctions made and in the placement of category boundaries, these differences take place within a strongly constrained semantic space: across languages, there is a surprising degree of consensus on the partitioning of events in this domain. In closing, we compare our statistical approach with more conventional semantic analyses, and show how...
  • Majid, A., Sanford, A. J., & Pickering, M. J. (2007). The linguistic description of minimal social scenarios affects the extent of causal inference making. Journal of Experimental Social Psychology, 43(6), 918-932. doi:10.1016/j.jesp.2006.10.016.

    Abstract

    There is little consensus regarding the circumstances in which people spontaneously generate causal inferences, and in particular whether they generate inferences about the causal antecedents or the causal consequences of events. We tested whether people systematically infer causal antecedents or causal consequences to minimal social scenarios by using a continuation methodology. People overwhelmingly produced causal antecedent continuations for descriptions of interpersonal events (John hugged Mary), but causal consequence continuations to descriptions of transfer events (John gave a book to Mary). This demonstrates that there is no global cognitive style, but rather inference generation is crucially tied to the input. Further studies examined the role of event unusualness, number of participators, and verb-type on the likelihood of producing a causal antecedent or causal consequence inference. We conclude that inferences are critically guided by the specific verb used.
  • Majid, A., & Bowerman, M. (Eds.). (2007). Cutting and breaking events: A crosslinguistic perspective [Special Issue]. Cognitive Linguistics, 18(2).

    Abstract

    This special issue of Cognitive Linguistics explores the linguistic encoding of events of cutting and breaking. In this article we first introduce the project on which it is based by motivating the selection of this conceptual domain, presenting the methods of data collection used by all the investigators, and characterizing the language sample. We then present a new approach to examining crosslinguistic similarities and differences in semantic categorization. Applying statistical modeling to the descriptions of cutting and breaking events elicited from speakers of all the languages, we show that although there is crosslinguistic variation in the number of distinctions made and in the placement of category boundaries, these differences take place within a strongly constrained semantic space: across languages, there is a surprising degree of consensus on the partitioning of events in this domain. In closing, we compare our statistical approach with more conventional semantic analyses, and show how an extensional semantic typological approach like the one illustrated here can help illuminate the intensional distinctions made by languages.
  • Majid, A., Gullberg, M., Van Staden, M., & Bowerman, M. (2007). How similar are semantic categories in closely related languages? A comparison of cutting and breaking in four Germanic languages. Cognitive Linguistics, 18(2), 179-194. doi:10.1515/COG.2007.007.

    Abstract

    Are the semantic categories of very closely related languages the same? We present a new methodology for addressing this question. Speakers of English, German, Dutch and Swedish described a set of video clips depicting cutting and breaking events. The verbs elicited were then subjected to cluster analysis, which groups scenes together based on similarity (determined by shared verbs). Using this technique, we find that there are surprising differences among the languages in the number of categories, their exact boundaries, and the relationship of the terms to one another[--]all of which is circumscribed by a common semantic space.
  • Majid, A. (2002). Frames of reference and language concepts. Trends in Cognitive Sciences, 6(12), 503-504. doi:10.1016/S1364-6613(02)02024-7.
  • Mak, W. M., Vonk, W., & Schriefers, H. (2002). The influence of animacy on relative clause processing. Journal of Memory and Language, 47(1), 50-68. doi:10.1006/jmla.2001.2837.

    Abstract

    In previous research it has been shown that subject relative clauses are easier to process than object relative clauses. Several theories have been proposed that explain the difference on the basis of different theoretical perspectives. However, previous research tested relative clauses only with animate protagonists. In a corpus study of Dutch and German newspaper texts, we show that animacy is an important determinant of the distribution of subject and object relative clauses. In two experiments in Dutch, in which the animacy of the object of the relative clause is varied, no difference in reading time is obtained between subject and object relative clauses when the object is inanimate. The experiments show that animacy influences the processing difficulty of relative clauses. These results can only be accounted for by current major theories of relative clause processing when additional assumptions are introduced, and at the same time show that the possibility of semantically driven analysis can be considered as a serious alternative.
  • Marklund, P., Fransson, P., Cabeza, R., Petersson, K. M., Ingvar, M., & Nyberg, L. (2007). Sustained and transient neural modulations in prefrontal cortex related to declarative long-term memory, working memory, and attention. Cortex, 43(1), 22-37. doi:10.1016/S0010-9452(08)70443-X.

    Abstract

    Common activations in prefrontal cortex (PFC) during episodic and semantic long-term memory (LTM) tasks have been hypothesized to reflect functional overlap in terms of working memory (WM) and cognitive control. To evaluate a WM account of LTM-general activations, the present study took into consideration that cognitive task performance depends on the dynamic operation of multiple component processes, some of which are stimulus-synchronous and transient in nature; and some that are engaged throughout a task in a sustained fashion. PFC and WM may be implicated in both of these temporally independent components. To elucidate these possibilities we employed mixed blocked/event-related functional magnetic resonance imaging (fMRI) procedures to assess the extent to which sustained or transient activation patterns overlapped across tasks indexing episodic and semantic LTM, attention (ATT), and WM. Within PFC, ventrolateral and medial areas exhibited sustained activity across all tasks, whereas more anterior regions including right frontopolar cortex were commonly engaged in sustained processing during the three memory tasks. These findings do not support a WM account of sustained frontal responses during LTM tasks, but instead suggest that the pattern that was common to all tasks reflects general attentional set/vigilance, and that the shared WM-LTM pattern mediates control processes related to upholding task set. Transient responses during the three memory tasks were assessed relative to ATT to isolate item-specific mnemonic processes and were found to be largely distinct from sustained effects. Task-specific effects were observed for each memory task. In addition, a common item response for all memory tasks involved left dorsolateral PFC (DLPFC). The latter response might be seen as reflecting WM processes during LTM retrieval. Thus, our findings suggest that a WM account of shared PFC recruitment in LTM tasks holds for common transient item-related responses rather than sustained state-related responses that are better seen as reflecting more general attentional/control processes.
  • Marlow, A. J., Fisher, S. E., Richardson, A. J., Francks, C., Talcott, J. B., Monaco, A. P., Stein, J. F., & Cardon, L. R. (2002). Investigation of quantitative measures related to reading disability in a large sample of sib-pairs from the UK. Behavior Genetics, 31(2), 219-230. doi:10.1023/A:1010209629021.

