Publications

Displaying 201 - 300 of 586
  • Huettig, F., Audring, J., & Jackendoff, R. (2022). A parallel architecture perspective on pre-activation and prediction in language processing. Cognition, 224: 105050. doi:10.1016/j.cognition.2022.105050.

    Abstract

    A recent trend in psycholinguistic research has been to posit prediction as an essential function of language processing. The present paper develops a linguistic perspective on viewing prediction in terms of pre-activation. We describe what predictions are and how they are produced. Our basic premises are that (a) no prediction can be made without knowledge to support it; and (b) it is therefore necessary to characterize the precise form of that knowledge, as revealed by a suitable theory of linguistic representations. We describe the Parallel Architecture (PA: Jackendoff, 2002; Jackendoff and Audring, 2020), which makes explicit our commitments about linguistic representations, and we develop an account of processing based on these representations. Crucial to our account is that what have been traditionally treated as derivational rules of grammar are formalized by the PA as lexical items, encoded in the same format as words. We then present a theory of prediction in these terms: linguistic input activates lexical items whose beginning (or incipit) corresponds to the input encountered so far; and prediction amounts to pre-activation of the as yet unheard parts of those lexical items (the remainder). Thus the generation of predictions is a natural byproduct of processing linguistic representations. We conclude that the PA perspective on pre-activation provides a plausible account of prediction in language processing that bridges linguistic and psycholinguistic theorizing.
  • Huettig, F., Quinlan, P. T., McDonald, S. A., & Altmann, G. T. M. (2006). Models of high-dimensional semantic space predict language-mediated eye movements in the visual world. Acta Psychologica, 121(1), 65-80. doi:10.1016/j.actpsy.2005.06.002.

    Abstract

    In the visual world paradigm, participants are more likely to fixate a visual referent that has some semantic relationship with a heard word, than they are to fixate an unrelated referent [Cooper, R. M. (1974). The control of eye fixation by the meaning of spoken language. A new methodology for the real-time investigation of speech perception, memory, and language processing. Cognitive Psychology, 6, 813–839]. Here, this method is used to examine the psychological validity of models of high-dimensional semantic space. The data strongly suggest that these corpus-based measures of word semantics predict fixation behavior in the visual world and provide further evidence that language-mediated eye movements to objects in the concurrent visual environment are driven by semantic similarity rather than all-or-none categorical knowledge. The data suggest that the visual world paradigm can, together with other methodologies, converge on the evidence that may help adjudicate between different theoretical accounts of the psychological semantics.
  • Huizeling, E., Arana, S., Hagoort, P., & Schoffelen, J.-M. (2022). Lexical frequency and sentence context influence the brain’s response to single words. Neurobiology of Language, 3(1), 149-179. doi:10.1162/nol_a_00054.

    Abstract

    Typical adults read remarkably quickly. Such fast reading is facilitated by brain processes that are sensitive to both word frequency and contextual constraints. It is debated as to whether these attributes have additive or interactive effects on language processing in the brain. We investigated this issue by analysing existing magnetoencephalography data from 99 participants reading intact and scrambled sentences. Using a cross-validated model comparison scheme, we found that lexical frequency predicted the word-by-word elicited MEG signal in a widespread cortical network, irrespective of sentential context. In contrast, index (ordinal word position) was more strongly encoded in sentence words, in left front-temporal areas. This confirms that frequency influences word processing independently of predictability, and that contextual constraints affect word-by-word brain responses. With a conservative multiple comparisons correction, only the interaction between lexical frequency and surprisal survived, in anterior temporal and frontal cortex, and not between lexical frequency and entropy, nor between lexical frequency and index. However, interestingly, the uncorrected index*frequency interaction revealed an effect in left frontal and temporal cortex that reversed in time and space for intact compared to scrambled sentences. Finally, we provide evidence to suggest that, in sentences, lexical frequency and predictability may independently influence early (<150ms) and late stages of word processing, but interact during later stages of word processing (>150-250ms), thus helping to converge previous contradictory eye-tracking and electrophysiological literature. Current neuro-cognitive models of reading would benefit from accounting for these differing effects of lexical frequency and predictability on different stages of word processing.
  • Huizeling, E., Peeters, D., & Hagoort, P. (2022). Prediction of upcoming speech under fluent and disfluent conditions: Eye tracking evidence from immersive virtual reality. Language, Cognition and Neuroscience, 37(4), 481-508. doi:10.1080/23273798.2021.1994621.

    Abstract

    Traditional experiments indicate that prediction is important for efficient speech processing. In three virtual reality visual world paradigm experiments, we tested whether such findings hold in naturalistic settings (Experiment 1) and provided novel insights into whether disfluencies in speech (repairs/hesitations) inform one’s predictions in rich environments (Experiments 2–3). Experiment 1 supports that listeners predict upcoming speech in naturalistic environments, with higher proportions of anticipatory target fixations in predictable compared to unpredictable trials. In Experiments 2–3, disfluencies reduced anticipatory fixations towards predicted referents, compared to conjunction (Experiment 2) and fluent (Experiment 3) sentences. Unexpectedly, Experiment 2 provided no evidence that participants made new predictions from a repaired verb. Experiment 3 provided novel findings that fixations towards the speaker increase upon hearing a hesitation, supporting current theories of how hesitations influence sentence processing. Together, these findings unpack listeners’ use of visual (objects/speaker) and auditory (speech/disfluencies) information when predicting upcoming words.
  • Huttar, G. L., Essegbey, J., & Ameka, F. K. (2007). Gbe and other West African sources of Suriname creole semantic structures: Implications for creole genesis. Journal of Pidgin and Creole Languages, 22(1), 57-72. doi:10.1075/jpcl.22.1.05hut.

    Abstract

    This paper reports on ongoing research on the role of various kinds of potential substrate languages in the development of the semantic structures of Ndyuka (Eastern Suriname Creole). A set of 100 senses of noun, verb, and other lexemes in Ndyuka were compared with senses of corresponding lexemes in three kinds of languages of the former Slave Coast and Gold Coast areas, and immediately adjoining hinterland: (a) Gbe languages; (b) other Kwa languages, specifically Akan and Ga; (c) non-Kwa Niger-Congo languages. The results of this process provide some evidence for the importance of the Gbe languages in the formation of the Suriname creoles, but also for the importance of other languages, and for the areal nature of some of the collocations studied, rendering specific identification of a single substrate source impossible and inappropriate. These results not only provide information about the role of Gbe and other languages in the formation of Ndyuka, but also give evidence for effects of substrate languages spoken by late arrivals some time after the "founders" of a given creole-speaking society. The conclusions are extrapolated beyond Suriname to creole genesis generally.
  • Indefrey, P. (2006). A meta-analysis of hemodynamic studies on first and second language processing: Which suggested differences can we trust and what do they mean? Language Learning, 56(suppl. 1), 279-304. doi:10.1111/j.1467-9922.2006.00365.x.

    Abstract

    This article presents the results of a meta-analysis of 30 hemodynamic experiments comparing first language (L1) and second language (L2) processing in a range of tasks. The results suggest that reliably stronger activation during L2 processing is found (a) only for task-specific subgroups of L2 speakers and (b) within some, but not all regions that are also typically activated in native language processing. A tentative interpretation based on the functional roles of frontal and temporal regions is suggested.
  • Indefrey, P., & Gullberg, M. (2006). Introduction. Language Learning, 56(suppl. 1), 1-8. doi:10.1111/j.1467-9922.2006.00352.x.

    Abstract

    This volume is a harvest of articles from the first conference in a series on the cognitive neuroscience of language. The first conference focused on the cognitive neuroscience of second language acquisition (henceforth SLA). It brought together experts from as diverse fields as second language acquisition, bilingualism, cognitive neuroscience, and neuroanatomy. The articles and discussion articles presented here illustrate state-of-the-art findings and represent a wide range of theoretical approaches to classic as well as newer SLA issues. The theoretical themes cover age effects in SLA related to the so-called Critical Period Hypothesis and issues of ultimate attainment and focus both on age effects pertaining to childhood and to aging. Other familiar SLA topics are the effects of proficiency and learning as well as issues concerning the difference between the end product and the process that yields that product, here discussed in terms of convergence and degeneracy. A topic more related to actual usage of a second language once acquired concerns how multilingual speakers control and regulate their two languages.
  • Indefrey, P. (2006). It is time to work toward explicit processing models for native and second language speakers. Journal of Applied Psycholinguistics, 27(1), 66-69. doi:10.1017/S0142716406060103.
  • Isbilen, E. S., Frost, R. L. A., Monaghan, P., & Christiansen, M. H. (2022). Statistically based chunking of nonadjacent dependencies. Journal of Experimental Psychology: General, 151(11), 2623-2640. doi:10.1037/xge0001207.

    Abstract

    How individuals learn complex regularities in the environment and generalize them to new instances is a key question in cognitive science. Although previous investigations have advocated the idea that learning and generalizing depend upon separate processes, the same basic learning mechanisms may account for both. In language learning experiments, these mechanisms have typically been studied in isolation of broader cognitive phenomena such as memory, perception, and attention. Here, we show how learning and generalization in language is embedded in these broader theories by testing learners on their ability to chunk nonadjacent dependencies—a key structure in language but a challenge to theories that posit learning through the memorization of structure. In two studies, adult participants were trained and tested on an artificial language containing nonadjacent syllable dependencies, using a novel chunking-based serial recall task involving verbal repetition of target sequences (formed from learned strings) and scrambled foils. Participants recalled significantly more syllables, bigrams, trigrams, and nonadjacent dependencies from sequences conforming to the language’s statistics (both learned and generalized sequences). They also encoded and generalized specific nonadjacent chunk information. These results suggest that participants chunk remote dependencies and rapidly generalize this information to novel structures. The results thus provide further support for learning-based approaches to language acquisition, and link statistical learning to broader cognitive mechanisms of memory.
  • Janse, E. (2006). Auditieve woordherkenning bij afasie: Waarneming van mismatch items. Afasiologie, 28(4), 64-67.
  • Janse, E., Nooteboom, S. G., & Quené, H. (2007). Coping with gradient forms of /t/-deletion and lexical ambiguity in spoken word recognition. Language and Cognitive Processes, 22(2), 161-200. doi:10.1080/01690960500371024.

    Abstract

    This study investigates how listeners cope with gradient forms of deletion of word-final /t/ when recognising words in a phonological context that makes /t/-deletion viable. A corpus study confirmed a high incidence of /t/-deletion in an /st#b/ context in Dutch. A discrimination study showed that differences between released /t/, unreleased /t/ and fully deleted /t/ in this specific /st#b/ context were salient. Two on-line experiments were carried out to investigate whether lexical activation might be affected by this form variation. Even though unreleased and released variants were processed equally fast by listeners, a detailed analysis of the unreleased condition provided evidence for gradient activation. Activating a target ending in /t/ is slowest for the most reduced variant because phonological context has to be taken into account. Importantly, activation for a target with /t/ in the absence of cues for /t/ is reduced if there is a surface-matching lexical competitor.
  • Janse, E. (2006). Lexical competition effects in aphasia: Deactivation of lexical candidates in spoken word processing. Brain and Language, 97, 1-11. doi:10.1016/j.bandl.2005.06.011.

    Abstract

    Research has shown that Broca’s and Wernicke’s aphasic patients show different impairments in auditory lexical processing. The results of an experiment with form-overlapping primes showed an inhibitory effect of form-overlap for control adults and a weak inhibition trend for Broca’s aphasic patients, but a facilitatory effect of form-overlap was found for Wernicke’s aphasic participants. This suggests that Wernicke’s aphasic patients are mainly impaired in suppression of once-activated word candidates and selection of one winning candidate, which may be related to their problems in auditory language comprehension.
  • Janssens, S. E. W., Sack, A. T., Ten Oever, S., & Graaf, T. A. (2022). Calibrating rhythmic stimulation parameters to individual electroencephalography markers: The consistency of individual alpha frequency in practical lab settings. European Journal of Neuroscience, 55(11/12), 3418-3437. doi:10.1111/ejn.15418.

