Publications

Displaying 301 - 400 of 710
  • Kempen, G., & Kolk, H. (1986). Het voortbrengen van normale en agrammatische taal. Van Horen Zeggen, 27(2), 36-40.
  • Kempen, G. (1971). Opslag van woordbetekenissen in het semantisch geheugen. Nijmeegs Tijdschrift voor Psychologie, 19, 36-50.
  • Kempen, G. (1987). Tekstverwerking: De vijfde generatie. Informatie, 29, 402-406.
  • Kempen, G. (1986). RIKS: Kennistechnologisch centrum voor bedrijfsleven en wetenschap. Informatie, 28, 122-125.
  • Kidd, E. (2012). Implicit statistical learning is directly associated with the acquisition of syntax. Developmental Psychology, 48(1), 171-184. doi:10.1037/a0025405.

    Abstract

    This article reports on an individual differences study that investigated the role of implicit statistical learning in the acquisition of syntax in children. One hundred children ages 4 years 5 months through 6 years 11 months completed a test of implicit statistical learning, a test of explicit declarative learning, and standardized tests of verbal and nonverbal ability. They also completed a syntactic priming task, which provided a dynamic index of children's facility to detect and respond to changes in the input frequency of linguistic structure. The results showed that implicit statistical learning ability was directly associated with the long-term maintenance of the primed structure. The results constitute the first empirical demonstration of a direct association between implicit statistical learning and syntactic acquisition in children.
  • Kidd, E. (2012). Individual differences in syntactic priming in language acquisition. Applied Psycholinguistics, 33(2), 393-418. doi:10.1017/S0142716411000415.

    Abstract

    Although the syntactic priming methodology is a promising tool for language acquisition researchers, using the technique with children raises issues that are not problematic in adult research. The current paper reports on an individual differences study that addressed some of these outstanding issues. (a) Does priming purely reflect syntactic knowledge, or are other processes involved? (b) How can we explain individual differences, which are the norm rather than the exception? (c) Do priming effects in developmental populations reflect the same mechanisms thought to be responsible for priming in adults? One hundred twenty-two (N = 122) children aged 4 years, 5 months (4;5)–6;11 (mean = 5;7) completed a syntactic priming task that aimed to prime the English passive construction, in addition to standardized tests of vocabulary, grammar, and nonverbal intelligence. The results confirmed the widely held assumption that syntactic priming reflects the presence of syntactic knowledge, but not in every instance. However, they also suggested that nonlinguistic processes contribute significantly to priming. Priming was in no way related to age. Finally, the children's linguistic knowledge and nonverbal ability determined the manner in which they were primed. The results provide a clearer picture of what it means to be primed in acquisition.
  • Kidd, L., & Rowland, C. F. (2021). The effect of language-focused professional development on the knowledge and behaviour of preschool practitioners. Journal of Early Childhood Literacy, 21(1), 27-59. doi:10.1177/1468798418803664.

    Abstract

    The purpose of this project was to investigate the effectiveness of a language-focused professional development programme on the knowledge and behaviour of preschool practitioners (sometimes called early years practitioners) in the UK. In Study 1 we determined whether the training received by practitioners is effective in improving their knowledge of how to support children’s language and communicative development. In Study 2 we tested whether trained practitioners, and practitioners from centres with embedded Language Champions, were able to implement the techniques they had been taught. For this, we video-recorded practitioners interacting, one to one, with 2- and 3–4-year-old children in their centres. We conclude that (1) practitioners retain the knowledge they have been taught, both about how children learn and about how to promote this learning, and that (2), in some respects, this knowledge translates well into practice; practitioners in centres with embedded Language Champions and trained practitioners used language-enriching behaviours when interacting with children more often than did untrained practitioners. We discuss how the translation of some techniques into overt behaviour could be made more effective

    Additional information

    Supplemental_material.pdf
  • Kim, S., Cho, T., & McQueen, J. M. (2012). Phonetic richness can outweigh prosodically-driven phonological knowledge when learning words in an artificial language. Journal of Phonetics, 40, 443-452. doi:10.1016/j.wocn.2012.02.005.