    Abstract

    We describe a family-based sample of individuals with reading disability collected as part of a quantitative trait loci (QTL) mapping study. Eighty-nine nuclear families (135 independent sib-pairs) were identified through a single proband using a traditional discrepancy score of predicted/actual reading ability and a known family history. Eight correlated psychometric measures were administered to each sibling, including single word reading, spelling, similarities, matrices, spoonerisms, nonword and irregular word reading, and a pseudohomophone test. Summary statistics for each measure showed a reduced mean for the probands compared to the co-sibs, which in turn was lower than that of the population. This partial co-sib regression back to the mean indicates that the measures are influenced by familial factors and therefore, may be suitable for a mapping study. The variance of each of the measures remained largely unaffected, which is reassuring for the application of a QTL approach. Multivariate genetic analysis carried out to explore the relationship between the measures identified a common factor between the reading measures that accounted for 54% of the variance. Finally the familiality estimates (range 0.32–0.73) obtained for the reading measures including the common factor (0.68) supported their heritability. These findings demonstrate the viability of this sample for QTL mapping, and will assist in the interpretation of any subsequent linkage findings in an ongoing genome scan.
  • Mauner, G., Melinger, A., Koenig, J.-P., & Bienvenue, B. (2002). When is schematic participant information encoded: Evidence from eye-monitoring. Journal of Memory and Language, 47(3), 386-406. doi:10.1016/S0749-596X(02)00009-8.

    Abstract

    Two eye-monitoring studies examined when unexpressed schematic participant information specified by verbs is used during sentence processing. Experiment 1 compared the processing of sentences with passive and intransitive verbs hypothesized to introduce or not introduce, respectively, an agent when their main clauses were preceded by either agent-dependent rationale clauses or adverbial clause controls. While there were no differences in the processing of passive clauses following rationale and control clauses, intransitive verb clauses elicited anomaly effects following agent-dependent rationale clauses. To determine whether the source of this immediately available schematic participant information is lexically specified or instead derived solely from conceptual sources associated with verbs, Experiment 2 compared the processing of clauses with passive and middle verbs following rationale clauses (e.g., To raise money for the charity, the vase was/had sold quickly…). Although both passive and middle verb forms denote situations that logically require an agent, middle verbs, which by hypothesis do not lexically specify an agent, elicited longer processing times than passive verbs in measures of early processing. These results demonstrate that participants access and interpret lexically encoded schematic participant information in the process of recognizing a verb.
  • McQueen, J. M., & Viebahn, M. C. (2007). Tracking recognition of spoken words by tracking looks to printed words. Quarterly Journal of Experimental Psychology, 60(5), 661-671. doi:10.1080/17470210601183890.

    Abstract

    Eye movements of Dutch participants were tracked as they looked at arrays of four words on a computer screen and followed spoken instructions (e.g., "Klik op het woord buffel": Click on the word buffalo). The arrays included the target (e.g., buffel), a phonological competitor (e.g., buffer, buffer), and two unrelated distractors. Targets were monosyllabic or bisyllabic, and competitors mismatched targets only on either their onset or offset phoneme and only by one distinctive feature. Participants looked at competitors more than at distractors, but this effect was much stronger for offset-mismatch than onset-mismatch competitors. Fixations to competitors started to decrease as soon as phonetic evidence disfavouring those competitors could influence behaviour. These results confirm that listeners continuously update their interpretation of words as the evidence in the speech signal unfolds and hence establish the viability of the methodology of using eye movements to arrays of printed words to track spoken-word recognition.
  • McQueen, J. M., Cutler, A., Briscoe, T., & Norris, D. (1995). Models of continuous speech recognition and the contents of the vocabulary. Language and Cognitive Processes, 10, 309-331. doi:10.1080/01690969508407098.

    Abstract

    Several models of spoken word recognition postulate that recognition is achieved via a process of competition between lexical hypotheses. Competition not only provides a mechanism for isolated word recognition, it also assists in continuous speech recognition, since it offers a means of segmenting continuous input into individual words. We present statistics on the pattern of occurrence of words embedded in the polysyllabic words of the English vocabulary, showing that an overwhelming majority (84%) of polysyllables have shorter words embedded within them. Positional analyses show that these embeddings are most common at the onsets of the longer word. Although both phonological and syntactic constraints could rule out some embedded words, they do not remove the problem. Lexical competition provides a means of dealing with lexical embedding. It is also supported by a growing body of experimental evidence. We present results which indicate that competition operates both between word candidates that begin at the same point in the input and candidates that begin at different points (McQueen, Norris, & Cutler, 1994, Noms, McQueen, & Cutler, in press). We conclude that lexical competition is an essential component in models of continuous speech recognition.
  • McQueen, J. M., Norris, D., & Cutler, A. (1999). Lexical influence in phonetic decision-making: Evidence from subcategorical mismatches. Journal of Experimental Psychology: Human Perception and Performance, 25, 1363-1389. doi:10.1037/0096-1523.25.5.1363.

    Abstract

    In 5 experiments, listeners heard words and nonwords, some cross-spliced so that they contained acoustic-phonetic mismatches. Performance was worse on mismatching than on matching items. Words cross-spliced with words and words cross-spliced with nonwords produced parallel results. However, in lexical decision and 1 of 3 phonetic decision experiments, performance on nonwords cross-spliced with words was poorer than on nonwords cross-spliced with nonwords. A gating study confirmed that there were misleading coarticulatory cues in the cross-spliced items; a sixth experiment showed that the earlier results were not due to interitem differences in the strength of these cues. Three models of phonetic decision making (the Race model, the TRACE model, and a postlexical model) did not explain the data. A new bottom-up model is outlined that accounts for the findings in terms of lexical involvement at a dedicated decision-making stage.
  • 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.
  • Menenti, L., & Burani, C. (2007). What causes the effect of age of acquisition in lexical processing? Quarterly Journal of Experimental Psychology, 60(5), 652-660. doi:10.1080/17470210601100126.

    Abstract

    Three hypotheses for effects of age of acquisition (AoA) in lexical processing are compared: the cumulative frequency hypothesis (frequency and AoA both influence the number of encounters with a word, which influences processing speed), the semantic hypothesis (early-acquired words are processed faster because they are more central in the semantic network), and the neural network model (early-acquired words are faster because they are acquired when a network has maximum plasticity). In a regression study of lexical decision (LD) and semantic categorization (SC) in Italian and Dutch, contrary to the cumulative frequency hypothesis, AoA coefficients were larger than frequency coefficients, and, contrary to the semantic hypothesis, the effect of AoA was not larger in SC than in LD. The neural network model was supported.
  • Meyer, A. S., & Damian, M. F. (2007). Activation of distractor names in the picture-picture interference paradigm. Memory & Cognition, 35, 494-503.

    Abstract

    In four experiments, participants named target pictures that were accompanied by distractor pictures with phonologically related or unrelated names. Across experiments, the type of phonological relationship between the targets and the related distractors was varied: They were homophones (e.g., bat [animal/baseball]), or they shared word-initial segments (e.g., dog-doll) or word-final segments (e.g., ball-wall). The participants either named the objects after an extensive familiarization and practice phase or without any familiarization or practice. In all of the experiments, the mean target-naming latency was shorter in the related than in the unrelated condition, demonstrating that the phonological form of the name of the distractor picture became activated. These results are best explained within a cascaded model of lexical access—that is, under the assumption that the recognition of an object leads to the activation of its name.
  • Meyer, A. S., Belke, E., Telling, A. L., & Humphreys, G. W. (2007). Early activation of object names in visual search. Psychonomic Bulletin & Review, 14, 710-716.