    Abstract

    Rhythmic stimulation can be applied to modulate neuronal oscillations. Such ‘entrainment’ is optimized when stimulation frequency is individually calibrated based on magneto/encephalography markers. It remains unknown how consistent such individual markers are across days/sessions, within a session, or across cognitive states, hemispheres and estimation methods, especially in a realistic, practical, lab setting. We here estimated individual alpha frequency (IAF) repeatedly from short electroencephalography (EEG) measurements at rest or during an attention task (cognitive state), using single parieto-occipital electrodes in 24 participants on 4 days (between-sessions), with multiple measurements over an hour on 1 day (within-session). First, we introduce an algorithm to automatically reject power spectra without a sufficiently clear peak to ensure unbiased IAF estimations. Then we estimated IAF via the traditional ‘maximum’ method and a ‘Gaussian fit’ method. IAF was reliable within- and between-sessions for both cognitive states and hemispheres, though task-IAF estimates tended to be more variable. Overall, the ‘Gaussian fit’ method was more reliable than the ‘maximum’ method. Furthermore, we evaluated how far from an approximated ‘true’ task-related IAF the selected ‘stimulation frequency’ was, when calibrating this frequency based on a short rest-EEG, a short task-EEG, or simply selecting 10 Hz for all participants. For the ‘maximum’ method, rest-EEG calibration was best, followed by task-EEG, and then 10 Hz. For the ‘Gaussian fit’ method, rest-EEG and task-EEG-based calibration were similarly accurate, and better than 10 Hz. These results lead to concrete recommendations about valid, and automated, estimation of individual oscillation markers in experimental and clinical settings.
  • Janssens, S. E., Ten Oever, S., Sack, A. T., & de Graaf, T. A. (2022). “Broadband Alpha Transcranial Alternating Current Stimulation”: Exploring a new biologically calibrated brain stimulation protocol. NeuroImage, 253: 119109. doi:10.1016/j.neuroimage.2022.119109.

    Abstract

    Transcranial alternating current stimulation (tACS) can be used to study causal contributions of oscillatory brain mechanisms to cognition and behavior. For instance, individual alpha frequency (IAF) tACS was reported to enhance alpha power and impact visuospatial attention performance. Unfortunately, such results have been inconsistent and difficult to replicate. In tACS, stimulation generally involves one frequency, sometimes individually calibrated to a peak value observed in an M/EEG power spectrum. Yet, the ‘peak’ actually observed in such power spectra often contains a broader range of frequencies, raising the question whether a biologically calibrated tACS protocol containing this fuller range of alpha-band frequencies might be more effective. Here, we introduce ‘Broadband-alpha-tACS’, a complex individually calibrated electrical stimulation protocol. We band-pass filtered left posterior resting-state EEG data around the IAF (+/- 2 Hz), and converted that time series into an electrical waveform for tACS stimulation of that same left posterior parietal cortex location. In other words, we stimulated a brain region with a ‘replay’ of its own alpha-band frequency content, based on spontaneous activity. Within-subjects (N=24), we compared to a sham tACS session the effects of broadband-alpha tACS, power-matched spectral inverse (‘alpha-removed’) control tACS, and individual alpha frequency tACS, on EEG alpha power and performance in an endogenous attention task previously reported to be affected by alpha tACS. Broadband-alpha-tACS significantly modulated attention task performance (i.e., reduced the rightward visuospatial attention bias in trials without distractors, and reduced attention benefits). Alpha-removed tACS also reduced the rightward visuospatial attention bias. IAF-tACS did not significantly modulate attention task performance compared to sham tACS, but also did not statistically significantly differ from broadband-alpha-tACS. This new broadband-alpha tACS approach seems promising, but should be further explored and validated in future studies.

    Additional information

    supplementary materials
  • Janzen, G. (2006). Memory for object location and route direction in virtual large-scale space. Ouarterly Journal of Experimental Psychology, 59(3), 493-508. doi:10.1080/02724980443000746.

    Abstract

    In everyday life people have to deal with tasks such as finding a novel path to a certain goal location, finding one’s way back, finding a short cut, or making a detour. In all of these tasks people acquire route knowledge. For finding the same way back they have to remember locations of objects like buildings and additionally direction changes. In three experiments using recognition tasks as well as conscious and unconscious spatial priming paradigms memory processes underlying wayfinding behaviour were investigated. Participants learned a route through a virtual environment with objects either placed at intersections (i.e., decision points) where another route could be chosen or placed along the route (non-decision points). Analyses indicate first that objects placed at decision points are recognized faster than other objects. Second, they indicate that the direction in which a route is travelled is represented only at locations that are relevant for wayfinding (e.g., decision points). The results point out the efficient way in which memory for object location and memory for route direction interact.
  • Janzen, G., Wagensveld, B., & Van Turennout, M. (2007). Neural representation of navigational relevance is rapidly induced and long lasting. Cerebral Cortex, 17(4), 975-981. doi:10.1093/cercor/bhl008.

    Abstract

    Successful navigation is facilitated by the presence of landmarks. Previous functional magnetic resonance imaging (fMRI) evidence indicated that the human parahippocampal gyrus automatically distinguishes between landmarks placed at navigationally relevant (decision points) and irrelevant locations (nondecision points). This storage of navigational relevance can provide a neural mechanism underlying successful navigation. However, an efficient wayfinding mechanism requires that important spatial information is learned quickly and maintained over time. The present study investigates whether the representation of navigational relevance is modulated by time and practice. Participants learned 2 film sequences through virtual mazes containing objects at decision and at nondecision points. One maze was shown one time, and the other maze was shown 3 times. Twenty-four hours after study, event-related fMRI data were acquired during recognition of the objects. The results showed that activity in the parahippocampal gyrus was increased for objects previously placed at decision points as compared with objects placed at nondecision points. The decision point effect was not modulated by the number of exposures to the mazes and independent of explicit memory functions. These findings suggest a persistent representation of navigationally relevant information, which is stable after only one exposure to an environment. These rapidly induced and long-lasting changes in object representation provide a basis for successful wayfinding.
  • Janzen, G., & Weststeijn, C. G. (2007). Neural representation of object location and route direction: An event-related fMRI study. Brain Research, 1165, 116-125. doi:10.1016/j.brainres.2007.05.074.

    Abstract

    The human brain distinguishes between landmarks placed at navigationally relevant and irrelevant locations. However, to provide a successful wayfinding mechanism not only landmarks but also the routes between them need to be stored. We examined the neural representation of a memory for route direction and a memory for relevant landmarks. Healthy human adults viewed objects along a route through a virtual maze. Event-related functional magnetic resonance imaging (fMRI) data were acquired during a subsequent subliminal priming recognition task. Prime-objects either preceded or succeeded a target-object on a preciously learned route. Our results provide evidence that the parahippocampal gyri distinguish between relevant and irrelevant landmarks whereas the inferior parietal gyrus, the anterior cingulate gyrus as well as the right caudate nucleus are involved in the coding of route direction. These data show that separated memory systems store different spatial information. A memory for navigationally relevant object information and a memory for route direction exist.
  • Jara-Ettinger, J., & Rubio-Fernández, P. (2022). The social basis of referential communication: Speakers construct physical reference based on listeners’ expected visual search. Psychological Review, 129, 1394-1413. doi:10.1037/rev0000345.

    Abstract

    A foundational assumption of human communication is that speakers should say as much as necessary, but no more. Yet, people routinely produce redundant adjectives and their propensity to do so varies cross-linguistically. Here, we propose a computational theory, whereby speakers create referential expressions designed to facilitate listeners’ reference resolution, as they process words in real time. We present a computational model of our account, the Incremental Collaborative Efficiency (ICE) model, which generates referential expressions by considering listeners’ real-time incremental processing and reference identification. We apply the ICE framework to physical reference, showing that listeners construct expressions designed to minimize listeners’ expected visual search effort during online language processing. Our model captures a number of known effects in the literature, including cross-linguistic differences in speakers’ propensity to over-specify. Moreover, the ICE model predicts graded acceptability judgments with quantitative accuracy, systematically outperforming an alternative, brevity-based model. Our findings suggest that physical reference production is best understood as driven by a collaborative goal to help the listener identify the intended referent, rather than by an egocentric effort to minimize utterance length.
  • Jessop, A., & Chang, F. (2022). Thematic role tracking difficulties across multiple visual events influences role use in language production. Visual Cognition, 30(3), 151-173. doi:10.1080/13506285.2021.2013374.

    Abstract

    Language sometimes requires tracking the same participant in different thematic roles across multiple visual events (e.g., The girl that another girl pushed chased a third girl). To better understand how vision and language interact in role tracking, participants described videos of multiple randomly moving circles where two push events were presented. A circle might have the same role in both push events (e.g., agent) or different roles (e.g., agent of one push and patient of other push). The first three studies found higher production accuracy for the same role conditions compared to the different role conditions across different linguistic structure manipulations. The last three studies compared a featural account, where role information was associated with particular circles, or a relational account, where role information was encoded with particular push events. These studies found no interference between different roles, contrary to the predictions of the featural account. The foil was manipulated in these studies to increase the saliency of the second push and it was found that this changed the accuracy in describing the first push. The results suggest that language-related thematic role processing uses a relational representation that can encode multiple events.

    Additional information

    https://doi.org/10.17605/OSF.IO/PKXZH
  • Joergens, S., Kleiser, R., & Indefrey, P. (2007). Handedness and fMRI-activation patterns in sentence processing. NeuroReport, 18(13), 1339-1343.

    Abstract

    We investigate differences of cerebral activation in 12 right-handed and left-handed participants, respectively, using a sentence-processing task. Functional MRI shows activation of left-frontal and inferior-parietal speech areas (BA 44, BA9, BA 40) in both groups, but a stronger bilateral activation in left-handers. Direct group comparison reveals a stronger activation in right-frontal cortex (BA 47, BA 6) and left cerebellum in left-handers. Laterality indices for the inferior-frontal cortex are less asymmetric in left-handers and are not related to the degree of handedness. Thus, our results show that sentence-processing induced enhanced activation involving a bilateral network in left-handed participants.
  • Johns, T. G., Perera, R. M., Vernes, S. C., Vitali, A. A., Cao, D. X., Cavenee, W. K., Scott, A. M., & Furnari, F. B. (2007). The efficacy of epidermal growth factor receptor-specific antibodies against glioma xenografts is influenced by receptor levels, activation status, and heterodimerization. Clinical Cancer Research, 13, 1911-1925. doi:10.1158/1078-0432.CCR-06-1453.

    Abstract

    Purpose: Factors affecting the efficacy of therapeutic monoclonal antibodies (mAb) directed to the epidermal growth factor receptor (EGFR) remain relatively unknown, especially in glioma. Experimental Design: We examined the efficacy of two EGFR-specific mAbs (mAbs 806 and 528) against U87MG-derived glioma xenografts expressing EGFR variants. Using this approach allowed us to change the form of the EGFR while keeping the genetic background constant. These variants included the de2-7 EGFR (or EGFRvIII), a constitutively active mutation of the EGFR expressed in glioma. Results: The efficacy of the mAbs correlated with EGFR number; however, the most important factor was receptor activation. Whereas U87MG xenografts expressing the de2-7 EGFR responded to therapy, those exhibiting a dead kinase de2-7 EGFR were refractory. A modified de2-7 EGFR that was kinase active but autophosphorylation deficient also responded, suggesting that these mAbs function in de2-7 EGFR–expressing xenografts by blocking transphosphorylation. Because de2-7 EGFR–expressing U87MG xenografts coexpress the wild-type EGFR, efficacy of the mAbs was also tested against NR6 xenografts that expressed the de2-7 EGFR in isolation. Whereas mAb 806 displayed antitumor activity against NR6 xenografts, mAb 528 therapy was ineffective, suggesting that mAb 528 mediates its antitumor activity by disrupting interactions between the de2-7 and wild-type EGFR. Finally, genetic disruption of Src in U87MG xenografts expressing the de2-7 EGFR dramatically enhanced mAb 806 efficacy. Conclusions: The effective use of EGFR-specific antibodies in glioma will depend on identifying tumors with activated EGFR. The combination of EGFR and Src inhibitors may be an effective strategy for the treatment of glioma.
  • Jones, S., Nyberg, L., Sandblom, J., Stigsdotter Neely, A., Ingvar, M., Petersson, K. M., & Bäckman, L. (2006). Cognitive and neural plasticity in aging: General and task-specific limitations. Neuroscience and Biobehavioral Reviews, 30(6), 864-871. doi:10.1016/j.neubiorev.2006.06.012.