    Abstract

    How do Dutch and Korean listeners use acoustic–phonetic information when learning words in an artificial language? Dutch has a voiceless ‘unaspirated’ stop, produced with shortened Voice Onset Time (VOT) in prosodic strengthening environments (e.g., in domain-initial position and under prominence), enhancing the feature {−spread glottis}; Korean has a voiceless ‘aspirated’ stop produced with lengthened VOT in similar environments, enhancing the feature {+spread glottis}. Given this cross-linguistic difference, two competing hypotheses were tested. The phonological-superiority hypothesis predicts that Dutch and Korean listeners should utilize shortened and lengthened VOTs, respectively, as cues in artificial-language segmentation. The phonetic-superiority hypothesis predicts that both groups should take advantage of the phonetic richness of longer VOTs (i.e., their enhanced auditory–perceptual robustness). Dutch and Korean listeners learned the words of an artificial language better when word-initial stops had longer VOTs than when they had shorter VOTs. It appears that language-specific phonological knowledge can be overridden by phonetic richness in processing an unfamiliar language. Listeners nonetheless performed better when the stimuli were based on the speech of their native languages, suggesting that the use of richer phonetic information was modulated by listeners' familiarity with the stimuli.
  • Kim, A., & Lai, V. T. (2012). Rapid interactions between lexical semantic and word form analysis during word recognition in context: Evidence from ERPs. Journal of Cognitive Neuroscience, 24, 1104-1112. doi:10.1162/jocn_a_00148.

    Abstract

    We used event-related potentials (ERPs) to investigate the timecourse of interactions between lexical-semantic and sub-lexical visual word-form processing during word recognition. Participants read sentence-embedded pseudowords that orthographically resembled a contextually-supported real word (e.g., “She measured the flour so she could bake a ceke …”) or did not (e.g., “She measured the flour so she could bake a tont …”) along with nonword consonant strings (e.g., “She measured the flour so she could bake a srdt …”). Pseudowords that resembled a contextually-supported real word (“ceke”) elicited an enhanced positivity at 130 msec (P130), relative to real words (e.g., “She measured the flour so she could bake a cake …”). Pseudowords that did not resemble a plausible real word (“tont”) enhanced the N170 component, as did nonword consonant strings (“srdt”). The effect pattern shows that the visual word recognition system is, perhaps counterintuitively, more rapidly sensitive to minor than to flagrant deviations from contextually-predicted inputs. The findings are consistent with rapid interactions between lexical and sub-lexical representations during word recognition, in which rapid lexical access of a contextually-supported word (CAKE) provides top-down excitation of form features (“cake”), highlighting the anomaly of an unexpected word “ceke”.
  • Kim, S., Broersma, M., & Cho, T. (2012). The use of prosodic cues in learning new words in an unfamiliar language. Studies in Second Language Acquisition, 34, 415-444. doi:10.1017/S0272263112000137.

    Abstract

    The artificial language learning paradigm was used to investigate to what extent the use of prosodic features is universally applicable or specifically language driven in learning an unfamiliar language, and how nonnative prosodic patterns can be learned. Listeners of unrelated languages—Dutch (n = 100) and Korean (n = 100)—participated. The words to be learned varied with prosodic cues: no prosody, fundamental frequency (F0) rise in initial and final position, final lengthening, and final lengthening plus F0 rise. Both listener groups performed well above chance level with the final lengthening cue, confirming its crosslinguistic use. As for final F0 rise, however, Dutch listeners did not use it until the second exposure session, whereas Korean listeners used it at initial exposure. Neither group used initial F0 rise. On the basis of these results, F0 and durational cues appear to be universal in the sense that they are used across languages for their universally applicable auditory-perceptual saliency, but how they are used is language specific and constrains the use of available prosodic cues in processing a nonnative language. A discussion on how these findings bear on theories of second language (L2) speech perception and learning is provided.
  • Kinoshita, S., & Verdonschot, R. G. (2021). Phonological encoding is free from orthographic influence: evidence from a picture variant of the phonological Stroop task. Psychological Research, 85, 1340-1347. doi:10.1007/s00426-020-01315-2.

    Abstract

    The phonological Stroop task, in which the participant names the color of written distractors, is being used increasingly to study the phonological encoding process in speech production. A brief review of experimental paradigms used to study the phonological encoding process indicated that currently it is not known whether the onset overlap benefit (faster color naming when the distractor shares the onset segment with the color name) in a phonological Stroop task is due to phonology or orthography. The present paper investigated this question using a picture variant of the phonological Stroop task. Participants named a small set of line drawings of animals (e.g., camel) with a pseudoword distractor printed on it. Picture naming was facilitated when the distractor shared the onset segment with the picture name regardless of orthographic overlap (CUST–camel = KUST–camel < NUST–camel). We conclude that the picture variant of the phonological Stroop task is a useful tool to study the phonological encoding process, free of orthographic influence.