    Abstract

    In a visual search experiment, participants had to decide whether or not a target object was present in a four-object search array. One of these objects could be a semantically related competitor (e.g., shirt for the target trousers) or a conceptually unrelated object with the same name as the target-for example, bat (baseball) for the target bat (animal). In the control condition, the related competitor was replaced by an unrelated object. The participants' response latencies and eye movements demonstrated that the two types of related competitors had similar effects: Competitors attracted the participants' visual attention and thereby delayed positive and negative decisions. The results imply that semantic and name information associated with the objects becomes rapidly available and affects the allocation of visual attention.
  • Meyer, A. S., & Bock, K. (1999). Representations and processes in the production of pronouns: Some perspectives from Dutch. Journal of Memory and Language, 41(2), 281-301. doi:doi:10.1006/jmla.1999.2649.

    Abstract

    The production and interpretation of pronouns involves the identification of a mental referent and, in connected speech or text, a discourse antecedent. One of the few overt signals of the relationship between a pronoun and its antecedent is agreement in features such as number and grammatical gender. To examine how speakers create these signals, two experiments tested conceptual, lexical. and morphophonological accounts of pronoun production in Dutch. The experiments employed sentence completion and continuation tasks with materials containing noun phrases that conflicted or agreed in grammatical gender. The noun phrases served as the antecedents for demonstrative pronouns tin Experiment 1) and relative pronouns tin Experiment 2) that required gender marking. Gender errors were used to assess the nature of the processes that established the link between pronouns and antecedents. There were more gender errors when candidate antecedents conflicted in grammatical gender, counter to the predictions of a pure conceptual hypothesis. Gender marking on candidate antecedents did not change the magnitude of this interference effect, counter to the predictions of an overt-morphology hypothesis. Mirroring previous findings about pronoun comprehension, the results suggest that speakers of gender-marking languages call on specific linguistic information about antecedents in order to select pronouns and that the information consists of specifications of grammatical gender associated with the lemmas of words.
  • Meyer, A. S., Belke, E., Häcker, C., & Mortensen, L. (2007). Use of word length information in utterance planning. Journal of Memory and Language, 57, 210-231. doi:10.1016/j.jml.2006.10.005.

    Abstract

    Griffin [Griffin, Z. M. (2003). A reversed length effect in coordinating the preparation and articulation of words in speaking. Psychonomic Bulletin & Review, 10, 603-609.] found that speakers naming object pairs spent more time before utterance onset looking at the second object when the first object name was short than when it was long. She proposed that this reversed length effect arose because the speakers' decision when to initiate an utterance was based, in part, on their estimate of the spoken duration of the first object name and the time available during its articulation to plan the second object name. In Experiment I of the present study, participants named object pairs. They spent more time looking at the first object when its name was monosyllabic than when it was trisyllabic, and, as in Griffin's study, the average gaze-speech lag (the time between the end of the gaze to the first object and onset of its name, which corresponds closely to the pre-speech inspection time for the second object) showed a reversed length effect. Experiments 2 and 3 showed that this effect was not due to a trade-off between the time speakers spent looking at the first and second object before speech onset. Experiment 4 yielded a reversed length effect when the second object was replaced by a symbol (x or +), which the participants had to categorise. We propose a novel account of the reversed length effect, which links it to the incremental nature of phonological encoding and articulatory planning rather than the speaker's estimate of the length of the first object name.
  • Monaco, A., Fisher, S. E., & The SLI Consortium (SLIC) (2007). Multivariate linkage analysis of specific language impairment (SLI). Annals of Human Genetics, 71(5), 660-673. doi:10.1111/j.1469-1809.2007.00361.x.

    Abstract

    Specific language impairment (SLI) is defined as an inability to develop appropriate language skills without explanatory medical conditions, low intelligence or lack of opportunity. Previously, a genome scan of 98 families affected by SLI was completed by the SLI Consortium, resulting in the identification of two quantitative trait loci (QTL) on chromosomes 16q (SLI1) and 19q (SLI2). This was followed by a replication of both regions in an additional 86 families. Both these studies applied linkage methods to one phenotypic trait at a time. However, investigations have suggested that simultaneous analysis of several traits may offer more power. The current study therefore applied a multivariate variance-components approach to the SLI Consortium dataset using additional phenotypic data. A multivariate genome scan was completed and supported the importance of the SLI1 and SLI2 loci, whilst highlighting a possible novel QTL on chromosome 10. Further investigation implied that the effect of SLI1 on non-word repetition was equally as strong on reading and spelling phenotypes. In contrast, SLI2 appeared to have influences on a selection of expressive and receptive language phenotypes in addition to non-word repetition, but did not show linkage to literacy phenotypes.

    Additional information

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  • Murty, L., Otake, T., & Cutler, A. (2007). Perceptual tests of rhythmic similarity: I. Mora Rhythm. Language and Speech, 50(1), 77-99. doi:10.1177/00238309070500010401.

    Abstract

    Listeners rely on native-language rhythm in segmenting speech; in different languages, stress-, syllable- or mora-based rhythm is exploited. The rhythmic similarity hypothesis holds that where two languages have similar rhythm, listeners of each language should segment their own and the other language similarly. Such similarity in listening was previously observed only for related languages (English-Dutch; French-Spanish). We now report three experiments in which speakers of Telugu, a Dravidian language unrelated to Japanese but similar to it in crucial aspects of rhythmic structure, heard speech in Japanese and in their own language, and Japanese listeners heard Telugu. For the Telugu listeners, detection of target sequences in Japanese speech was harder when target boundaries mismatched mora boundaries, exactly the pattern that Japanese listeners earlier exhibited with Japanese and other languages. The same results appeared when Japanese listeners heard Telugu speech containing only codas permissible in Japanese. Telugu listeners' results with Telugu speech were mixed, but the overall pattern revealed correspondences between the response patterns of the two listener groups, as predicted by the rhythmic similarity hypothesis. Telugu and Japanese listeners appear to command similar procedures for speech segmentation, further bolstering the proposal that aspects of language phonological structure affect listeners' speech segmentation.
  • Narasimhan, B., Eisenbeiss, S., & Brown, P. (Eds.). (2007). The linguistic encoding of multiple-participant events [Special Issue]. Linguistics, 45(3).

    Abstract

    This issue investigates the linguistic encoding of events with three or more participants from the perspectives of language typology and acquisition. Such “multiple-participant events” include (but are not limited to) any scenario involving at least three participants, typically encoded using transactional verbs like 'give' and 'show', placement verbs like 'put', and benefactive and applicative constructions like 'do (something for someone)', among others. There is considerable crosslinguistic and withinlanguage variation in how the participants (the Agent, Causer, Theme, Goal, Recipient, or Experiencer) and the subevents involved in multipleparticipant situations are encoded, both at the lexical and the constructional levels
  • Narasimhan, B. (2007). Cutting, breaking, and tearing verbs in Hindi and Tamil. Cognitive Linguistics, 18(2), 195-205. doi:10.1515/COG.2007.008.