    Abstract

    There is evidence for cognitive as well as neural plasticity across the adult life span, although aging is associated with certain constraints on plasticity. In the current paper, we argue that the age-related reduction in cognitive plasticity may be due to (a) deficits in general processing resources, and (b) failure to engage in task-relevant cognitive operations. Memory-training research suggests that age-related processing deficits (e.g., executive functions, speed) hinder older adults from utilizing mnemonic techniques as efficiently as the young, and that this age difference is reflected by diminished frontal activity during mnemonic use. Additional constraints on memory plasticity in old age are related to difficulties that are specific to the task, such as creating visual images, as well as in binding together the information to be remembered. These deficiencies are paralleled by reduced activity in occipito-parietal and medial–temporal regions, respectively. Future attempts to optimize intervention-related gains in old age should consider targeting both general processing and task-specific origins of age-associated reductions in cognitive plasticity.
  • Jordan, F. (2007). Engaging in chit-chat (and all that). [Review of the book Why we talk: The evolutionary origins of language by Jean-Louis Dessalles]. Journal of Evolutionary Psychology, 5(1-4), 241-244. doi:10.1556/JEP.2007.1014.
  • Karadöller, D. Z., Sumer, B., Ünal, E., & Özyürek, A. (2022). Sign advantage: Both children and adults’ spatial expressions in sign are more informative than those in speech and gestures combined. Journal of Child Language. Advance online publication. doi:10.1017/S0305000922000642.

    Abstract

    Expressing Left-Right relations is challenging for speaking-children. Yet, this challenge was absent for signing-children, possibly due to iconicity in the visual-spatial modality of expression. We investigate whether there is also a modality advantage when speaking-children’s co-speech gestures are considered. Eight-year-old child and adult hearing monolingual Turkish speakers and deaf signers of Turkish-Sign-Language described pictures of objects in various spatial relations. Descriptions were coded for informativeness in speech, sign, and speech-gesture combinations for encoding Left-Right relations. The use of co-speech gestures increased the informativeness of speakers’ spatial expressions compared to speech-only. This pattern was more prominent for children than adults. However, signing-adults and children were more informative than child and adult speakers even when co-speech gestures were considered. Thus, both speaking- and signing-children benefit from iconic expressions in visual modality. Finally, in each modality, children were less informative than adults, pointing to the challenge of this spatial domain in development.
  • Karaminis, T., Hintz, F., & Scharenborg, O. (2022). The presence of background noise extends the competitor space in native and non-native spoken-word recognition: Insights from computational modeling. Cognitive Science, 46(2): e13110. doi:10.1111/cogs.13110.

    Abstract

    Oral communication often takes place in noisy environments, which challenge spoken-word recognition. Previous research has suggested that the presence of background noise extends the number of candidate words competing with the target word for recognition and that this extension affects the time course and accuracy of spoken-word recognition. In this study, we further investigated the temporal dynamics of competition processes in the presence of background noise, and how these vary in listeners with different language proficiency (i.e., native and non-native) using computational modeling. We developed ListenIN (Listen-In-Noise), a neural-network model based on an autoencoder architecture, which learns to map phonological forms onto meanings in two languages and simulates native and non-native spoken-word comprehension. Simulation A established that ListenIN captures the effects of noise on accuracy rates and the number of unique misperception errors of native and non-native listeners in an offline spoken-word identification task (Scharenborg et al., 2018). Simulation B showed that ListenIN captures the effects of noise in online task settings and accounts for looking preferences of native (Hintz & Scharenborg, 2016) and non-native (new data collected for this study) listeners in a visual-world paradigm. We also examined the model’s activation states during online spoken-word recognition. These analyses demonstrated that the presence of background noise increases the number of competitor words which are engaged in phonological competition and that this happens in similar ways intra- and interlinguistically and in native and non-native listening. Taken together, our results support accounts positing a ‘many-additional-competitors scenario’ for the effects of noise on spoken-word recognition.
  • Karsan, Ç., Özdemir, R. S., Bulut, T., & Hanoğlu, L. (2022). The effects of single-session cathodal and bihemispheric tDCS on fluency in stuttering. Journal of Neurolinguistics, 63(101064): 101064. doi:10.1016/j.jneuroling.2022.101064.

    Abstract

    Developmental stuttering is a fluency disorder that adversely affect many aspects of a person's life. Recent transcranial direct current stimulation (tDCS) studies have shown promise to improve fluency in people who stutter. To date, bihemispheric tDCS has not been investigated in this population. In the present study, we aimed to investigate the effects of single-session bihemispheric and unihemispheric cathodal tDCS on fluency in adults who stutter. We predicted that bihemispheric tDCS with anodal stimulation to the left IFG and cathodal stimulation to the right IFG would improve fluency better than the sham and cathodal tDCS to the right IFG. Seventeen adults who stutter completed this single-blind, crossover, sham-controlled tDCS experiment. All participants received 20 min of tDCS alongside metronome-timed speech during intervention sessions. Three tDCS interventions were administered: bihemispheric tDCS with anodal stimulation to the left IFG and cathodal stimulation to the right IFG, unihemispheric tDCS with cathodal stimulation to the right IFG, and sham stimulation. Speech fluency during reading and conversation was assessed before, immediately after, and one week after each intervention session. There was no significant fluency improvement in conversation for any tDCS interventions. Reading fluency improved following both bihemispheric and cathodal tDCS interventions. tDCS montages were not significantly different in their effects on fluency.

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  • Kartushina, N., Mani, N., Aktan-Erciyes, A., Alaslani, K., Aldrich, N. J., Almohammadi, A., Alroqi, H., Anderson, L. M., Andonova, E., Aussems, S., Babineau, M., Barokova, M., Bergmann, C., Cashon, C., Custode, S., De Carvalho, A., Dimitrova, N., Dynak, A., Farah, R., Fennell, C. and 32 moreKartushina, N., Mani, N., Aktan-Erciyes, A., Alaslani, K., Aldrich, N. J., Almohammadi, A., Alroqi, H., Anderson, L. M., Andonova, E., Aussems, S., Babineau, M., Barokova, M., Bergmann, C., Cashon, C., Custode, S., De Carvalho, A., Dimitrova, N., Dynak, A., Farah, R., Fennell, C., Fiévet, A.-C., Frank, M. C., Gavrilova, M., Gendler-Shalev, H., Gibson, S. P., Golway, K., Gonzalez-Gomez, N., Haman, E., Hannon, E., Havron, N., Hay, J., Hendriks, C., Horowitz-Kraus, T., Kalashnikova, M., Kanero, J., Keller, C., Krajewski, G., Laing, C., Lundwall, R. A., Łuniewska, M., Mieszkowska, K., Munoz, L., Nave, K., Olesen, N., Perry, L., Rowland, C. F., Santos Oliveira, D., Shinskey, J., Veraksa, A., Vincent, K., Zivan, M., & Mayor, J. (2022). COVID-19 first lockdown as a window into language acquisition: Associations between caregiver-child activities and vocabulary gains. Language Development Research, 2, 1-36. doi:10.34842/abym-xv34.

    Abstract

    The COVID-19 pandemic, and the resulting closure of daycare centers worldwide, led to unprecedented changes in children’s learning environments. This period of increased time at home with caregivers, with limited access to external sources (e.g., daycares) provides a unique opportunity to examine the associations between the caregiver-child activities and children’s language development. The vocabularies of 1742 children aged8-36 months across 13 countries and 12 languages were evaluated at the beginning and end of the first lockdown period in their respective countries(from March to September 2020). Children who had less passive screen exposure and whose caregivers read more to them showed larger gains in vocabulary development during lockdown, after controlling for SES and other caregiver-child activities. Children also gained more words than expected (based on normative data) during lockdown; either caregivers were more aware of their child’s development or vocabulary development benefited from intense caregiver-child interaction during lockdown.
  • Kemmerer, S. K., Sack, A. T., de Graaf, T. A., Ten Oever, S., De Weerd, P., & Schuhmann, T. (2022). Frequency-specific transcranial neuromodulation of alpha power alters visuospatial attention performance. Brain Research, 1782: 147834. doi:10.1016/j.brainres.2022.147834.

    Abstract

    Transcranial alternating current stimulation (tACS) at 10 Hz has been shown to modulate spatial attention. However, the frequency-specificity and the oscillatory changes underlying this tACS effect are still largely unclear. Here, we applied high-definition tACS at individual alpha frequency (IAF), two control frequencies (IAF+/-2Hz) and sham to the left posterior parietal cortex and measured its effects on visuospatial attention performance and offline alpha power (using electroencephalography, EEG). We revealed a behavioural and electrophysiological stimulation effect relative to sham for IAF but not control frequency stimulation conditions: there was a leftward lateralization of alpha power for IAF tACS, which differed from sham for the first out of three minutes following tACS. At a high value of this EEG effect (moderation effect), we observed a leftward attention bias relative to sham. This effect was task-specific, i.e., it could be found in an endogenous attention but not in a detection task. Only in the IAF tACS condition, we also found a correlation between the magnitude of the alpha lateralization and the attentional bias effect. Our results support a functional role of alpha oscillations in visuospatial attention and the potential of tACS to modulate it. The frequency-specificity of the effects suggests that an individualization of the stimulation frequency is necessary in heterogeneous target groups with a large variation in IAF.

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  • Kemmerer, S. K., De Graaf, T. A., Ten Oever, S., Erkens, M., De Weerd, P., & Sack, A. T. (2022). Parietal but not temporoparietal alpha-tACS modulates endogenous visuospatial attention. Cortex, 154, 149-166. doi:10.1016/j.cortex.2022.01.021.

    Abstract

    Visuospatial attention can either be voluntarily directed (endogenous/top-down attention) or automatically triggered (exogenous/bottom-up attention). Recent research showed that dorsal parietal transcranial alternating current stimulation (tACS) at alpha frequency modulates the spatial attentional bias in an endogenous but not in an exogenous visuospatial attention task. Yet, the reason for this task-specificity remains unexplored. Here, we tested whether this dissociation relates to the proposed differential role of the dorsal attention network (DAN) and ventral attention network (VAN) in endogenous and exogenous attention processes respectively. To that aim, we targeted the left and right dorsal parietal node of the DAN, as well as the left and right ventral temporoparietal node of the VAN using tACS at the individual alpha frequency. Every participant completed all four stimulation conditions and a sham condition in five separate sessions. During tACS, we assessed the behavioral visuospatial attention bias via an endogenous and exogenous visuospatial attention task. Additionally, we measured offline alpha power immediately before and after tACS using electroencephalography (EEG). The behavioral data revealed an effect of tACS on the endogenous but not exogenous attention bias, with a greater leftward bias during (sham-corrected) left than right hemispheric stimulation. In line with our hypothesis, this effect was brain area-specific, i.e., present for dorsal parietal but not ventral temporoparietal tACS. However, contrary to our expectations, there was no effect of ventral temporoparietal tACS on the exogenous visuospatial attention bias. Hence, no double dissociation between the two targeted attention networks. There was no effect of either tACS condition on offline alpha power. Our behavioral data reveal that dorsal parietal but not ventral temporoparietal alpha oscillations steer endogenous visuospatial attention. This brain-area specific tACS effect matches the previously proposed dissociation between the DAN and VAN and, by showing that the spatial attention bias effect does not generalize to any lateral posterior tACS montage, renders lateral cutaneous and retinal effects for the spatial attention bias in the dorsal parietal condition unlikely. Yet the absence of tACS effects on the exogenous attention task suggests that ventral temporoparietal alpha oscillations are not functionally relevant for exogenous visuospatial attention. We discuss the potential implications of this finding in the context of an emerging theory on the role of the ventral temporoparietal node.