    Additional information

    426_2020_1315_MOESM1_ESM.docx
  • Kinoshita, S., Yu, L., Verdonschot, R. G., & Norris, D. (2021). Letter identity and visual similarity in the processing of diacritic letters. Memory & Cognition, 49(4), 815-825. doi:10.3758/s13421-020-01125-2.

    Abstract

    Are letters with a diacritic (e.g., a) recognized as a variant of the base letter (e.g., a), or as a separate letter identity? Two recent masked priming studies, one in French and one in Spanish, investigated this question, concluding that this depends on the language-specific linguistic function served by the diacritic. Experiment 1 tested this linguistic function hypothesis using Japanese kana, in which diacritics signal consonant voicing, and like French and unlike Spanish, provide lexical contrast. Contrary to the hypothesis, Japanese kana yielded the pattern of diacritic priming like Spanish. Specifically, for a target kana with a diacritic (e.g., (sic), /ga/), the kana prime without the diacritic (e.g., (sic), /ka/) facilitated recognition almost as much as the identity prime (e.g., (sic) = (sic)), whereas for a target kana without a diacritic, the kana prime with the diacritic produced less facilitation than the identity prime (e.g., (sic) < (sic)). We suggest that the pattern of diacritic priming has little to do with linguistic function, and instead it stems from a general property of visual object recognition. Experiment 2 tested this hypothesis using visually similar letters of the Latin alphabet that differ in the presence/absence of a visual feature (e.g., O and Q). The same asymmetry in priming was observed. These findings are consistent with the noisy channel model of letter/word recognition (Norris & Kinoshita, Psychological Review, 119, 517-545, 2012a).
  • Kirjavainen, M., Nikolaev, A., & Kidd, E. (2012). The effect of frequency and phonological neighbourhood density on the acquisition of past tense verbs by Finnish children. Cognitive Linguistics, 23(2), 273-315. doi:10.1515/cog-2012-0009.

    Abstract

    The acquisition of the past tense has received substantial attention in the psycholinguistics literature, yet most studies report data from English or closely related Indo-European languages. We report on a past tense elicitation study on 136 4–6-year-old children that were acquiring a highly inflected Finno-Ugric (Uralic) language—Finnish. The children were tested on real and novel verbs (N = 120) exhibiting (1) productive, (2) semi-productive, or (3) non-productive inflectional processes manipulated for frequency and phonological neighbourhood density (PND). We found that Finnish children are sensitive to lemma/base frequency and PND when processing inflected words, suggesting that even though children were using suffixation processes, they were also paying attention to the item level properties of the past tense verbs. This paper contributes to the growing body of research suggesting a single analogical/associative mechanism is sufficient in processing both productive (i.e., regular-like) and non-productive (i.e., irregular-like) words. We argue that seemingly rule-like elements in inflectional morphology are an emergent property of the lexicon.
  • Klein, W. (2021). Another analysis of counterfactuality: Replies. Theoretical Linguistics, 47, 313-349. doi:10.1515/tl-2021-2028.
  • Klein, W. (2021). Another way to look at counterfactuals. Theoretical Linguistics, 47, 189-226. doi:10.1515/tl-2021-2019.