    Abstract

    Tamil and Hindi verbs of cutting, breaking, and tearing are shown to have a high degree of overlap in their extensions. However, there are also differences in the lexicalization patterns of these verbs in the two languages with regard to their category boundaries, and the number of verb types that are available to make finer-grained distinctions. Moreover, differences in the extensional ranges of corresponding verbs in the two languages can be motivated in terms of the properties of the instrument and the theme object.
  • Narasimhan, B., Eisenbeiss, S., & Brown, P. (2007). "Two's company, more is a crowd": The linguistic encoding of multiple-participant events. Linguistics, 45(3), 383-392. doi:10.1515/LING.2007.013.

    Abstract

    This introduction to a special issue of the journal Linguistics sketches the challenges that multiple-participant events pose for linguistic and psycholinguistic theories, and summarizes the articles in the volume.
  • 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., Petersson, K. M., & Van Berkum, J. J. A. (2007). On sense and reference: Examining the functional neuroanatomy of referential processing. NeuroImage, 37(3), 993-1004. doi:10.1016/j.neuroimage.2007.05.048.

    Abstract

    In an event-related fMRI study, we examined the cortical networks involved in establishing reference during language comprehension. We compared BOLD responses to sentences containing referentially ambiguous pronouns (e.g., “Ronald told Frank that he…”), referentially failing pronouns (e.g., “Rose told Emily that he…”) or coherent pronouns. Referential ambiguity selectively recruited medial prefrontal regions, suggesting that readers engaged in problem-solving to select a unique referent from the discourse model. Referential failure elicited activation increases in brain regions associated with morpho-syntactic processing, and, for those readers who took failing pronouns to refer to unmentioned entities, additional regions associated with elaborative inferencing were observed. The networks activated by these two referential problems did not overlap with the network activated by a standard semantic anomaly. Instead, we observed a double dissociation, in that the systems activated by semantic anomaly are deactivated by referential ambiguity, and vice versa. This inverse coupling may reflect the dynamic recruitment of semantic and episodic processing to resolve semantically or referentially problematic situations. More generally, our findings suggest that neurocognitive accounts of language comprehension need to address not just how we parse a sentence and combine individual word meanings, but also how we determine who's who and what's what during language comprehension.
  • Nieuwland, M. S., Otten, M., & Van Berkum, J. J. A. (2007). Who are you talking about? Tracking discourse-level referential processing with event-related brain potentials. Journal of Cognitive Neuroscience, 19(2), 228-236. doi:10.1162/jocn.2007.19.2.228.

    Abstract

    In this event-related brain potentials (ERPs) study, we explored the possibility to selectively track referential ambiguity during spoken discourse comprehension. Earlier ERP research has shown that referentially ambiguous nouns (e.g., “the girl” in a two-girl context) elicit a frontal, sustained negative shift relative to unambiguous control words. In the current study, we examined whether this ERP effect reflects “deep” situation model ambiguity or “superficial” textbase ambiguity. We contrasted these different interpretations by investigating whether a discourse-level semantic manipulation that prevents referential ambiguity also averts the elicitation of a referentially induced ERP effect. We compared ERPs elicited by nouns that were referentially nonambiguous but were associated with two discourse entities (e.g., “the girl” with two girls introduced in the context, but one of which has died or left the scene), with referentially ambiguous and nonambiguous control words. Although temporally referentially ambiguous nouns elicited a frontal negative shift compared to control words, the “double bound” but referentially nonambiguous nouns did not. These results suggest that it is possible to selectively track referential ambiguity with ERPs at the level that is most relevant to discourse comprehension, the situation model.
  • Norris, D., McQueen, J. M., & Cutler, A. (1995). Competition and segmentation in spoken word recognition. Journal of Experimental Psychology: Learning, Memory, and Cognition, 21, 1209-1228.

    Abstract

    Spoken utterances contain few reliable cues to word boundaries, but listeners nonetheless experience little difficulty identifying words in continuous speech. The authors present data and simulations that suggest that this ability is best accounted for by a model of spoken-word recognition combining competition between alternative lexical candidates and sensitivity to prosodic structure. In a word-spotting experiment, stress pattern effects emerged most clearly when there were many competing lexical candidates for part of the input. Thus, competition between simultaneously active word candidates can modulate the size of prosodic effects, which suggests that spoken-word recognition must be sensitive both to prosodic structure and to the effects of competition. A version of the Shortlist model ( D. G. Norris, 1994b) incorporating the Metrical Segmentation Strategy ( A. Cutler & D. Norris, 1988) accurately simulates the results using a lexicon of more than 25,000 words.
  • 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.
  • Nüse, R. (2007). Der Gebrauch und die Bedeutungen von auf, an und unter. Zeitschrift für Germanistische Linguistik, 35, 27-51.

    Abstract

    Present approaches to the semantics of the German prepositions auf an and unter draw on two propositions: First, that spatial prepositions in general specify a region in the surrounding of the relatum object. Second, that in the case of auf an and unter, these regions are to be defined with concepts like the vertical and/or the topological surfa¬ce (the whole surrounding exterior of an object). The present paper argues that the first proposition is right and that the second is wrong. That is, while it is true that prepositions specify regions, the regions specified by auf, an and unter should rather be defined in terms of everyday concepts like SURFACE, SIDE and UNDERSIDE. This idea is suggested by the fact that auf an and unter refer to different regions in different kinds of relatum objects, and that these regions are the same as the regions called surfaces, sides and undersides. Furthermore, reading and usage preferences of auf an and unter can be explained by a corresponding salience of the surfaces, sides and undersides of the relatum objects in question. All in all, therefore, a close look at the use of auf an and unter with different classes of relatum objects reveals problems for a semantic approach that draws on concepts like the vertical, while it suggests mea¬nings of these prepositions that refer to the surface, side and underside of an object.
  • 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'Connor, L. (2007). 'Chop, shred, snap apart': Verbs of cutting and breaking in Lowland Chontal. Cognitive Linguistics, 18(2), 219-230. doi:10.1515/COG.2007.010.

    Abstract

    Typological descriptions of understudied languages reveal intriguing crosslinguistic variation in descriptions of events of object separation and destruction. In Lowland Chontal of Oaxaca, verbs of cutting and breaking lexicalize event perspectives that range from the common to the quite unusual, from the tearing of cloth to the snapping apart on the cross-grain of yarn. This paper describes the semantic and syntactic criteria that characterize three verb classes in this semantic domain, examines patterns of event construal, and takes a look at likely changes in these event descriptions from the perspective of endangered language recovery.
  • O'Connor, L. (2007). [Review of the book Pronouns by D.N.S. Bhat]. Journal of Pragmatics, 39(3), 612-616. doi:10.1016/j.pragma.2006.09.007.
  • Osterhout, L., & Hagoort, P. (1999). A superficial resemblance does not necessarily mean you are part of the family: Counterarguments to Coulson, King and Kutas (1998) in the P600/SPS-P300 debate. Language and Cognitive Processes, 14, 1-14. doi:10.1080/016909699386356.