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  • Kempen, G., & Kolk, H. (1986). Het voortbrengen van normale en agrammatische taal. Van Horen Zeggen, 27(2), 36-40.
  • Kempen, G. (1976). Syntactic constructions as retrieval plans. British Journal of Psychology, 67(2), 149-160. doi:10.1111/j.2044-8295.1976.tb01505.x.

    Abstract

    Four probe latency experiments show that the ‘constituent boundary effect’ (transitions between constituents are more difficult than within constituents) is a retrieval and not a storage phenomenon. The experimental logic used is called paraphrastic reproduction: after verbatim memorization of some sentences, subjects were instructed to reproduce them both in their original wording and in the form of sentences that, whilst preserving the original meaning, embodied different syntactic constructions. Syntactic constructions are defined as pairs which consist of a pattern of conceptual information and a syntactic scheme, i.e. a sequence of syntactic word categories and function words. For example, the sequence noun + finite intransitive main verb (‘John runs’) expresses a conceptual actor-action relationship. It is proposed that for each overlearned and simple syntactic construction there exists a retrieval plan which does the following. It searches through the long-term memory information that has been designated as the conceptual content of the utterance(s) to be produced, looking for a token of its conceptual pattern. The retrieved information is then cast into the format of its syntactic scheme. The organization of such plans is held responsible for the constituent boundary effect.
  • Kempen, G. (1986). RIKS: Kennistechnologisch centrum voor bedrijfsleven en wetenschap. Informatie, 28, 122-125.
  • Kennaway, J., Glauert, J., & Zwitserlood, I. (2007). Providing Signed Content on the Internet by Synthesized Animation. ACM Transactions on Computer-Human Interaction (TOCHI), 14(3), 15. doi:10.1145/1279700.1279705.

    Abstract

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

    Abstract

    Speech is structured into parts by syntactic and prosodic breaks. In locally syntactic ambiguous sentences, the detection of a syntactic break necessarily follows detection of a corresponding prosodic break, making an investigation of the immediate interplay of syntactic and prosodic information impossible when studying sentences in isolation. This problem can be solved, however, by embedding sentences in a discourse context that induces the expectation of either the presence or the absence of a syntactic break right at a prosodic break. Event-related potentials (ERPs) were compared to acoustically identical sentences in these different contexts. We found in two experiments that the closure positive shift, an ERP component known to be elicited by prosodic breaks, was reduced in size when a prosodic break was aligned with a syntactic break. These results establish that the brain matches prosodic information against syntactic information immediately.
  • Kidd, E., & Garcia, R. (2022). How diverse is child language acquisition research? First Language, 42(6), 703-735. doi:10.1177/01427237211066405.

    Abstract

    A comprehensive theory of child language acquisition requires an evidential base that is representative of the typological diversity present in the world’s 7000 or so languages. However, languages are dying at an alarming rate, and the next 50 years represents the last chance we have to document acquisition in many of them. Here, we take stock of the last 45 years of research published in the four main child language acquisition journals: Journal of Child Language, First Language, Language Acquisition and Language Learning and Development. We coded each article for several variables, including (1) participant group (mono vs multilingual), (2) language(s), (3) topic(s) and (4) country of author affiliation, from each journal’s inception until the end of 2020. We found that we have at least one article published on around 103 languages, representing approximately 1.5% of the world’s languages. The distribution of articles was highly skewed towards English and other well-studied Indo-European languages, with the majority of non-Indo-European languages having just one paper. A majority of the papers focused on studies of monolingual children, although papers did not always explicitly report participant group status. The distribution of topics across language categories was more even. The number of articles published on non-Indo-European languages from countries outside of North America and Europe is increasing; however, this increase is driven by research conducted in relatively wealthy countries. Overall, the vast majority of the research was produced in the Global North. We conclude that, despite a proud history of crosslinguistic research, the goals of the discipline need to be recalibrated before we can lay claim to truly a representative account of child language acquisition.

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  • Kidd, E., & Garcia, R. (2022). Where to from here? Increasing language coverage while building a more diverse discipline. First Language, 42(6), 837-851. doi:10.1177/01427237221121190.

    Abstract

    Our original target article highlighted some significant shortcomings in the current state of child language research: a large skew in our evidential base towards English and a handful of other Indo-European languages that partly has its origins in a lack of researcher diversity. In this article, we respond to the 21 commentaries on our original article. The commentaries highlighted both the importance of attention to typological features of languages and the environments and contexts in which languages are acquired, with many commentators providing concrete suggestions on how we address the data skew. In this response, we synthesise the main themes of the commentaries and make suggestions for how the field can move towards both improving data coverage and opening up to traditionally under-represented researchers.

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  • Kidd, E. (2006). [Review of the book Syntactic carpentry: An emergentist approach to syntax by William O'Grady]. Journal of Child Language, 33(4), 905-910. doi:10.1017/S030500090622782X.
  • Kidd, E., & Bavin, E. L. (2007). Lexical and referential influences on on-line spoken language comprehension: A comparison of adults and primary-school-age children. First Language, 27(1), 29-52. doi:10.1177/0142723707067437.

    Abstract

    This paper reports on two studies investigating children's and adults' processing of sentences containing ambiguity of prepositional phrase (PP) attachment. Study 1 used corpus data to investigate whether cues argued to be used by adults to resolve PP-attachment ambiguities are available in child-directed speech. Study 2 was an on-line reaction time study investigating the role of lexical and referential biases in syntactic ambiguity resolution by children and adults. Forty children (mean age 8;4) and 37 adults listened to V-NP-PP sentences containing temporary ambiguity of PP-attachment. The sentences were manipulated for (i) verb semantics, (ii) the definiteness of the object NP, and (iii) PP-attachment site. The children and adults did not differ qualitatively from each other in their resolution of the ambiguity. A verb semantics by attachment interaction suggested that different attachment analyses were pursued depending on the semantics of the verb. There was no influence of the definiteness of the object NP in either children's or adults' parsing preferences. The findings from the on-line task matched up well with the corpus data, thus identifying a role for the input in the development of parsing strategies.
  • Kidd, E., Lieven, E., & Tomasello, M. (2006). Examining the role of lexical frequency in children's acquisition of sentential complements. Cognitive Development, 21(2), 93-107. doi:10.1016/j.cogdev.2006.01.006.

    Abstract

    We present empirical data showing that the relative frequency with which a verb normally appears in a syntactic construction predicts young children's ability to remember and repeat sentences instantiating that construction. Children aged 2;10–5;8 years were asked to repeat grammatical and ungrammatical sentential complement sentences (e.g., ‘I think + S’). The sentences contained complement-taking verbs (CTVs) used with differing frequencies in children's natural speech. All children repeated sentences containing high frequency CTVs (e.g., think) more accurately than those containing low frequency CTVs (e.g., hear), and made more sophisticated corrections to ungrammatical sentences containing high frequency CTVs. The data suggest that, like adults, children are sensitive to lexico-constructional collocations. The implications for language acquisition are discussed.
  • Kidd, E., Brandt, S., Lieven, E., & Tomasello, M. (2007). Object relatives made easy: A cross-linguistic comparison of the constraints influencing young children's processing of relative clauses. Language and Cognitive Processes, 22(6), 860-897. doi:10.1080/01690960601155284.

    Abstract

    We present the results from four studies, two corpora and two experimental, which suggest that English- and German-speaking children (3;1–4;9 years) use multiple constraints to process and produce object relative clauses. Our two corpora studies show that children produce object relatives that reflect the distributional and discourse regularities of the input. Specifically, the results show that when children produce object relatives they most often do so with (a) an inanimate head noun, and (b) a pronominal relative clause subject. Our experimental findings show that children use these constraints to process and produce this construction type. Moreover, when children were required to repeat the object relatives they most often use in naturalistic speech, the subject-object asymmetry in processing of relative clauses disappeared. We also report cross-linguistic differences in children's rate of acquisition which reflect properties of the input language. Overall, our results suggest that children are sensitive to the same constraints on relative clause processing as adults.
  • Kirk, E., Donnelly, S., Furman, R., Warmington, M., Glanville, J., & Eggleston, A. (2022). The relationship between infant pointing and language development: A meta-analytic review. Developmental Review, 64: 101023. doi:10.1016/j.dr.2022.101023.

    Abstract

    Infant pointing has long been identified as an important precursor and predictor of language development. Infants typically begin to produce index finger pointing around the time of their first birthday and previous research has shown that both the onset and the frequency of pointing can predict aspects of productive and receptive language. The current study used a multivariate meta-analytic approach to estimate the strength of the relationship between infant pointing and language. We identified 30 papers published between 1984 and 2019 that met our stringent inclusion criteria, and 25 studies (comprising 77 effect sizes) with samples ≥10 were analysed. Methodological quality of the studies was assessed to identify potential sources of bias. We found a significant but small overall effect size of r = 0.20. Our findings indicate that the unique contribution of pointing to language development may be less robust than has been previously understood, however our stringent inclusion criteria (as well as our publication bias corrections), means that our data represent a more conservative estimate of the relationship between pointing and language. Moderator analysis showed significant group differences in favour of effect sizes related to language comprehension, non-vocabulary measures of language, pointing assessed after 18 months of age and pointing measured independent of speech. A significant strength of this study is the use of multivariate meta-analysis, which allowed us to utilise all available data to provide a more accurate estimate. We consider the findings in the context of the existing research and discuss the general limitations in this field, including the lack of cultural diversity.

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  • Kita, S., Ozyurek, A., Allen, S., Brown, A., Furman, R., & Ishizuka, T. (2007). Relations between syntactic encoding and co-speech gestures: Implications for a model of speech and gesture production. Language and Cognitive Processes, 22(8), 1212-1236. doi:10.1080/01690960701461426.

    Abstract

    Gestures that accompany speech are known to be tightly coupled with speech production. However little is known about the cognitive processes that underlie this link. Previous cross-linguistic research has provided preliminary evidence for online interaction between the two systems based on the systematic co-variation found between how different languages syntactically package Manner and Path information of a motion event and how gestures represent Manner and Path. Here we elaborate on this finding by testing whether speakers within the same language gesturally express Manner and Path differently according to their online choice of syntactic packaging of Manner and Path, or whether gestural expression is pre-determined by a habitual conceptual schema congruent with the linguistic typology. Typologically congruent and incongruent syntactic structures for expressing Manner and Path (i.e., in a single clause or multiple clauses) were elicited from English speakers. We found that gestural expressions were determined by the online choice of syntactic packaging rather than by a habitual conceptual schema. It is therefore concluded that speech and gesture production processes interface online at the conceptual planning phase. Implications of the findings for models of speech and gesture production are discussed
  • Klassmann, A., Offenga, F., Broeder, D., & Skiba, R. (2006). IMDI metadata field usage at MPI. Language Archive Newsletter, no. 8, 6-8.
  • Klein, W. (2007). Zwei Leitgedanken zu "Sprache und Erkenntnis". Zeitschrift für Literaturwissenschaft und Linguistik, 145, 9-43.

    Abstract

    In a way, the entire history of linguistic thought from the Antiquity to present days is a series of variations on two key themes: 1. In a certain sense, language and cognition are the same, and 2. In a certain sense, all languages are the same. What varies is the way in which “in a certain sense” is spelled out. Interpretations oscillate between radical positions such as the idea that thinking without speaking is impossible to the idea that it is just language which vexes our cognition and hence makes it rather impossible, and similarly between the idea that all differences between natural languages are nothing but irrelevant variations in the “vox”, the “external form” to the idea that it our thought is massively shaped by the particular structural features of the language we happen to speak. It is remarkable how little agreement has been reached on these issues after more than 2500 years of discussion. This, it is argued, has mainly two reasons: (a) The entire argument is largely confined to a few lexical and morphological properties of human languages, and (b) the discussion is rarely based on empirical research on “language at work” - how do we manage to solve those many little tasks for which human languages are designed in the first place.
  • Klein, W. (1986). Der Wahn vom Sprachverfall und andere Mythen. Zeitschrift für Literaturwissenschaft und Linguistik, 62, 11-28.
  • Klein, W. (1976). Einige wesentliche Eigenschaften natürlicher Sprachen und ihre Bedeutung für die linguistische Theorie. Zeitschrift für Literaturwissenschaft und Linguistik, 23/24, 11-31.
  • Klein, W. (1976). Einleitung. Zeitschrift für Literaturwissenschaft und Linguistik; Metzler, Stuttgart, 6(23/24), 7-10.
  • Klein, W. (1986). Einleitung. Zeitschrift für Literaturwissenschaft und Linguistik; Metzler, Stuttgart, 16(62), 9-10.
  • Klein, W., & Von Stutterheim, C. (2007). Einführung. Zeitschrift für Literaturwissenschaft und Linguistik; Metzler, Stuttgart, (145), 5-8.
  • Klein, W., & Von Stutterheim, C. (2006). How to solve a complex verbal task: Text structure, referential movement and the quaestio. Aquisição de Linguas Estrangeiras, 30/31, 29-67.
  • Klein, W. (2007). Mechanismen des Erst- und Zweitspracherwerbs = Mechanisms of First and Second Language Acquisition. Sprache Stimme Gehör, 31, 138-143. doi:10.1055/s-2007-985818.