    Abstract

    Counterfactuals such as If the world did not exist, we would not notice it have been a challenge for philosophers and linguists since antiquity. There is no generally accepted semantic analysis. The prevalent view, developed in varying forms by Robert Stalnaker, David Lewis, and others, enriches the idea of strict implication by the idea of a “minimal revision” of the actual world. Objections mainly address problems of maximal similarity between worlds. In this paper, I will raise several problems of a different nature and draw attention to several phenomena that are relevant for counterfactuality but rarely discussed in that context. An alternative analysis that is very close to the linguistic facts is proposed. A core notion is the “situation talked about”: it makes little sense to discuss whether an assertion is true or false unless it is clear which situation is talked about. In counterfactuals, this situation is marked as not belonging to the actual world. Typically, this is done in the form of the finite verb in the main clause. The if-clause is optional and has only a supportive role: it provides information about the world to which the situation talked about belongs. Counterfactuals only speak about some nonactual world, of which we only know what results from the protasis. In order to judge them as true or false, an additional assumption is required: they are warranted according to the same criteria that warrant the corresponding indicative assertion. Overall similarity between worlds is irrelevant.
  • Klein, W., & Musan, R. (Eds.). (1999). Das deutsche Perfekt [Special Issue]. Zeitschrift für Literaturwissenschaft und Linguistik, (113).
  • Klein, W. (1987). Das Geltende, oder: System der Überzeugungen. Zeitschrift für Literaturwissenschaft und Linguistik, (64), 10-31.
  • Klein, W. (1986). Der Wahn vom Sprachverfall und andere Mythen. Zeitschrift für Literaturwissenschaft und Linguistik, 62, 11-28.
  • Klein, W. (1987). Eine Verschärfung des Entscheidungsproblems. Rechtshistorisches Journal, 6, 209-210.
  • Klein, W. (1986). Einleitung. Zeitschrift für Literaturwissenschaft und Linguistik; Metzler, Stuttgart, 16(62), 9-10.
  • Klein, W. (1971). Eine kommentierte Bibliographie zur Computerlinguistik. Linguistische Berichte, (11), 101-134.
  • Klein, W. (1991). Geile Binsenbüschel, sehr intime Gespielen: Ein paar Anmerkungen über Arno Schmidt als Übersetzer. Zeitschrift für Literaturwissenschaft und Linguistik, 84, 124-129.
  • Klein, W., & Von Stutterheim, C. (1987). Quaestio und referentielle Bewegung in Erzählungen. Linguistische Berichte, 109, 163-183.
  • Klein, W. (1991). Raumausdrücke. Linguistische Berichte, 132, 77-114.
  • Klein, W., & Von Stutterheim, C. (1991). Text structure and referential movement. Arbeitsberichte des Forschungsprogramms S&P: Sprache und Pragmatik, 22.
  • Klein, W. (Ed.). (1987). Sprache und Ritual [Special Issue]. Zeitschrift für Literaturwissenschaft und Linguistik, (65).
  • Klein, W. (Ed.). (1986). Sprachverfall [Special Issue]. Zeitschrift für Literaturwissenschaft und Linguistik, (62).
  • Klein, W. (1991). Was kann sich die Übersetzungswissenschaft von der Linguistik erwarten? Zeitschrift für Literaturwissenschaft und Linguistik, 84, 104-123.
  • Klein, W. (1999). Wie sich das deutsche Perfekt zusammensetzt. Zeitschrift für Literaturwissenschaft und Linguistik; Metzler, Stuttgart, (113), 52-85.
  • Klein, W. (1986). Über Ansehen und Wirkung der deutschen Sprachwissenschaft heute. Linguistische Berichte, 100, 511-520.
  • Knooihuizen, R., & Dediu, D. (2012). Historical demography and historical sociolinguistics: The role of migrant integration in the development of Dunkirk French in the 17th century. Language dynamics and change, 2(1), 1-33. doi:10.1163/221058212X653067.

    Abstract

    Widespread minority language shift in Early Modern Europe is often ascribed to restrictive language policies and the migration of both majority- and minority-language speakers. However, without a sociohistorically credible account of the mechanisms through which these events caused a language shift, these policies lack explanatory power. Inspired by research on 'language histories from below,' we present an integrated sociohistorical and linguistic account that can shed light on the procresses taking place during a case of language shift in the 17th and 18th centuries. We present and analyze demographic data on the immigration and integration of French speakers in previously Dutch-speaking Dunkirk in this period, showing how moderate intermarriage of immigrants and locals could have represented a motive and a mechanism for language shift against a backdrop of larger language-political processes. We then discuss the modern language-shift dialect of Dunkirk in comparison with different dialects of French. The linguistic data suggests a large influence from the dialects of migrants, underlining their role in the language shift process. The combination of sociohistorical and linguistic evidence gives us a better understanding of language shift in this period, showing the value of an integrated 'from below' approach.
  • Knudsen, B., & Liszkowski, U. (2012). Eighteen- and 24-month-old infants correct others in anticipation of action mistakes. Developmental Science, 15, 113-122. doi:10.1111/j.1467-7687.2011.01098.x.

    Abstract

    Much of human communication and collaboration is predicated on making predictions about others’ actions. Humans frequently use predictions about others’ action mistakes to correct others and spare them mistakes. Such anticipatory correcting reveals a social motivation for unsolicited helping. Cognitively, it requires forward inferences about others’ actions through mental attributions of goal and reality representations. The current study shows that infants spontaneously intervene when an adult is mistaken about the location of an object she is about to retrieve. Infants pointed out a correct location for an adult before she was about to commit a mistake. Infants did not intervene in control conditions when the adult had witnessed the misplacement, or when she did not intend to retrieve the misplaced object. Results suggest that preverbal infants anticipate a person’s mistaken action through mental attributions of both her goal and reality representations, and correct her proactively by spontaneously providing unsolicited information.
  • Knudsen, B., & Liszkowski, U. (2012). 18-month-olds predict specific action mistakes through attribution of false belief, not ignorance, and intervene accordingly. Infancy, 17, 672-691. doi:10.1111/j.1532-7078.2011.00105.x.