    Abstract

    Two recent studies (Coulson et al., 1998;Osterhout et al., 1996)examined the
    relationship between the event-related brain potential (ERP) responses to linguistic syntactic anomalies (P600/SPS) and domain-general unexpected events (P300). Coulson et al. concluded that these responses are highly similar, whereas Osterhout et al. concluded that they are distinct. In this comment, we evaluate the relativemerits of these claims. We conclude that the available evidence indicates that the ERP response to syntactic anomalies is at least partially distinct from the ERP response to unexpected anomalies that do not involve a grammatical violation
  • Otake, T., & Cutler, A. (1999). Perception of suprasegmental structure in a nonnative dialect. Journal of Phonetics, 27, 229-253. doi:10.1006/jpho.1999.0095.

    Abstract

    Two experiments examined the processing of Tokyo Japanese pitchaccent distinctions by native speakers of Japanese from two accentlessvariety areas. In both experiments, listeners were presented with Tokyo Japanese speech materials used in an earlier study with Tokyo Japanese listeners, who clearly exploited the pitch-accent information in spokenword recognition. In the "rst experiment, listeners judged from which of two words, di!ering in accentual structure, isolated syllables had been extracted. Both new groups were, overall, as successful at this task as Tokyo Japanese speakers had been, but their response patterns differed from those of the Tokyo Japanese, for instance in that a bias towards H judgments in the Tokyo Japanese responses was weakened in the present groups' responses. In a second experiment, listeners heard word fragments and guessed what the words were; in this task, the speakers from accentless areas again performed significantly above chance, but their responses showed less sensitivity to the information in the input, and greater bias towards vocabulary distribution frequencies, than had been observed with the Tokyo Japanese listeners. The results suggest that experience with a local accentless dialect affects the processing of accent for word recognition in Tokyo Japanese, even for listeners with extensive exposure to Tokyo Japanese.
  • Otten, M., & Van Berkum, J. J. A. (2007). What makes a discourse constraining? Comparing the effects of discourse message and scenario fit on the discourse-dependent N400 effect. Brain Research, 1153, 166-177. doi:10.1016/j.brainres.2007.03.058.

    Abstract

    A discourse context provides a reader with a great deal of information that can provide constraints for further language processing, at several different levels. In this experiment we used event-related potentials (ERPs) to explore whether discourse-generated contextual constraints are based on the precise message of the discourse or, more `loosely', on the scenario suggested by one or more content words in the text. Participants read constraining stories whose precise message rendered a particular word highly predictable ("The manager thought that the board of directors should assemble to discuss the issue. He planned a...[meeting]") as well as non-constraining control stories that were only biasing in virtue of the scenario suggested by some of the words ("The manager thought that the board of directors need not assemble to discuss the issue. He planned a..."). Coherent words that were inconsistent with the message-level expectation raised in a constraining discourse (e.g., "session" instead of "meeting") elicited a classic centroparietal N400 effect. However, when the same words were only inconsistent with the scenario loosely suggested by earlier words in the text, they elicited a different negativity around 400 ms, with a more anterior, left-lateralized maximum. The fact that the discourse-dependent N400 effect cannot be reduced to scenario-mediated priming reveals that it reflects the rapid use of precise message-level constraints in comprehension. At the same time, the left-lateralized negativity in non-constraining stories suggests that, at least in the absence of strong message-level constraints, scenario-mediated priming does also rapidly affect comprehension.
  • Otten, M., Nieuwland, M. S., & Van Berkum, J. J. A. (2007). Great expectations: Specific lexical anticipation influences the processing of spoken language. BMC Neuroscience, 8: 89. doi:10.1186/1471-2202-8-89.

    Abstract

    Background Recently several studies have shown that people use contextual information to make predictions about the rest of the sentence or story as the text unfolds. Using event related potentials (ERPs) we tested whether these on-line predictions are based on a message-based representation of the discourse or on simple automatic activation by individual words. Subjects heard short stories that were highly constraining for one specific noun, or stories that were not specifically predictive but contained the same prime words as the predictive stories. To test whether listeners make specific predictions critical nouns were preceded by an adjective that was inflected according to, or in contrast with, the gender of the expected noun. Results When the message of the preceding discourse was predictive, adjectives with an unexpected gender-inflection evoked a negative deflection over right-frontal electrodes between 300 and 600 ms. This effect was not present in the prime control context, indicating that the prediction mismatch does not hinge on word-based priming but is based on the actual message of the discourse. Conclusions When listening to a constraining discourse people rapidly make very specific predictions about the remainder of the story, as the story unfolds. These predictions are not simply based on word-based automatic activation, but take into account the actual message of the discourse.
  • Özdemir, R., Roelofs, A., & Levelt, W. J. M. (2007). Perceptual uniqueness point effects in monitoring internal speech. Cognition, 105(2), 457-465. doi:10.1016/j.cognition.2006.10.006.

    Abstract

    Disagreement exists about how speakers monitor their internal speech. Production-based accounts assume that self-monitoring mechanisms exist within the production system, whereas comprehension-based accounts assume that monitoring is achieved through the speech comprehension system. Comprehension-based accounts predict perception-specific effects, like the perceptual uniqueness-point effect, in the monitoring of internal speech. We ran an extensive experiment testing this prediction using internal phoneme monitoring and picture naming tasks. Our results show an effect of the perceptual uniqueness point of a word in internal phoneme monitoring in the absence of such an effect in picture naming. These results support comprehension-based accounts of the monitoring of internal speech.
  • Ozyurek, A., Willems, R. M., Kita, S., & Hagoort, P. (2007). On-line integration of semantic information from speech and gesture: Insights from event-related brain potentials. Journal of Cognitive Neuroscience, 19(4), 605-616. doi:10.1162/jocn.2007.19.4.605.

    Abstract

    During language comprehension, listeners use the global semantic representation from previous sentence or discourse context to immediately integrate the meaning of each upcoming word into the unfolding message-level representation. Here we investigate whether communicative gestures that often spontaneously co-occur with speech are processed in a similar fashion and integrated to previous sentence context in the same way as lexical meaning. Event-related potentials were measured while subjects listened to spoken sentences with a critical verb (e.g., knock), which was accompanied by an iconic co-speech gesture (i.e., KNOCK). Verbal and/or gestural semantic content matched or mismatched the content of the preceding part of the sentence. Despite the difference in the modality and in the specificity of meaning conveyed by spoken words and gestures, the latency, amplitude, and topographical distribution of both word and gesture mismatches are found to be similar, indicating that the brain integrates both types of information simultaneously. This provides evidence for the claim that neural processing in language comprehension involves the simultaneous incorporation of information coming from a broader domain of cognition than only verbal semantics. The neural evidence for similar integration of information from speech and gesture emphasizes the tight interconnection between speech and co-speech gestures.
  • 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., & Kelly, S. D. (2007). Gesture, language, and brain. Brain and Language, 101(3), 181-185. doi:10.1016/j.bandl.2007.03.006.
  • Pereiro Estevan, Y., Wan, V., & Scharenborg, O. (2007). Finding maximum margin segments in speech. Acoustics, Speech and Signal Processing, 2007. ICASSP 2007. IEEE International Conference, IV, 937-940. doi:10.1109/ICASSP.2007.367225.