    Abstract

    Language acquisition is the transition between the language faculty, with which we are born as a part of our genetic endowment, to the mastery of one or more linguistic systems. There is a plethora of findings about this process; but these findings still do not form a coherent picture of the principles which underlie this process. There are at least six reasons for this situation. First, there is an enormous variability in the conditions under which this process occurs. Second, the learning capacity does not remain constant over time. Third, the process extends over many years and is therefore hard to study. Fourth, especially the investigation of the meaning side is problem-loaded. Fifth, many skills and types of knowledge must be learned in a more or less synchronised way. And sixth, our understanding of the functioning of linguistic systems is still very limited. Nevertheless, there are a few overarching results, three of which are discussed here: (1) There are salient differences between child and adult learners: While children normally end up with perfect mastery of the language to be learned, this is hardly ever the case for adults. On the hand, it could be shown for each linguistic property examined so far, that adults are in principle able to learn it up to perfection. So, adults can learn everything perfectly well, they just don’t. (2) Within childhood, age of onset plays no essential role for ultimate attainment. (3) Children care much more for formal correctness than adults - they are just better in mimicking existing systems. It is argued that age does not affect the „construction capacity”- the capacity to build up linguistic systems - but the „copying faculty”, i.e., the faculty to imitate an existing system.
  • Klein, W. (1976). Sprachliche Variation. Studium Linguistik, 1, 29-46.
  • Klein, W. (1986). Über Ansehen und Wirkung der deutschen Sprachwissenschaft heute. Linguistische Berichte, 100, 511-520.
  • Kong, X., ENIGMA Laterality Working Group, & Francks, C. (2022). Reproducibility in the absence of selective reporting: An illustration from large‐scale brain asymmetry research. Human Brain Mapping, 43(1), 244-254. doi:10.1002/hbm.25154.

    Abstract

    The problem of poor reproducibility of scientific findings has received much attention over recent years, in a variety of fields including psychology and neuroscience. The problem has been partly attributed to publication bias and unwanted practices such as p‐hacking. Low statistical power in individual studies is also understood to be an important factor. In a recent multisite collaborative study, we mapped brain anatomical left–right asymmetries for regional measures of surface area and cortical thickness, in 99 MRI datasets from around the world, for a total of over 17,000 participants. In the present study, we revisited these hemispheric effects from the perspective of reproducibility. Within each dataset, we considered that an effect had been reproduced when it matched the meta‐analytic effect from the 98 other datasets, in terms of effect direction and significance threshold. In this sense, the results within each dataset were viewed as coming from separate studies in an “ideal publishing environment,” that is, free from selective reporting and p hacking. We found an average reproducibility rate of 63.2% (SD = 22.9%, min = 22.2%, max = 97.0%). As expected, reproducibility was higher for larger effects and in larger datasets. Reproducibility was not obviously related to the age of participants, scanner field strength, FreeSurfer software version, cortical regional measurement reliability, or regional size. These findings constitute an empirical illustration of reproducibility in the absence of publication bias or p hacking, when assessing realistic biological effects in heterogeneous neuroscience data, and given typically‐used sample sizes.
  • Kong, X., Postema, M., Guadalupe, T., De Kovel, C. G. F., Boedhoe, P. S. W., Hoogman, M., Mathias, S. R., Van Rooij, D., Schijven, D., Glahn, D. C., Medland, S. E., Jahanshad, N., Thomopoulos, S. I., Turner, J. A., Buitelaar, J., Van Erp, T. G. M., Franke, B., Fisher, S. E., Van den Heuvel, O. A., Schmaal, L. and 2 moreKong, X., Postema, M., Guadalupe, T., De Kovel, C. G. F., Boedhoe, P. S. W., Hoogman, M., Mathias, S. R., Van Rooij, D., Schijven, D., Glahn, D. C., Medland, S. E., Jahanshad, N., Thomopoulos, S. I., Turner, J. A., Buitelaar, J., Van Erp, T. G. M., Franke, B., Fisher, S. E., Van den Heuvel, O. A., Schmaal, L., Thompson, P. M., & Francks, C. (2022). Mapping brain asymmetry in health and disease through the ENIGMA consortium. Human Brain Mapping, 43(1), 167-181. doi:10.1002/hbm.25033.

    Abstract

    Left-right asymmetry of the human brain is one of its cardinal features, and also a complex, multivariate trait. Decades of research have suggested that brain asymmetry may be altered in psychiatric disorders. However, findings have been inconsistent and often based on small sample sizes. There are also open questions surrounding which structures are asymmetrical on average in the healthy population, and how variability in brain asymmetry relates to basic biological variables such as age and sex. Over the last four years, the ENIGMA-Laterality Working Group has published six studies of grey matter morphological asymmetry based on total sample sizes from roughly 3,500 to 17,000 individuals, which were between one and two orders of magnitude larger than those published in previous decades. A population-level mapping of average asymmetry was achieved, including an
    intriguing fronto-occipital gradient of cortical thickness asymmetry in healthy brains. ENIGMA’s multidataset approach also supported an empirical illustration of reproducibility of hemispheric differences across datasets. Effect sizes were estimated for grey matter asymmetry based on large, international,
    samples in relation to age, sex, handedness, and brain volume, as well as for three psychiatric disorders:Autism Spectrum Disorder was associated with subtly reduced asymmetry of cortical thickness at regions spread widely over the cortex; Pediatric Obsessive-Compulsive Disorder was associated with altered subcortical asymmetry; Major Depressive Disorder was not significantly associated with changes
    of asymmetry. Ongoing studies are examining brain asymmetry in other disorders. Moreover, a groundwork has been laid for possibly identifying shared genetic contributions to brain asymmetry and disorders.
  • Koornneef, A. W., & Van Berkum, J. J. A. (2006). On the use of verb-based implicit causality in sentence comprehension: Evidence from self-paced reading and eye tracking. Journal of Memory and Language, 54(4), 445-465. doi:10.1016/j.jml.2005.12.003.

    Abstract

    In two experiments, we examined the recent claim (Stewart, Pickering, & Sanford, 2000) that verb-based implicit causality information is used during sentence–final clausal integration only. We did so by looking for mid-sentence reading delays caused by pronouns that are inconsistent with the bias of a preceding implicit causality verb (e.g., “David praised Linda because he…”). In a self-paced reading task, such pronouns immediately slowed down reading, at the two words immediately following the pronoun. In eye tracking, bias-inconsistent pronouns also immediately perturbed the reading process, as indexed by significant delays in various first pass measures at and shortly after the critical pronoun. Hence, readers can recruit verb-based implicit causality information in the service of comprehension rapidly enough to impact on the interpretation of a pronoun early in the subordinate clause. We take our results to suggest that implicit causality is used proactively, allowing readers to focus on, and perhaps even predict, who or what will be talked about next.
  • 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.
  • Korvorst, M., Roelofs, A., & Levelt, W. J. M. (2006). Incrementality in naming and reading complex numerals: Evidence from eyetracking. Quarterly Journal of Experimental Psychology, 59(2), 296-311. doi:10.1080/17470210500151691.

    Abstract

    Individuals speak incrementally when they interleave planning and articulation. Eyetracking, along with the measurement of speech onset latencies, can be used to gain more insight into the degree of incrementality adopted by speakers. In the current article, two eyetracking experiments are reported in which pairs of complex numerals were named (arabic format, Experiment 1) or read aloud (alphabetic format, Experiment 2) as house numbers and as clock times. We examined whether the degree of incrementality is differentially influenced by the production task (naming vs. reading) and mode (house numbers vs. clock time expressions), by comparing gaze durations and speech onset latencies. In both tasks and modes, dissociations were obtained between speech onset latencies (reflecting articulation) and gaze durations (reflecting planning), indicating incrementality. Furthermore, whereas none of the factors that determined gaze durations were reflected in the reading and naming latencies for the house numbers, the dissociation between gaze durations and response latencies for the clock times concerned mainly numeral length in both tasks. These results suggest that the degree of incrementality is influenced by the type of utterance (house number vs. clock time) rather than by task (reading vs. naming). The results highlight the importance of the utterance structure in determining the degree of incrementality.
  • 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

    MolCellSup.pdf
  • Krott, A., Baayen, R. H., & Hagoort, P. (2006). The nature of anterior negativities caused by misapplications of morphological rules. Journal of Cognitive Neuroscience, 18(10), 1616-1630. doi:10.1162/jocn.2006.18.10.1616.

    Abstract

    This study investigates functional interpretations of left
    anterior negativities (LANs), a language-related electroencephalogram effect that has been found for syntactic and morphological violations. We focus on three possible interpretations of LANs caused by the replacement of irregular affixes with regular affixes: misapplication of morphological rules, mismatch of the presented form with analogy-based expectations, and mismatch of the presented form with stored representations. Event-related brain potentials were recorded during the visual presentation of existing and novel Dutch compounds. Existing compounds contained correct or replaced interfixes (dame + s + salons > damessalons vs. *dame + n + salons > *damensalons ‘‘women’s hairdresser salons’’), whereas novel Dutch compounds contained interfixes that were either supported or not supported by analogy to similar existing compounds
    (kruidenkelken vs. ?kruidskelken ‘‘herb chalices’’); earlier studies had shown that interfixes are selected by analogy instead of rules. All compounds were presented with correct or incorrect regular plural suffixes (damessalons vs. *damessalonnen). Replacing suffixes or interfixes in existing compounds both led to increased (L)ANs between 400 and 700 msec without any evidence for different scalp distributions for interfixes and suffixes. There was no evidence for a negativity when manipulating the analogical support for interfixes in novel compounds. Together with earlier studies, these results suggest that LANs had been caused by the mismatch of the presented forms with stored forms. We discuss these findings with respect to the single/dual-route debate of morphology and LANs found for the misapplication of syntactic rules.
  • Kuggeleijn, J., & De Ruiter, J. P. (2006). Met de angst in de pen: Waarom ambtenaren zo merkwaardig schrijven. Onze Taal, 75(9), 236-237.
  • 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
  • Kulish, V., Chernyk, M., Ovsianko, O., & Zhulavska, O. (2022). Pragmatic metaphorisation of nature silence effect in poetic discourse. Studies in Media and Communication, 10(1), 43-51. doi:10.11114/smc.v10i1.5479.

    Abstract

    The article considers the pragmatics of silence image in English poetry. Silence being a communicative unit is
    associated with verbal and non-verbal communication. The purpose of the article is to study the discursive and
    communicative-pragmatic nature of poetical images of silence in the English-language literary discourse. The universal
    and cultural functions of this notion were analysed and the main approaches to the poetical silence study were
    determined. It became clear that the phenomenon of Nature Silence can be actualised with the help of Nature and other
    landscape images in the field of English literary discourse. Such images must belong to the paradigm of English
    landscape images represented by Earthy, Aerial and Celestial substantial nature symbols. In terms of
    discourse-communicative approach to the study of communicative silence, these elements play an important role of the
    main producers of Nature Silence. This work proposes the new pragmatic and communicative approach of
    understanding the Nature silence in English literary discourse. The main verbal units that can actualise the poetical
    image of silence are characterised by the permanent correlation with the different symbols of nature, showing the
    dominant and peripheral characteristics. Being the pragmatic realisation of silence image, motives of Nature Silence
    may be considered both as dominant and background.
  • Kumarage, S., Donnelly, S., & Kidd, E. (2022). Implicit learning of structure across time: A longitudinal investigation of syntactic priming in young English-acquiring children. Journal of Memory and Language, 127: 104374. doi:10.1016/j.jml.2022.104374.