    Abstract

    This study employed a new “anticipatory intervening” paradigm to tease apart false belief and ignorance-based interpretations of 18-month-olds’ helpful informing. We investigated in three experiments whether 18-month-old infants inform an adult selectively about one of the two locations depending on the adult’s belief about which of the two locations held her toy. In experiments 1 and 2, the adult falsely believed that one of the locations held her toy. In experiment 3, the adult was ignorant about which of the two locations held her toy. In all cases, however, the toy had been removed from the locations and the locations contained instead materials which the adult wanted to avoid. In experiments 1 and 2, infants spontaneously and selectively informed the adult about the aversive material in the location the adult falsely believed to hold her toy. In contrast, in experiment 3, infants informed the ignorant adult about both locations equally. Results reveal that infants expected the adult to commit a specific action mistake when she held a false belief, but not when she was ignorant. Further, infants were motivated to intervene proactively. Findings reveal a predictive action-based usage of “theory-of-mind” skills at 18 months of age.
  • Knudsen, B., Henning, A., Wunsch, K., Weigelt, M., & Aschersleben, G. (2012). The end-state comfort effect in 3- to 8-year-old children in two object manipulation tasks. Frontiers in Psychology, 3: 445. doi:10.3389/fpsyg.2012.00445.

    Abstract

    The aim of the study was to compare 3- to 8-year-old children’s propensity to antici- pate a comfortable hand posture at the end of a grasping movement ( end-state comfort effect ) between two different object manipulation tasks, the bar-transport task, and the overturned-glass task. In the bar-transport task, participants were asked to insert a verti- cally positioned bar into a small opening of a box. In the overturned-glass task, participants were asked to put an overturned-glass right-side-up on a coaster. Half of the participants experienced action effects (lights) as a consequence of their movements (AE groups), while the other half of the participants did not (No-AE groups). While there was no differ- ence between the AE and No-AE groups, end-state comfort performance differed across age as well as between tasks. Results revealed a significant increase in end-state comfort performance in the bar-transport task from 13% in the 3-year-olds to 94% in the 8-year- olds. Interestingly, the number of children grasping the bar according to end-state comfort doubled from 3 to 4 years and from 4 to 5 years of age. In the overturned-glass task an increase in end-state comfort performance from already 63% in the 3-year-olds to 100% in the 8-year-olds was significant as well. When comparing end-state comfort performance across tasks, results showed that 3- and 4-year-old children were better at manipulating the glass as compared to manipulating the bar, most probably, because children are more familiar with manipulating glasses. Together, these results suggest that preschool years are an important period for the development of motor planning in which the familiarity with the object involved in the task plays a significant role in children’s ability to plan their movements according to end-state comfort.
  • Kochari, A. R., Lewis, A. G., Schoffelen, J.-M., & Schriefers, H. (2021). Semantic and syntactic composition of minimal adjective-noun phrases in Dutch: An MEG study. Neuropsychologia, 155: 107754. doi:10.1016/j.neuropsychologia.2021.107754.

    Abstract

    The possibility to combine smaller units of meaning (e.g., words) to create new and more complex meanings (e.g., phrases and sentences) is a fundamental feature of human language. In the present project, we investigated how the brain supports the semantic and syntactic composition of two-word adjective-noun phrases in Dutch, using magnetoencephalography (MEG). The present investigation followed up on previous studies reporting a composition effect in the left anterior temporal lobe (LATL) when comparing neural activity at nouns combined with adjectives, as opposed to nouns in a non-compositional context. The first aim of the present study was to investigate whether this effect, as well as its modulation by noun specificity and adjective class, can also be observed in Dutch. A second aim was to investigate to what extent these effects may be driven by syntactic composition rather than primarily by semantic composition as was previously proposed. To this end, a novel condition was administered in which participants saw nouns combined with pseudowords lacking meaning but agreeing with the nouns in terms of grammatical gender, as real adjectives would. We failed to observe a composition effect or its modulation in both a confirmatory analysis (focused on the cortical region and time-window where it has previously been reported) and in exploratory analyses (where we tested multiple regions and an extended potential time-window of the effect). A syntactically driven composition effect was also not observed in our data. We do, however, successfully observe an independent, previously reported effect on single word processing in our data, confirming that our MEG data processing pipeline does meaningfully capture language processing activity by the brain. The failure to observe the composition effect in LATL is surprising given that it has been previously reported in multiple studies. Reviewing all previous studies investigating this effect, we propose that materials and a task involving imagery might be necessary for this effect to be observed. In addition, we identified substantial variability in the regions of interest analyzed in previous studies, which warrants additional checks of robustness of the effect. Further research should identify limits and conditions under which this effect can be observed. The failure to observe specifically a syntactic composition effect in such minimal phrases is less surprising given that it has not been previously reported in MEG data.
  • Kong, X., Postema, M., Schijven, D., Carrion Castillo, A., Pepe, A., Crivello, F., Joliot, M., Mazoyer, B., Fisher, S. E., & Francks, C. (2021). Large-scale phenomic and genomic analysis of brain asymmetrical skew. Cerebral Cortex, 31(9), 4151-4168. doi:10.1093/cercor/bhab075.