    Abstract

    Maximum margin clustering (MMC) is a relatively new and promising kernel method. In this paper, we apply MMC to the task of unsupervised speech segmentation. We present three automatic speech segmentation methods based on MMC, which are tested on TIMIT and evaluated on the level of phoneme boundary detection. The results show that MMC is highly competitive with existing unsupervised methods for the automatic detection of phoneme boundaries. Furthermore, initial analyses show that MMC is a promising method for the automatic detection of sub-phonetic information in the speech signal.
  • Perniss, P. M. (2007). Achieving spatial coherence in German sign language narratives: The use of classifiers and perspective. Lingua, 117(7), 1315-1338. doi:10.1016/j.lingua.2005.06.013.

    Abstract

    Spatial coherence in discourse relies on the use of devices that provide information about where referents are and where events take place. In signed language, two primary devices for achieving and maintaining spatial coherence are the use of classifier forms and signing perspective. This paper gives a unified account of the relationship between perspective and classifiers, and divides the range of possible correspondences between these two devices into prototypical and non-prototypical alignments. An analysis of German Sign Language narratives of complex events investigates the role of different classifier-perspective constructions in encoding spatial information about location, orientation, action and motion, as well as size and shape of referents. In particular, I show how non-prototypical alignments, including simultaneity of perspectives, contribute to the maintenance of spatial coherence, and provide functional explanations in terms of efficiency and informativeness constraints on discourse.
  • Petersson, K. M., Elfgren, C., & Ingvar, M. (1999). Dynamic changes in the functional anatomy of the human brain during recall of abstract designs related to practice. Neuropsychologia, 37, 567-587.

    Abstract

    In the present PET study we explore some functional aspects of the interaction between attentional/control processes and learning/memory processes. The network of brain regions supporting recall of abstract designs were studied in a less practiced and in a well practiced state. The results indicate that automaticity, i.e., a decreased dependence on attentional and working memory resources, develops as a consequence of practice. This corresponds to the practice related decreases of activity in the prefrontal, anterior cingulate, and posterior parietal regions. In addition, the activity of the medial temporal regions decreased as a function of practice. This indicates an inverse relation between the strength of encoding and the activation of the MTL during retrieval. Furthermore, the pattern of practice related increases in the auditory, posterior insular-opercular extending into perisylvian supra marginal region, and the right mid occipito-temporal region, may reflect a lower degree of inhibitory attentional modulation of task irrelevant processing and more fully developed representations of the abstract designs, respectively. We also suggest that free recall is dependent on bilateral prefrontal processing, in particular non-automatic free recall. The present results cofirm previous functional neuroimaging studies of memory retrieval indicating that recall is subserved by a network of interacting brain regions. Furthermore, the results indicate that some components of the neural network subserving free recall may have a dynamic role and that there is a functional restructuring of the information processing networks during the learning process.
  • Petersson, K. M., Reis, A., Castro-Caldas, A., & Ingvar, M. (1999). Effective auditory-verbal encoding activates the left prefrontal and the medial temporal lobes: A generalization to illiterate subjects. NeuroImage, 10, 45-54. doi:10.1006/nimg.1999.0446.

    Abstract

    Recent event-related FMRI studies indicate that the prefrontal (PFC) and the medial temporal lobe (MTL) regions are more active during effective encoding than during ineffective encoding. The within-subject design and the use of well-educated young college students in these studies makes it important to replicate these results in other study populations. In this PET study, we used an auditory word-pair association cued-recall paradigm and investigated a group of healthy upper middle-aged/older illiterate women. We observed a positive correlation between cued-recall success and the regional cerebral blood flow of the left inferior PFC (BA 47) and the MTLs. Specifically, we used the cuedrecall success as a covariate in a general linear model and the results confirmed that the left inferior PFC and the MTLare more active during effective encoding than during ineffective encoding. These effects were observed during encoding of both semantically and phonologically related word pairs, indicating that these effects are robust in the studied population, that is, reproducible within group. These results generalize the results of Brewer et al. (1998, Science 281, 1185– 1187) and Wagner et al. (1998, Science 281, 1188–1191) to an upper middle aged/older illiterate population. In addition, the present study indicates that effective relational encoding correlates positively with the activity of the anterior medial temporal lobe regions.
  • Petersson, K. M., Silva, C., Castro-Caldas, A., Ingvar, M., & Reis, A. (2007). Literacy: A cultural influence on functional left-right differences in the inferior parietal cortex. European Journal of Neuroscience, 26(3), 791-799. doi:10.1111/j.1460-9568.2007.05701.x.

    Abstract

    The current understanding of hemispheric interaction is limited. Functional hemispheric specialization is likely to depend on both genetic and environmental factors. In the present study we investigated the importance of one factor, literacy, for the functional lateralization in the inferior parietal cortex in two independent samples of literate and illiterate subjects. The results show that the illiterate group are consistently more right-lateralized than their literate controls. In contrast, the two groups showed a similar degree of left-right differences in early speech-related regions of the superior temporal cortex. These results provide evidence suggesting that a cultural factor, literacy, influences the functional hemispheric balance in reading and verbal working memory-related regions. In a third sample, we investigated grey and white matter with voxel-based morphometry. The results showed differences between literacy groups in white matter intensities related to the mid-body region of the corpus callosum and the inferior parietal and parietotemporal regions (literate > illiterate). There were no corresponding differences in the grey matter. This suggests that the influence of literacy on brain structure related to reading and verbal working memory is affecting large-scale brain connectivity more than grey matter per se.
  • Petersson, K. M., Elfgren, C., & Ingvar, M. (1999). Learning-related effects and functional neuroimaging. Human Brain Mapping, 7, 234-243. doi:10.1002/(SICI)1097-0193(1999)7:4<234:AID-HBM2>3.0.CO;2-O.