    Abstract

    Theories of language acquisition vary significantly in their assumptions regarding the content of children’s early syntactic representations and how they subsequently develop towards the adult state. An important methodological tool in tapping syntactic knowledge is priming. In the current paper, we report the first longitudinal investigation of syntactic priming in children, to test the competing predictions of three different theoretical accounts. A sample of 106 children completed a syntactic priming task testing the English active/passive alternation every six months from 36 months to 54 months of age. We tracked both the emergence and development of the abstract priming effect and lexical boost effect. The lexical boost effect emerged late and increased in magnitude over development, whilst the abstract priming effect emerged early and, in a subsample of participants who produced at least one passive at 36 months, decreased in magnitude over time. In addition, there was substantial variation in the emergence of abstract priming amongst our sample, which was significantly predicted by language proficiency measured six months prior. We conclude that children’s representation of the passive is abstracted early, with lexically dependent priming coming online only later in development. The results are best explained by an implicit learning account of acquisition (Chang, F., Dell, G., S., & Bock, K. 2006. Becoming Syntactic. Psychological Review, 113, 234–272), which induces dynamic syntactic representations from the input that continue to change across developmental time.
  • Küntay, A. C., & Ozyurek, A. (2006). Learning to use demonstratives in conversation: What do language specific strategies in Turkish reveal? Journal of Child Language, 33(2), 303-320. doi:10.1017/S0305000906007380.

    Abstract

    Pragmatic development requires the ability to use linguistic forms, along with non-verbal cues, to focus an interlocutor's attention on a referent during conversation. We investigate the development of this ability by examining how the use of demonstratives is learned in Turkish, where a three-way demonstrative system (bu, su, o) obligatorily encodes both distance contrasts (i.e. proximal and distal) and absence or presence of the addressee's visual attention on the referent. A comparison of the demonstrative use by Turkish children (6 four- and 6 six-year-olds) and 6 adults during conversation shows that adultlike use of attention directing demonstrative, su, is not mastered even at the age of six, while the distance contrasts are learned earlier. This language specific development reveals that designing referential forms in consideration of recipient's attentional status during conversation is a pragmatic feat that takes more than six years to develop.
  • 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.
  • Lai, V. T., Van Berkum, J. J. A., & Hagoort, P. (2022). Negative affect increases reanalysis of conflicts between discourse context and world knowledge. Frontiers in Communication, 7: 910482. doi:10.3389/fcomm.2022.910482.

    Abstract

    Introduction: Mood is a constant in our daily life and can permeate all levels of cognition. We examined whether and how mood influences the processing of discourse content that is relatively neutral and not loaded with emotion. During discourse processing, readers have to constantly strike a balance between what they know in long term memory and what the current discourse is about. Our general hypothesis is that mood states would affect this balance. We hypothesized that readers in a positive mood would rely more on default world knowledge, whereas readers in a negative mood would be more inclined to analyze the details in the current discourse.

    Methods: Participants were put in a positive and a negative mood via film clips, one week apart. In each session, after mood manipulation, they were presented with sentences in discourse materials. We created sentences such as “With the lights on you can see...” that end with critical words (CWs) “more” or “less”, where general knowledge supports “more”, not “less”. We then embedded each of these sentences in a wider discourse that does/does not support the CWs (a story about driving in the night vs. stargazing). EEG was recorded throughout.

    Results: The results showed that first, mood manipulation was successful in that there was a significant mood difference between sessions. Second, mood did not modulate the N400 effects. Participants in both moods detected outright semantic violations and allowed world knowledge to be overridden by discourse context. Third, mood modulated the LPC (Late Positive Component) effects, distributed in the frontal region. In negative moods, the LPC was sensitive to one-level violation. That is, CWs that were supported by only world knowledge, only discourse, and neither, elicited larger frontal LPCs, in comparison to the condition where CWs were supported by both world knowledge and discourse.

    Discussion: These results suggest that mood does not influence all processes involved in discourse processing. Specifically, mood does not influence lexical-semantic retrieval (N400), but it does influence elaborative processes for sensemaking (P600) during discourse processing. These results advance our understanding of the impact and time course of mood on discourse.

    Additional information

    Table 1.XLSX
  • Laureys, F., De Waelle, S., Barendse, M. T., Lenoir, M., & Deconinck, F. J. (2022). The factor structure of executive function in childhood and adolescence. Intelligence, 90: 101600. doi:10.1016/j.intell.2021.101600.

    Abstract

    Executive functioning (EF) plays a major role in many domains of human behaviour, including self-regulation, academic achievement, and even sports expertise. While a significant proportion of cross-sectional research has focused on the developmental pathways of EF, the existing literature is fractionated due to a wide range of methodologies applied to narrow age ranges, impeding comparison across a broad range of age groups. The current study used a cross-sectional design to investigate the factor structure of EF within late childhood and adolescence. A total of 2166 Flemish children and adolescents completed seven tasks of the Cambridge Brain Sciences test battery. Based on the existing literature, a Confirmatory Factor Analysis was performed, which indicated that a unitary factor model provides the best fit for the youngest age group (7–12 years). For the adolescents (12–18 years), the factor structure consists of four different components, including working memory, shifting, inhibition and planning. With regard to differences between early (12–15 years) and late (15–18 years) adolescents, working memory, inhibition and planning show higher scores for the late adolescents, while there was no difference on shifting. The current study is one of the first to administer the same seven EF tests in a considerably large sample of children and adolescents, and as such contributes to the understanding of the developmental trends in EF. Future studies, especially with longitudinal designs, are encouraged to further increase the knowledge concerning the factor structure of EF, and the development of the different EF components.
  • Lee, R., Chambers, C. G., Huettig, F., & Ganea, P. A. (2022). Children’s and adults’ use of fictional discourse and semantic knowledge for prediction in language processing. PLoS One, 17(4): e0267297. doi:10.1371/journal.pone.0267297.

    Abstract

    Using real-time eye-movement measures, we asked how a fantastical discourse context competes with stored representations of real-world events to influence the moment-by-moment interpretation of a story by 7-year-old children and adults. Seven-year-olds were less effective at bypassing stored real-world knowledge during real-time interpretation than adults. Our results suggest that children privilege stored semantic knowledge over situation-specific information presented in a fictional story context. We suggest that 7-year-olds’ canonical semantic and conceptual relations are sufficiently strongly rooted in statistical patterns in language that have consolidated over time that they overwhelm new and unexpected information even when the latter is fantastical and highly salient.

    Additional information

    Data availability
  • 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.
  • Lev-Ari, S. (2022). People with larger social networks show poorer voice recognition. Quarterly Journal of Experimental Psychology, 75(3), 450-460. doi:10.1177/17470218211030798.

    Abstract

    The way we process language is influenced by our experience. We are more likely to attend to features that proved to be useful in the past. Importantly, the size of individuals’ social network can influence their experience, and consequently, how they process language. In the case of voice recognition, having a larger social network might provide more variable input and thus enhance the ability to recognise new voices. On the other hand, learning to recognise voices is more demanding and less beneficial for people with a larger social network as they have more speakers to learn yet spend less time with each. This paper tests whether social network size influences voice recognition, and if so, in which direction. Native Dutch speakers listed their social network and performed a voice recognition task. Results showed that people with larger social networks were poorer at learning to recognise voices. Experiment 2 replicated the results with a British sample and English stimuli. Experiment 3 showed that the effect does not generalise to voice recognition in an unfamiliar language suggesting that social network size influences attention to the linguistic rather than non-linguistic markers that differentiate speakers. The studies thus show that our social network size influences our inclination to learn speaker-specific patterns in our environment, and consequently, the development of skills that rely on such learned patterns, such as voice recognition.

    Additional information

    https://osf.io/wtb5f/
  • Levelt, W. J. M. (2022). Onderwerp het gehele oeuvre aan een integriteitsonderzoek (part of “Fraude-experts: Leiden moet al het werk van Colzato onderzoeken én openbaren” by S. Van Loosbroek, & V. Bongers). Mare: Leids Universitair Weekblad 23 February 2022.
  • Levelt, W. J. M., Schreuder, R., & Hoenkamp, E. (1976). Struktur und Gebrauch von Bewegungsverben. Zeitschrift für Literaturwissenschaft und Linguistik, 6(23/24), 131-152.
  • Levinson, S. C. (2006). Parts of the body in Yélî Dnye, the Papuan language of Rossel Island. Language Sciences, 28(2-3), 221-240. doi:10.1016/j.langsci.2005.11.007.

    Abstract

    This paper describes the terminology used to describe parts of the body in Ye´lıˆ Dnye, the Papuan language of Rossel Island (Papua New Guinea). The terms are nouns, which display complex patterns of suppletion in possessive and locative uses. Many of the terms are compounds, many unanalysable. Semantically, visible body parts divide into three main types: (i) a partonomic subsystem dividing the body into nine major parts: head, neck, two upper limbs, trunk, two upper legs, two lower legs, (ii) designated surfaces (e.g. ‘lower belly’), (iii) collections of surface features (‘face’), (iv) taxonomic subsystems (e.g. ‘big toe’ being a kind of ‘toe’). With regards to (i), the lack of any designation for ‘foot’ or ‘hand’ is notable, as is the absence of a term for ‘leg’ as a whole (although this is a lexical not a conceptual gap, as shown by the alternate taboo vocabulary). Ye´lıˆ Dnye body part terms do not have major extensions to other domains (e.g. spatial relators). Indeed, a number of the terms are clearly borrowed from outside human biology (e.g. ‘wing butt’ for shoulder).
  • Levinson, S. C. (2022). The Interaction Engine: Cuteness selection and the evolution of the interactional base for language. Philosophical Transactions of the Royal Society of London, Series B: Biological Sciences, 377(1859): 20210108. doi:10.1098/rstb.2021.0108.

    Abstract

    The deep structural diversity of languages suggests that our language capacities are not based on
    any single template but rather on an underlying ability and motivation for infants to acquire a
    culturally transmitted system. The hypothesis is that this ability has an interactional base that has
    discernable precursors in other primates. In this paper I explore a specific evolutionary route for the
    most puzzling aspect of this interactional base in humans, namely the development of an empathetic
    intentional stance. The route involves a generalization of mother-infant interaction patterns to all
    adults via a process (‘ cuteness selection’ ) analogous to, but distinct from, RA Fisher’s runaway
    sexual selection. This provides a cornerstone for the carrying capacity for language.
  • 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. (2006). Cognition at the heart of human interaction. Discourse Studies, 8(1), 85-93. doi:10.1177/1461445606059557.

    Abstract

    Sometimes it is thought that there are serious differences between theories of discourse that turn on the role of cognition in the theory. This is largely a misconception: for example, with its emphasis on participants’ own understandings, its principles of recipient design and projection, Conversation Analysis is hardly anti-cognitive. If there are genuine disagreements they rather concern a preference for ‘lean’ versus ‘rich’ metalanguages and different methodologies. The possession of a multi-levelled model, separating out what the individual brings to interaction from the emergent properties of interaction, would make it easier to resolve some of these issues. Meanwhile, these squabbles on the margins distract us from a much more central and more interesting issue: is there a very special cognition-for-interaction, which underlies and underpins all language and discourse? Prime facie evidence suggests that there is, and different approaches can contribute to our understanding of it.
  • Levinson, S. C. (2006). Matrilineal clans and kin terms on Rossel Island. Anthropological Linguistics, 48, 1-43.