    Abstract

    The human cerebral hemispheres show a left–right asymmetrical torque pattern, which has been claimed to be absent in chimpanzees. The functional significance and developmental mechanisms are unknown. Here, we carried out the largest-ever analysis of global brain shape asymmetry in magnetic resonance imaging data. Three population datasets were used, UK Biobank (N = 39 678), Human Connectome Project (N = 1113), and BIL&GIN (N = 453). At the population level, there was an anterior and dorsal skew of the right hemisphere, relative to the left. Both skews were associated independently with handedness, and various regional gray and white matter metrics oppositely in the two hemispheres, as well as other variables related to cognitive functions, sociodemographic factors, and physical and mental health. The two skews showed single nucleotide polymorphisms-based heritabilities of 4–13%, but also substantial polygenicity in causal mixture model analysis, and no individually significant loci were found in genome-wide association studies for either skew. There was evidence for a significant genetic correlation between horizontal brain skew and autism, which requires future replication. These results provide the first large-scale description of population-average brain skews and their inter-individual variations, their replicable associations with handedness, and insights into biological and other factors which associate with human brain asymmetry.
  • Konishi, M., Verdonschot, R. G., & Kakimoto, N. (2021). An investigation of tooth loss factors in elderly patients using panoramic radiographs. Oral Radiology, 37(3), 436-442. doi:10.1007/s11282-020-00475-6.

    Abstract

    Objectives The aim of this study was to observe the dental condition in a group of elderly patients over a period of 10 years in order to clarify important risk factors. Materials and methods Participants were elderly patients (in their eighties) who took panoramic radiographs between 2015 and 2016, and for whom panoramic radiographs taken around 10 year earlier were also available. The number of remaining and lost teeth, the Eichner Index, the presence or absence of molar occlusion, the respective condition of dental pulp, dental crowns, alveolar bone resorption, as well as periapical lesions were investigated through the analysis of panoramic radiographs. Additionally, other important variables were collected from patients' medical records. From the obtained panoramic radiograph sets, the patients' dental condition was investigated, and a systematic comparison was conducted. Results The analysis of the panoramic radiographs showed that the number of remaining teeth decreased from an average of 20.8-15.5, and the percentage of patients with 20 or more teeth decreased from 69.2 to 26.9%. A factor analysis investigating tooth loss risk suggested that tooth loss was associated with the bridge, P2 or greater resorption of the alveolar bone, and apical lesions, and gender (with males having a higher risk compared to females). Conclusions Teeth showing P2 or greater alveolar bone resorption, bridge, and apical lesions on panoramic radiographs are most likely to be lost in an elderly patient's near future. Consequently, this group should be encouraged to visit their dental clinics regularly and receive comprehensive instruction on individual self-care methods.
  • Konishi, M., Fujita, M., Shimabukuro, K., Wongratwanich, P., Verdonschot, R. G., & Kakimoto, N. (2021). Intraoral ultrasonographic features of tongue cancer and the incidence of cervical lymph node metastasis. Journal of Oral and Maxillofacial Surgery, 79(4), 932-939. doi:10.1016/j.joms.2020.09.006.