    Abstract

    A fundamental problem in the study of learning is that learning-related changes may be confounded by nonspecific time effects. There are several strategies for handling this problem. This problem may be of greater significance in functional magnetic resonance imaging (fMRI) compared to positron emission tomography (PET). Using the general linear model, we describe, compare, and discuss two approaches for separating learning-related from nonspecific time effects. The first approach makes assumptions on the general behavior of nonspecific effects and explicitly models these effects, i.e., nonspecific time effects are incorporated as a linear or nonlinear confounding covariate in the statistical model. The second strategy makes no a priori assumption concerning the form of nonspecific time effects, but implicitly controls for nonspecific effects using an interaction approach, i.e., learning effects are assessed with an interaction contrast. The two approaches depend on specific assumptions and have specific limitations. With certain experimental designs, both approaches may be used and the results compared, lending particular support to effects that are independent of the method used. A third and perhaps better approach that sometimes may be practically unfeasible is to use a completely temporally balanced experimental design. The choice of approach may be of particular importance when learning related effects are studied with fMRI.
  • Petersson, K. M., Nichols, T. E., Poline, J.-B., & Holmes, A. P. (1999). Statistical limitations in functional neuroimaging I: Non-inferential methods and statistical models. Philosofical Transactions of the Royal Soeciety B, 354, 1239-1260.
  • Petersson, K. M., Nichols, T. E., Poline, J.-B., & Holmes, A. P. (1999). Statistical limitations in functional neuroimaging II: Signal detection and statistical inference. Philosophical Transactions of the Royal Society of London. Series B, Biological Sciences, 354, 1261-1282.
  • 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., Ingvar, M., Stone-Elander, S., Petersson, K. M., & Hansson, P. (1999). A PET activation study of dynamic mechanical allodynia in patients with mononeuropathy. Pain, 83, 459-470.

    Abstract

    The objective of this study was to investigate the central processing of dynamic mechanical allodynia in patients with mononeuropathy. Regional cerebral bloodflow, as an indicator of neuronal activity, was measured with positron emission tomography. Paired comparisons were made between three different states; rest, allodynia during brushing the painful skin area, and brushing of the homologous contralateral area. Bilateral activations were observed in the primary somatosensory cortex (S1) and the secondary somatosensory cortex (S2) during allodynia compared to rest. The S1 activation contralateral to the site of the stimulus was more expressed during allodynia than during innocuous touch. Significant activations of the contralateral posterior parietal cortex, the periaqueductal gray (PAG), the thalamus bilaterally and motor areas were also observed in the allodynic state compared to both non-allodynic states. In the anterior cingulate cortex (ACC) there was only a suggested activation when the allodynic state was compared with the non-allodynic states. In order to account for the individual variability in the intensity of allodynia and ongoing spontaneous pain, rCBF was regressed on the individually reported pain intensity, and significant covariations were observed in the ACC and the right anterior insula. Significantly decreased regional blood flow was observed bilaterally in the medial and lateral temporal lobe as well as in the occipital and posterior cingulate cortices when the allodynic state was compared to the non-painful conditions. This finding is consistent with previous studies suggesting attentional modulation and a central coping strategy for known and expected painful stimuli. Involvement of the medial pain system has previously been reported in patients with mononeuropathy during ongoing spontaneous pain. This study reveals a bilateral activation of the lateral pain system as well as involvement of the medial pain system during dynamic mechanical allodynia in patients with mononeuropathy.
  • 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.
  • Pickering, M. J., & Majid, A. (2007). What are implicit causality and consequentiality? Language and Cognitive Processes, 22(5), 780-788. doi:10.1080/01690960601119876.

    Abstract

    Much work in psycholinguistics and social psychology has investigated the notion of implicit causality associated with verbs. Crinean and Garnham (2006) relate implicit causality to another phenomenon, implicit consequentiality. We argue that they and other researchers have confused the meanings of events and the reasons for those events, so that particular thematic roles (e.g., Agent, Patient) are taken to be causes or consequences of those events by definition. In accord with Garvey and Caramazza (1974), we propose that implicit causality and consequentiality are probabilistic notions that are straightforwardly related to the explicit causes and consequences of events and are analogous to other biases investigated in psycholinguistics.
  • Pijls, F., & Kempen, G. (1986). Een psycholinguïstisch model voor grammatische samentrekking. De Nieuwe Taalgids, 79, 217-234.
  • 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.
  • Praamstra, P., Plat, E. M., Meyer, A. S., & Horstink, M. W. I. M. (1999). Motor cortex activation in Parkinson's disease: Dissociation of electrocortical and peripheral measures of response generation. Movement Disorders, 14, 790-799. doi:10.1002/1531-8257(199909)14:5<790:AID-MDS1011>3.0.CO;2-A.

    Abstract

    This study investigated characteristics of motor cortex activation and response generation in Parkinson's disease with measures of electrocortical activity (lateralized readiness potential [LRP]), electromyographic activity (EMG), and isometric force in a noise-compatibility task. When presented with stimuli consisting of incompatible target and distracter elements asking for responses of opposite hands, patients were less able than control subjects to suppress activation of the motor cortex controlling the wrong response hand. This was manifested in the pattern of reaction times and in an incorrect lateralization of the LRP. Onset latency and rise time of the LRP did not differ between patients and control subjects, but EMG and response force developed more slowly in patients. Moreover, in patients but not in control subjects, the rate of development of EMG and response force decreased as reaction time increased. We hypothesize that this dissociation between electrocortical activity and peripheral measures in Parkinson's disease is the result of changes in motor cortex function that alter the relation between signal-related and movement-related neural activity in the motor cortex. In the LRP, this altered balance may obscure an abnormal development of movement-related neural activity.
  • Prieto, P., & Torreira, F. (2007). The segmental anchoring hypothesis revisited: Syllable structure and speech rate effects on peak timing in Spanish. Journal of Phonetics, 35, 473-500. doi:10.1016/j.wocn.2007.01.001.

    Abstract

    This paper addresses the validity of the segmental anchoring hypothesis for tonal landmarks (henceforth, SAH) as described in recent work by (among others) Ladd, Faulkner, D., Faulkner, H., & Schepman [1999. Constant ‘segmental’ anchoring of f0 movements under changes in speech rate. Journal of the Acoustical Society of America, 106, 1543–1554], Ladd [2003. Phonological conditioning of f0 target alignment. In: M. J. Solé, D. Recasens, & J. Romero (Eds.), Proceedings of the XVth international congress of phonetic sciences, Vol. 1, (pp. 249–252). Barcelona: Causal Productions; in press. Segmental anchoring of pitch movements: Autosegmental association or gestural coordination? Italian Journal of Linguistics, 18 (1)]. The alignment of LH* prenuclear peaks with segmental landmarks in controlled speech materials in Peninsular Spanish is analyzed as a function of syllable structure type (open, closed) of the accented syllable, segmental composition, and speaking rate. Contrary to the predictions of the SAH, alignment was affected by syllable structure and speech rate in significant and consistent ways. In: CV syllables the peak was located around the end of the accented vowel, and in CVC syllables around the beginning-mid part of the sonorant coda, but still far from the syllable boundary. With respect to the effects of rate, peaks were located earlier in the syllable as speech rate decreased. The results suggest that the accent gestures under study are synchronized with the syllable unit. In general, the longer the syllable, the longer the rise time. Thus the fundamental idea of the anchoring hypothesis can be taken as still valid. On the other hand, the tonal alignment patterns reported here can be interpreted as the outcome of distinct modes of gestural coordination in syllable-initial vs. syllable-final position: gestures at syllable onsets appear to be more tightly coordinated than gestures at the end of syllables [Browman, C. P., & Goldstein, L.M. (1986). Towards an articulatory phonology. Phonology Yearbook, 3, 219–252; Browman, C. P., & Goldstein, L. (1988). Some notes on syllable structure in articulatory phonology. Phonetica, 45, 140–155; (1992). Articulatory Phonology: An overview. Phonetica, 49, 155–180; Krakow (1999). Physiological organization of syllables: A review. Journal of Phonetics, 27, 23–54; among others]. Intergestural timing can thus provide a unifying explanation for (1) the contrasting behavior between the precise synchronization of L valleys with the onset of the syllable and the more variable timing of the end of the f0 rise, and, more specifically, for (2) the right-hand tonal pressure effects and ‘undershoot’ patterns displayed by peaks at the ends of syllables and other prosodic domains.
  • Protopapas, A., Gerakaki, S., & Alexandri, S. (2007). Sources of information for stress assignment in reading Greek. Applied Psycholinguistics, 28(4), 695 -720. doi:10.1017/S0142716407070373.