    Abstract

    Yélî Dnye, the language of Rossel Island, Louisiade archipelago, Papua New Guinea, is a non-Austronesian isolate of considerable interest for the prehistory of the area. The kin term, clan, and kinship systems have some superficial similarities with surrounding Austronesian ones, but many underlying differences. The terminology, here properly described for the first time, is highly complex, and seems adapted to a dual descent system, with Crow-type skewing reflecting matrilineal descent, but a system of reciprocals also reflecting the "unity of the patriline." It may be analyzed in three mutually consistent ways: as a system of classificatory reciprocals, as a clan-based sociocentric system, and as collapses and skewings across a genealogical net. It makes an interesting contrast to the Trobriand system, and suggests that the alternative types of account offered by Edmund Leach and Floyd Lounsbury for the Trobriand system both have application to the Rossel system. The Rossel system has features (e.g., patrilineal biases, dual descent, collective [dyadic] kin terms, terms for alternating generations) that may be indicative of pre-Austronesian social systems of the area
  • Levinson, S. C. (2006). Language in the 21st century. Language, 82, 1-2.
  • Levshina, N. (2022). Frequency, informativity and word length: Insights from typologically diverse corpora. Entropy, 24(2): 280. doi:10.3390/e24020280.

    Abstract

    Zipf’s law of abbreviation, which posits a negative correlation between word frequency and length, is one of the most famous and robust cross-linguistic generalizations. At the same time, it has been shown that contextual informativity (average surprisal given previous context) is more strongly correlated with word length, although this tendency is not observed consistently, depending on several methodological choices. The present study examines a more diverse sample of languages than the previous studies (Arabic, Finnish, Hungarian, Indonesian, Russian, Spanish and Turkish). I use large web-based corpora from the Leipzig Corpora Collection to estimate word lengths in UTF-8 characters and in phonemes (for some of the languages), as well as word frequency, informativity given previous word and informativity given next word, applying different methods of bigrams processing. The results show different correlations between word length and the corpus-based measure for different languages. I argue that these differences can be explained by the properties of noun phrases in a language, most importantly, by the order of heads and modifiers and their relative morphological complexity, as well as by orthographic conventions

    Additional information

    datasets
  • Levshina, N., & Hawkins, J. A. (2022). Verb-argument lability and its correlations with other typological parameters. A quantitative corpus-based study. Linguistic Typology at the Crossroads, 2(1), 94-120. doi:10.6092/issn.2785-0943/13861.

    Abstract

    We investigate the correlations between A- and P-lability for verbal arguments with other typological parameters using large, syntactically annotated corpora of online news in 28 languages. To estimate how much lability is observed in a language, we measure associations between Verbs or Verb + Noun combinations and the alternating constructions in which they occur. Our correlational analyses show that high P-lability scores correlate strongly with the following parameters: little or no case marking; weaker associations between lexemes and the grammatical roles A and P; rigid order of Subject and Object; and a high proportion of verb-medial clauses (SVO). Low P-lability correlates with the presence of case marking, stronger associations between nouns and grammatical roles, relatively flexible ordering of Subject and Object, and verb-final order. As for A-lability, it is not correlated with any other parameters. A possible reason is that A-lability is a result of more universal discourse processes, such as deprofiling of the object, and also exhibits numerous lexical and semantic idiosyncrasies. The fact that P-lability is strongly correlated with other parameters can be interpreted as evidence for a more general typology of languages, in which some tend to have highly informative morphosyntactic and lexical cues, whereas others rely predominantly on contextual environment, which is possibly due to fixed word order. We also find that P-lability is more strongly correlated with the other parameters than any of these parameters are with each other, which means that it can be a very useful typological variable.
  • Levshina, N., & Lorenz, D. (2022). Communicative efficiency and the Principle of No Synonymy: Predictability effects and the variation of want to and wanna. Language and Cognition, 14(2), 249-274. doi:10.1017/langcog.2022.7.

    Abstract

    There is ample psycholinguistic evidence that speakers behave efficiently, using shorter and less effortful constructions when the meaning is more predictable, and longer and more effortful ones when it is less predictable. However, the Principle of No Synonymy requires that all formally distinct variants should also be functionally different. The question is how much two related constructions should overlap semantically and pragmatically in order to be used for the purposes of efficient communication. The case study focuses on want to + Infinitive and its reduced variant with wanna, which have different stylistic and sociolinguistic connotations. Bayesian mixed-effects regression modelling based on the spoken part of the British National Corpus reveals a very limited effect of efficiency: predictability increases the chances of the reduced variant only in fast speech. We conclude that efficient use of more and less effortful variants is restricted when two variants are associated with different registers or styles. This paper also pursues a methodological goal regarding missing values in speech corpora. We impute missing data based on the existing values. A comparison of regression models with and without imputed values reveals similar tendencies. This means that imputation is useful for dealing with missing values in corpora.

    Additional information

    supplementary materials
  • Levshina, N. (2022). Semantic maps of causation: New hybrid approaches based on corpora and grammar descriptions. Zeitschrift für Sprachwissenschaft, 41(1), 179-205. doi:10.1515/zfs-2021-2043.

    Abstract

    The present paper discusses connectivity and proximity maps of causative constructions and combines them with different types of typological data. In the first case study, I show how one can create a connectivity map based on a parallel corpus. This allows us to solve many problems, such as incomplete descriptions, inconsistent terminology and the problem of determining the semantic nodes. The second part focuses on proximity maps based on Multidimensional Scaling and compares the most important semantic distinctions, which are inferred from a parallel corpus of film subtitles and from grammar descriptions. The results suggest that corpus-based maps of tokens are more sensitive to cultural and genre-related differences in the prominence of specific causation scenarios than maps based on constructional types, which are described in reference grammars. The grammar-based maps also reveal a less clear structure, which can be due to incomplete semantic descriptions in grammars. Therefore, each approach has its shortcomings, which researchers need to be aware of.
  • Levshina, N. (2022). Corpus-based typology: Applications, challenges and some solutions. Linguistic Typology, 26(1), 129-160. doi:10.1515/lingty-2020-0118.

    Abstract

    Over the last few years, the number of corpora that can be used for language comparison has dramatically increased. The corpora are so diverse in their structure, size and annotation style, that a novice might not know where to start. The present paper charts this new and changing territory, providing a few landmarks, warning signs and safe paths. Although no corpora corpus at present can replace the traditional type of typological data based on language description in reference grammars, they corpora can help with diverse tasks, being particularly well suited for investigating probabilistic and gradient properties of languages and for discovering and interpreting cross-linguistic generalizations based on processing and communicative mechanisms. At the same time, the use of corpora for typological purposes has not only advantages and opportunities, but also numerous challenges. This paper also contains an empirical case study addressing two pertinent problems: the role of text types in language comparison and the problem of the word as a comparative concept.
  • Lind, J., Persson, J., Ingvar, M., Larsson, A., Cruts, M., Van Broeckhoven, C., Adolfsson, R., Bäckman, L., Nilsson, L.-G., Petersson, K. M., & Nyberg, L. (2006). Reduced functional brain activity response in cognitively intact apolipoprotein E ε4 carriers. Brain, 129(5), 1240-1248. doi:10.1093/brain/awl054.

    Abstract

    The apolipoprotein E {varepsilon}4 (APOE {varepsilon}4) is the main known genetic risk factor for Alzheimer's disease. Genetic assessments in combination with other diagnostic tools, such as neuroimaging, have the potential to facilitate early diagnosis. In this large-scale functional MRI (fMRI) study, we have contrasted 30 APOE {varepsilon}4 carriers (age range: 49–74 years; 19 females), of which 10 were homozygous for the {varepsilon}4 allele, and 30 non-carriers with regard to brain activity during a semantic categorization task. Test groups were closely matched for sex, age and education. Critically, both groups were cognitively intact and thus symptom-free of Alzheimer's disease. APOE {varepsilon}4 carriers showed reduced task-related responses in the left inferior parietal cortex, and bilaterally in the anterior cingulate region. A dose-related response was observed in the parietal area such that diminution was most pronounced in homozygous compared with heterozygous carriers. In addition, contrasts of processing novel versus familiar items revealed an abnormal response in the right hippocampus in the APOE {varepsilon}4 group, mainly expressed as diminished sensitivity to the relative novelty of stimuli. Collectively, these findings indicate that genetic risk translates into reduced functional brain activity, in regions pertinent to Alzheimer's disease, well before alterations can be detected at the behavioural level.
  • 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
  • Liszkowski, U., Carpenter, M., Striano, T., & Tomasello, M. (2006). Twelve- and 18-month-olds point to provide information for others. JOURNAL OF COGNITION AND DEVELOPMENT, 7, 173-187. doi:10.1207/s15327647jcd0702_2.

    Abstract

    Classically, infants are thought to point for 2 main reasons: (a) They point imperatively when they want an adult to do something for them (e.g., give them something; “Juice!”), and (b) they point declaratively when they want an adult to share attention with them to some interesting event or object (“Look!”). Here we demonstrate the existence of another motive for infants' early pointing gestures: to inform another person of the location of an object that person is searching for. This informative motive for pointing suggests that from very early in ontogeny humans conceive of others as intentional agents with informational states and they have the motivation to provide such information communicatively
  • Liu, Y., Hintz, F., Liang, J., & Huettig, F. (2022). Prediction in challenging situations: Most bilinguals can predict upcoming semantically-related words in their L1 source language when interpreting. Bilingualism: Language and Cognition, 25(5), 801-815. doi:10.1017/S1366728922000232.

    Abstract

    Prediction is an important part of language processing. An open question is to what extent people predict language in challenging circumstances. Here we tested the limits of prediction by asking bilingual Dutch native speakers to interpret Dutch sentences into their English counterparts. In two visual world experiments, we recorded participants’ eye movements to co-present visual objects while they engaged in interpreting tasks (consecutive and simultaneous interpreting). Most participants showed anticipatory eye movements to semantically-related upcoming target words in their L1 source language during both consecutive and simultaneous interpretation. A quarter of participants during simultaneous interpretation however did not move their eyes, an extremely unusual participant behaviour in visual world studies. Overall, the findings suggest that most people predict in the source language under challenging interpreting situations. Further work is required to understand the causes of the absence of (anticipatory) eye movements during simultaneous interpretation in a substantial subset of individuals.
  • Liu, L., Yuan, C., Ong, J. H., Tuninetti, A., Antoniou, M., Cutler, A., & Escudero, P. (2022). Learning to perceive non-native tones via distributional training: Effects of task and acoustic cue weighting. Brain Sciences, 12(5): 559. doi:10.3390/brainsci12050559.

    Abstract

    As many distributional learning (DL) studies have shown, adult listeners can achieve discrimination of a difficult non-native contrast after a short repetitive exposure to tokens falling at the extremes of that contrast. Such studies have shown using behavioural methods that a short distributional training can induce perceptual learning of vowel and consonant contrasts. However, much less is known about the neurological correlates of DL, and few studies have examined non-native lexical tone contrasts. Here, Australian-English speakers underwent DL training on a Mandarin tone contrast using behavioural (discrimination, identification) and neural (oddball-EEG) tasks, with listeners hearing either a bimodal or a unimodal distribution. Behavioural results show that listeners learned to discriminate tones after both unimodal and bimodal training; while EEG responses revealed more learning for listeners exposed to the bimodal distribution. Thus, perceptual learning through exposure to brief sound distributions (a) extends to non-native tonal contrasts, and (b) is sensitive to task, phonetic distance, and acoustic cue-weighting. Our findings have implications for models of how auditory and phonetic constraints influence speech learning.

    Additional information

    supplementary material A-D
  • Loke, J., Seijdel, N., Snoek, L., Van der Meer, M., Van de Klundert, R., Quispel, E., Cappaert, N., & Scholte, H. S. (2022). A critical test of deep convolutional neural networks’ ability to capture recurrent processing in the brain using visual masking. Journal of Cognitive Neuroscience, 34(12): 10.1101/2022.01.30.478404, pp. 2390-2405. doi:10.1162/jocn_a_01914.