    Abstract

    Purpose: The purpose of this study was to investigate the relationship between the visual characteristics of tongue lesion images obtained through intraoral ultrasonographic examination and the occurrence of late cervical lymph node metastasis in patients with tongue cancer.
    Patients and Methods: This study investigated patients with primary tongue cancer who were examined using intraoral ultrasonography at Hiroshima University Hospital between January 2014 and December 2017. The inclusion criteria were squamous cell carcinoma, curative treatment administration, lateral side of tongue, surgery or brachytherapy alone, no cervical lymph node or distant metastasis as primary treatment, and treatment in our hospital. The exclusion criteria were carcinoma in situ, palliative treatment, dorsum of tongue, and multiple primary cancers. The follow-up period was more than 1 year. The primary endpoint was the occurrence of late cervical lymph node metastasis, and the primary predictor variables were age, gender, longest diameter, thickness, margin or border shapes of the lesion, and treatment methods. The relationship between the occurrence of late cervical lymph node metastasis and the longest diameter, thickness, margin types, and border types as evaluated through intraoral ultrasonography were assessed. The data were collected through a retrospective chart review.
    Results: Fifty-four patients were included in this study. The analysis indicated that irregular lesion margins were significantly associated with the occurrence of late cervical lymph node metastasis (P < .0001). The cutoff value for late cervical lymph node metastasis was 21.2 mm for the longest diameter and 3.9 mm for the thickness.
    Conclusions: The results of this study indicates that the irregular lesion margin assessed using intraoral ultrasonography may serve as an effective predictor of late cervical lymph node metastasis in N0 cases. (C) 2020 American Association of Oral and Maxillofacial Surgeons
  • Konishi, M., Fujita, M., Takeuchi, Y., Kubo, K., Imano, N., Nishibuchi, I., Murakami, Y., Shimabukuro, K., Wongratwanich, P., Verdonschot, R. G., Kakimoto, N., & Nagata, Y. (2021). Treatment outcomes of real-time intraoral sonography-guided implantation technique of 198Au grain brachytherapy for T1 and T2 tongue cancer. Journal of Radiation Research, 62(5), 871-876. doi:10.1093/jrr/rrab059.

    Abstract

    It is often challenging to determine the accurate size and shape of oral lesions through computed tomography (CT) or magnetic resonance imaging (MRI) when they are very small or obscured by metallic artifacts, such as dental prostheses. Intraoral ultrasonography (IUS) has been shown to be beneficial in obtaining precise information about total tumor extension, as well as the exact location and guiding the insertion of catheters during interstitial brachytherapy. We evaluated the role of IUS in assessing the clinical outcomes of interstitial brachytherapy with 198Au grains in tongue cancer through a retrospective medical chart review. The data from 45 patients with T1 (n = 21) and T2 (n = 24) tongue cancer, who were mainly treated with 198Au grain implants between January 2005 and April 2019, were included in this study. 198Au grain implantations were carried out, and positioning of the implants was confirmed by IUS, to ensure that 198Au grains were appropriately placed for the deep border of the tongue lesion. The five-year local control rates of T1 and T2 tongue cancers were 95.2% and 95.5%, respectively. We propose that the use of IUS to identify the extent of lesions and the position of implanted grains is effective when performing brachytherapy with 198Au grains.
  • Konopka, A. E. (2012). Planning ahead: How recent experience with structures and words changes the scope of linguistic planning. Journal of Memory and Language, 66, 143-162. doi:10.1016/j.jml.2011.08.003.

    Abstract

    The scope of linguistic planning, i.e., the amount of linguistic information that speakers prepare in advance for an utterance they are about to produce, is highly variable. Distinguishing between possible sources of this variability provides a way to discriminate between production accounts that assume structurally incremental and lexically incremental sentence planning. Two picture-naming experiments evaluated changes in speakers’ planning scope as a function of experience with message structure, sentence structure, and lexical items. On target trials participants produced sentences beginning with two semantically related or unrelated objects in the same complex noun phrase. To manipulate familiarity with sentence structure, target displays were preceded by prime displays that elicited the same or different sentence structures. To manipulate ease of lexical retrieval, target sentences began either with the higher-frequency or lower-frequency member of each semantic pair. The results show that repetition of sentence structure can extend speakers’ scope of planning from one to two words in a complex noun phrase, as indexed by the presence of semantic interference in structurally primed sentences beginning with easily retrievable words. Changes in planning scope tied to experience with phrasal structures favor production accounts assuming structural planning in early sentence formulation.
  • Korecky-Kröll, K., Libben, G., Stempfer, N., Wiesinger, J., Reinisch, E., Bertl, J., & Dressler, W. U. (2012). Helping a crocodile to learn German plurals: Children’s online judgment of actual, potential and illegal plural forms. Morphology, 22, 35-65. doi:10.1007/s11525-011-9191-8.