    Abstract

    To assign lexical stress when reading, the Greek reader can potentially rely on lexical information (knowledge of the word), visual–orthographic information (processing of the written diacritic), or a default metrical strategy (penultimate stress pattern). Previous studies with secondary education children have shown strong lexical effects on stress assignment and have provided evidence for a default pattern. Here we report two experiments with adult readers, in which we disentangle and quantify the effects of these three potential sources using nonword materials. Stimuli either resembled or did not resemble real words, to manipulate availability of lexical information; and they were presented with or without a diacritic, in a word-congruent or word-incongruent position, to contrast the relative importance of the three sources. Dual-task conditions, in which cognitive load during nonword reading was increased with phonological retention carrying a metrical pattern different from the default, did not support the hypothesis that the default arises from cumulative lexical activation in working memory.
  • Qin, S., Piekema, C., Petersson, K. M., Han, B., Luo, J., & Fernández, G. (2007). Probing the transformation of discontinuous associations into episodic memory: An event-related fMRI study. NeuroImage, 38(1), 212-222. doi:10.1016/j.neuroimage.2007.07.020.

    Abstract

    Using event-related functional magnetic resonance imaging, we identified brain regions involved in storing associations of events discontinuous in time into long-term memory. Participants were scanned while memorizing item-triplets including simultaneous and discontinuous associations. Subsequent memory tests showed that participants remembered both types of associations equally well. First, by constructing the contrast between the subsequent memory effects for discontinuous associations and simultaneous associations, we identified the left posterior parahippocampal region, dorsolateral prefrontal cortex, the basal ganglia, posterior midline structures, and the middle temporal gyrus as being specifically involved in transforming discontinuous associations into episodic memory. Second, we replicated that the prefrontal cortex and the medial temporal lobe (MTL) especially the hippocampus are involved in associative memory formation in general. Our findings provide evidence for distinct neural operation(s) that supports the binding and storing discontinuous associations in memory. We suggest that top-down signals from the prefrontal cortex and MTL may trigger reactivation of internal representation in posterior midline structures of the first event, thus allowing it to be associated with the second event. The dorsolateral prefrontal cortex together with basal ganglia may support this encoding operation by executive and binding processes within working memory, and the posterior parahippocampal region may play a role in binding and memory formation.
  • 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.
  • Reis, A., Faísca, L., Mendonça, S., Ingvar, M., & Petersson, K. M. (2007). Semantic interference on a phonological task in illiterate subjects. Scandinavian Journal of Psychology, 48(1), 69-74. doi:10.1111/j.1467-9450.2006.00544.x.

    Abstract

    Previous research suggests that learning an alphabetic written language influences aspects of the auditory-verbal language system. In this study, we examined whether literacy influences the notion of words as phonological units independent of lexical semantics in literate and illiterate subjects. Subjects had to decide which item in a word- or pseudoword pair was phonologically longest. By manipulating the relationship between referent size and phonological length in three word conditions (congruent, neutral, and incongruent) we could examine to what extent subjects focused on form rather than meaning of the stimulus material. Moreover, the pseudoword condition allowed us to examine global phonological awareness independent of lexical semantics. The results showed that literate performed significantly better than illiterate subjects in the neutral and incongruent word conditions as well as in the pseudoword condition. The illiterate group performed least well in the incongruent condition and significantly better in the pseudoword condition compared to the neutral and incongruent word conditions and suggest that performance on phonological word length comparisons is dependent on literacy. In addition, the results show that the illiterate participants are able to perceive and process phonological length, albeit less well than the literate subjects, when no semantic interference is present. In conclusion, the present results confirm and extend the finding that illiterate subjects are biased towards semantic-conceptual-pragmatic types of cognitive processing.
  • Roberts, L., Marinis, T., Felser, C., & Clahsen, H. (2007). Antecedent priming at trace positions in children’s sentence processing. Journal of Psycholinguistic Research, 36(2), 175-188. doi: 10.1007/s10936-006-9038-3.

    Abstract

    The present study examines whether children reactivate a moved constituent at its gap position and how children’s more limited working memory span affects the way they process filler-gap dependencies. 46 5–7 year-old children and 54 adult controls participated in a cross-modal picture priming experiment and underwent a standardized working memory test. The results revealed a statistically significant interaction between the participants’ working memory span and antecedent reactivation: High-span children (n = 19) and high-span adults (n = 22) showed evidence of antecedent priming at the gap site, while for low-span children and adults, there was no such effect. The antecedent priming effect in the high-span participants indicates that in both children and adults, dislocated arguments access their antecedents at gap positions. The absence of an antecedent reactivation effect in the low-span participants could mean that these participants required more time to integrate the dislocated constituent and reactivated the filler later during the sentence.
  • Roberts, L. (2007). Investigating real-time sentence processing in the second language. Stem-, Spraak- en Taalpathologie, 15, 115-127.

    Abstract

    Second language (L2) acquisition researchers have always been concerned with what L2 learners know about the grammar of the target language but more recently there has been growing interest in how L2 learners put this knowledge to use in real-time sentence comprehension. In order to investigate real-time L2 sentence processing, the types of constructions studied and the methods used are often borrowed from the field of monolingual processing, but the overall issues are familiar from traditional L2 acquisition research. These cover questions relating to L2 learners’ native-likeness, whether or not L1 transfer is in evidence, and how individual differences such as proficiency and language experience might have an effect. The aim of this paper is to provide for those unfamiliar with the field, an overview of the findings of a selection of behavioral studies that have investigated such questions, and to offer a picture of how L2 learners and bilinguals may process sentences in real time.
  • 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. (2007). On the modelling of spoken word planning: Rejoinder to La Heij, Starreveld, and Kuipers (2007). Language and Cognitive Processes, 22(8), 1281-1286. doi:10.1080/01690960701462291.

    Abstract

    The author contests several claims of La Heij, Starreveld, and Kuipers (this issue) concerning the modelling of spoken word planning. The claims are about the relevance of error findings, the interaction between semantic and phonological factors, the explanation of word-word findings, the semantic relatedness paradox, and production rules.
  • 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.

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