    Abstract

    Recurrent processing is a crucial feature in human visual processing supporting perceptual grouping, figure-ground segmentation, and recognition under challenging conditions. There is a clear need to incorporate recurrent processing in deep convolutional neural networks (DCNNs) but the computations underlying recurrent processing remain unclear. In this paper, we tested a form of recurrence in deep residual networks (ResNets) to capture recurrent processing signals in the human brain. Though ResNets are feedforward networks, they approximate an excitatory additive form of recurrence. Essentially, this form of recurrence consists of repeating excitatory activations in response to a static stimulus. Here, we used ResNets of varying depths (reflecting varying levels of recurrent processing) to explain electroencephalography (EEG) activity within a visual masking paradigm. Sixty-two humans and fifty artificial agents (10 ResNet models of depths - 4, 6, 10, 18 and 34) completed an object categorization task. We show that deeper networks (ResNet-10, 18 and 34) explained more variance in brain activity compared to shallower networks (ResNet-4 and 6). Furthermore, all ResNets captured differences in brain activity between unmasked and masked trials, with differences starting at ∼98ms (from stimulus onset). These early differences indicated that EEG activity reflected ‘pure’ feedforward signals only briefly (up to ∼98ms). After ∼98ms, deeper networks showed a significant increase in explained variance which peaks at ∼200ms, but only within unmasked trials, not masked trials. In summary, we provided clear evidence that excitatory additive recurrent processing in ResNets captures some of the recurrent processing in humans.
  • Lutzenberger, H., Pfau, R., & de Vos, C. (2022). Emergence or grammaticalization? The case of negation in Kata Kolok. Languages, 7(1): 23. doi:10.3390/languages7010023.

    Abstract

    Typological comparisons have revealed that signers can use manual elements and/or a non-manual marker to express standard negation, but little is known about how such systematic marking emerges from its gestural counterparts as a new sign language arises. We analyzed 1.73 h of spontaneous language data, featuring six deaf native signers from generations III-V of the sign language isolate Kata Kolok (Bali). These data show that Kata Kolok cannot be classified as a manual dominant or non-manual dominant sign language since both the manual negative sign and a side-to-side headshake are used extensively. Moreover, the intergenerational comparisons indicate a considerable increase in the use of headshake spreading for generation V which is unlikely to have resulted from contact with Indonesian Sign Language varieties. We also attest a specialized negative existential marker, namely, tongue protrusion, which does not appear in co-speech gesture in the surrounding community. We conclude that Kata Kolok is uniquely placed in the typological landscape of sign language negation, and that grammaticalization theory is essential to a deeper understanding of the emergence of grammatical structure from gesture.
  • Maes, A., Krahmer, E., & Peeters, D. (2022). Understanding demonstrative reference in text: A new taxonomy based on a new corpus. Language and Cognition, 14(2), 185-207. doi:10.1017/langcog.2021.28.

    Abstract

    Endophoric demonstratives such as this and that are among the most frequently used words in written texts. Nevertheless, it remains unclear how exactly they should be subdivided and classified in terms of their different types of use. Here, we develop a new taxonomy of endophoric demonstratives based on a large-scale corpus including three written genres: news items, encyclopedic texts, and book reviews. The taxonomy enables analysts to reliably code endophoric demonstratives based on objectively applicable criteria, while at the same time making them aware of many subtle borderline cases. We consider the taxonomy as a theoretical foundation for future theoretical and empirical work into endophoric demonstratives, and as an analytical tool allowing researchers to unify and compare the results of studies on endophoric demonstratives coming from different genres and languages.
  • Mai, A., Riès, A. M., Ben-Haim, S., Shih, J., & Gentner, T. (2022). Phonological Contrasts Are Maintained Despite Neutralization: an Intracranial EEG Study. Proceedings of the Linguistic Society of America: Proceedings of the 2021 Annual Meeting on Phonology, 9. doi:10.3765/amp.v9i0.5197.

    Abstract

    The existence of language-specific abstract sound-structure units (such as the phoneme) is largely uncontroversial in phonology. However, whether the brain performs abstractions comparable to those assumed in phonology has been difficult to ascertain. Using intracranial electroencephalography (EEG) recorded during a passive listening task, this study investigates the representation of phonological units in the brain and the relationship between those units, auditory sensory input, and higher levels of language organization, namely morphology. Leveraging the phonological neutralization of coronal stops to tap in English, this study provides evidence of a dissociation between acoustic similarity and phonemic identity in the neural response to speech. Moreover, leveraging morphophonological alternations of the regular plural and past tense, this study further demonstrates early (<500ms) evidence of dissociation between phonological form and morphological exponence. Together these results highlight the central nature of language-specific knowledge in sublexical language processing and improve our understanding of the ways language-specific knowledge structures and organizes speech perception in the brain.
  • Maihofer, A. X., Choi, K. W., Coleman, J. R., Daskalakis, N. P., Denckla, C. A., Ketema, E., Morey, R. A., Polimanti, R., Ratanatharathorn, A., Torres, K., Wingo, A. P., Zai, C. C., Aiello, A. E., Almli, L. M., Amstadter, A. B., Andersen, S. B., Andreassen, O. A., Arbisi, P. A., Ashley-Koch, A. E., Austin, S. B. and 161 moreMaihofer, A. X., Choi, K. W., Coleman, J. R., Daskalakis, N. P., Denckla, C. A., Ketema, E., Morey, R. A., Polimanti, R., Ratanatharathorn, A., Torres, K., Wingo, A. P., Zai, C. C., Aiello, A. E., Almli, L. M., Amstadter, A. B., Andersen, S. B., Andreassen, O. A., Arbisi, P. A., Ashley-Koch, A. E., Austin, S. B., Avdibegovic, E., Borglum, A. D., Babic, D., Bækvad-Hansen, M., Baker, D. G., Beckham, J. C., Bierut, L. J., Bisson, J. I., Boks, M. P., Bolger, E. A., Bradley, B., Brashear, M., Breen, G., Bryant, R. A., Bustamante, A. C., Bybjerg-Grauholm, J., Calabrese, J. R., Caldas-de-Almeida, J. M., Chen, C.-Y., Dale, A. M., Dalvie, S., Deckert, J., Delahanty, D. L., Dennis, M. F., Disner, S. G., Domschke, K., Duncan, L. E., Dzubur Kulenovic, A., Erbes, C. R., Evans, A., Farrer, L. A., Feeny, N. C., Flory, J. D., Forbes, D., Franz, C. E., Galea, S., Garrett, M. E., Gautam, A., Gelaye, B., Gelernter, J., Geuze, E., Gillespie, C. F., Goçi, A., Gordon, S. D., Guffanti, G., Hammamieh, R., Hauser, M. A., Heath, A. C., Hemmings, S. M., Hougaard, D. M., Jakovljevic, M., Jett, M., Johnson, E. O., Jones, I., Jovanovic, T., Qin, X.-J., Karstoft, K.-I., Kaufman, M. L., Kessler, R. C., Khan, A., Kimbrel, N. A., King, A. P., Koen, N., Kranzler, H. R., Kremen, W. S., Lawford, B. R., Lebois, L. A., Lewis, C., Liberzon, I., Linnstaedt, S. D., Logue, M. W., Lori, A., Lugonja, B., Luykx, J. J., Lyons, M. J., Maples-Keller, J. L., Marmar, C., Martin, N. G., Maurer, D., Mavissakalian, M. R., McFarlane, A., McGlinchey, R. E., McLaughlin, K. A., McLean, S. A., Mehta, D., Mellor, R., Michopoulos, V., Milberg, W., Miller, M. W., Morris, C. P., Mors, O., Mortensen, P. B., Nelson, E. C., Nordentoft, M., Norman, S. B., O’Donnell, M., Orcutt, H. K., Panizzon, M. S., Peters, E. S., Peterson, A. L., Peverill, M., Pietrzak, R. H., Polusny, M. A., Rice, J. P., Risbrough, V. B., Roberts, A. L., Rothbaum, A. O., Rothbaum, B. O., Roy-Byrne, P., Ruggiero, K. J., Rung, A., Rutten, B. P., Saccone, N. L., Sanchez, S. E., Schijven, D., Seedat, S., Seligowski, A. V., Seng, J. S., Sheerin, C. M., Silove, D., Smith, A. K., Smoller, J. W., Sponheim, S. R., Stein, D. J., Stevens, J. S., Teicher, M. H., Thompson, W. K., Trapido, E., Uddin, M., Ursano, R. J., van den Heuvel, L. L., Van Hooff, M., Vermetten, E., Vinkers, C., Voisey, J., Wang, Y., Wang, Z., Werge, T., Williams, M. A., Williamson, D. E., Winternitz, S., Wolf, C., Wolf, E. J., Yehuda, R., Young, K. A., Young, R. M., Zhao, H., Zoellner, L. A., Haas, M., Lasseter, H., Provost, A. C., Salem, R. M., Sebat, J., Shaffer, R. A., Wu, T., Ripke, S., Daly, M. J., Ressler, K. J., Koenen, K. C., Stein, M. B., & Nievergelt, C. M. (2022). Enhancing discovery of genetic variants for posttraumatic stress disorder through integration of quantitative phenotypes and trauma exposure information. Biological Psychiatry, 91(7), 626-636. doi:10.1016/j.biopsych.2021.09.020.

    Abstract

    Background

    Posttraumatic stress disorder (PTSD) is heritable and a potential consequence of exposure to traumatic stress. Evidence suggests that a quantitative approach to PTSD phenotype measurement and incorporation of lifetime trauma exposure (LTE) information could enhance the discovery power of PTSD genome-wide association studies (GWASs).
    Methods

    A GWAS on PTSD symptoms was performed in 51 cohorts followed by a fixed-effects meta-analysis (N = 182,199 European ancestry participants). A GWAS of LTE burden was performed in the UK Biobank cohort (N = 132,988). Genetic correlations were evaluated with linkage disequilibrium score regression. Multivariate analysis was performed using Multi-Trait Analysis of GWAS. Functional mapping and annotation of leading loci was performed with FUMA. Replication was evaluated using the Million Veteran Program GWAS of PTSD total symptoms.
    Results

    GWASs of PTSD symptoms and LTE burden identified 5 and 6 independent genome-wide significant loci, respectively. There was a 72% genetic correlation between PTSD and LTE. PTSD and LTE showed largely similar patterns of genetic correlation with other traits, albeit with some distinctions. Adjusting PTSD for LTE reduced PTSD heritability by 31%. Multivariate analysis of PTSD and LTE increased the effective sample size of the PTSD GWAS by 20% and identified 4 additional loci. Four of these 9 PTSD loci were independently replicated in the Million Veteran Program.
    Conclusions

    Through using a quantitative trait measure of PTSD, we identified novel risk loci not previously identified using prior case-control analyses. PTSD and LTE have a high genetic overlap that can be leveraged to increase discovery power through multivariate methods.
  • 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., Sanford, A. J., & Pickering, M. J. (2006). Covariation and quantifier polarity: What determines causal attribution in vignettes? Cognition, 99(1), 35-51. doi:10.1016/j.cognition.2004.12.004.

    Abstract

    Tests of causal attribution often use verbal vignettes, with covariation information provided through statements quantified with natural language expressions. The effect of covariation information has typically been taken to show that set size information affects attribution. However, recent research shows that quantifiers provide information about discourse focus as well as covariation information. In the attribution literature, quantifiers are used to depict covariation, but they confound quantity and focus. In four experiments, we show that focus explains all (Experiment 1) or some (Experiments 2, 3 and 4) of the impact of covariation information on the attributions made, confirming the importance of the confound. Attribution experiments using vignettes that present covariation information with natural language quantifiers may overestimate the impact of set size information, and ignore the impact of quantifier-induced focus.
  • Majid, A. (2006). Body part categorisation in Punjabi. Language Sciences, 28(2-3), 241-261. doi:10.1016/j.langsci.2005.11.012.

    Abstract

    A key question in categorisation is to what extent people categorise in the same way, or differently. This paper examines categorisation of the body in Punjabi, an Indo-European language spoken in Pakistan and India. First, an inventory of body part terms is presented, illustrating how Punjabi speakers segment and categorise the body. There are some noteworthy terms in the inventory, which illustrate categories in Punjabi that are unusual when compared to other languages presented in this volume. Second, Punjabi speakers’ conceptualisation of the relationship between body parts is explored. While some body part terms are viewed as being partonomically related, others are viewed as being in a locative relationship. It is suggested that there may be key ways in which languages differ in both the categorisation of the body into parts, and in how these parts are related to one another.

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