    Abstract

    A substantial tradition of linguistic inquiry has framed the knowledge of native speakers in terms of their ability to determine the grammatical acceptability of language forms that they encounter for the first time. In the domain of morphology, the productivity framework of Dressler (CLASNET Working papers 7, 1997) has emphasized the importance of this ability in terms of the graded potentiality of non-existing multimorphemic forms. The goal of this study was to investigate what role the notion of potentiality plays in online lexical well-formedness judgment among children who are native speakers of Austrian German. A total of 114 children between the ages of six and ten and a total of 40 adults between the ages of 18 and 30 (as a comparison group) participated in an online well-formedness judgment task which focused on pluralized German nouns. Concrete, picturable, high frequency German nouns were presented in three pluralized forms: (a) actual existing plural form, (b) morphologically illegal plural form, (c) potential (but not existing) plural form. Participants were shown pictures of the nouns (as a set of three identical items) and simultaneously heard one of three pluralized forms for each noun. Response latency and judgment type served as dependent variables. Results indicate that both children and adults are sensitive to the distinction between illegal and potential forms (neither of which they would have encountered). For all participants, plural frequency (rather than frequency of the singular form) affected responses for both existing and non-existing words. Other factors increasing acceptability were the presence of supplementary umlaut in addition to suffixation and homophony with existing words or word forms.
  • Kos, M., Van den Brink, D., Snijders, T. M., Rijpkema, M., Franke, B., Fernandez, G., Hagoort, P., & Whitehouse, A. (2012). CNTNAP2 and language processing in healthy individuals as measured with ERPs. PLoS One, 7(10), e46995. doi:10.1371/journal.pone.0046995.

    Abstract

    The genetic FOXP2-CNTNAP2 pathway has been shown to be involved in the language capacity. We investigated whether a common variant of CNTNAP2 (rs7794745) is relevant for syntactic and semantic processing in the general population by using a visual sentence processing paradigm while recording ERPs in 49 healthy adults. While both AA homozygotes and T-carriers showed a standard N400 effect to semantic anomalies, the response to subject-verb agreement violations differed across genotype groups. T-carriers displayed an anterior negativity preceding the P600 effect, whereas for the AA group only a P600 effect was observed. These results provide another piece of evidence that the neuronal architecture of the human faculty of language is shaped differently by effects that are genetically determined.
  • Kos, M., Van den Brink, D., & Hagoort, P. (2012). Individual variation in the late positive complex to semantic anomalies. Frontiers in Psychology, 3, 318. doi:10.3389/fpsyg.2012.00318.

    Abstract

    It is well-known that, within ERP paradigms of sentence processing, semantically anomalous words elicit N400 effects. Less clear, however, is what happens after the N400. In some cases N400 effects are followed by Late Positive Complexes (LPC), whereas in other cases such effects are lacking. We investigated several factors which could affect the LPC, such as contextual constraint, inter-individual variation and working memory. Seventy-two participants read sentences containing a semantic manipulation (Whipped cream tastes sweet/anxious and creamy). Neither contextual constraint nor working memory correlated with the LPC. Inter-individual variation played a substantial role in the elicitation of the LPC with about half of the participants showing a negative response and the other half showing an LPC. This individual variation correlated with a syntactic ERP as well as an alternative semantic manipulation. In conclusion, our results show that inter-individual variation plays a large role in the elicitation of the LPC and this may account for the diversity in LPC findings in language research.
  • Kösem, A., & van Wassenhove, V. (2012). Temporal Structure in Audiovisual Sensory Selection. PLoS One, 7(7): e40936. doi:10.1371/journal.pone.0040936.

    Abstract

    In natural environments, sensory information is embedded in temporally contiguous streams of events. This is typically the case when seeing and listening to a speaker or when engaged in scene analysis. In such contexts, two mechanisms are needed to single out and build a reliable representation of an event (or object): the temporal parsing of information and the selection of relevant information in the stream. It has previously been shown that rhythmic events naturally build temporal expectations that improve sensory processing at predictable points in time. Here, we asked to which extent temporal regularities can improve the detection and identification of events across sensory modalities. To do so, we used a dynamic visual conjunction search task accompanied by auditory cues synchronized or not with the color change of the target (horizontal or vertical bar). Sounds synchronized with the visual target improved search efficiency for temporal rates below 1.4 Hz but did not affect efficiency above that stimulation rate. Desynchronized auditory cues consistently impaired visual search below 3.3 Hz. Our results are interpreted in the context of the Dynamic Attending Theory: specifically, we suggest that a cognitive operation structures events in time irrespective of the sensory modality of input. Our results further support and specify recent neurophysiological findings by showing strong temporal selectivity for audiovisual integration in the auditory-driven improvement of visual search efficiency.
  • Kreuzer, H. (Ed.). (1971). Methodische Perspektiven [Special Issue]. Zeitschrift für Literaturwissenschaft und Linguistik, (1/2).
  • Kurt, S., Fisher, S. E., & Ehret, G. (2012). Foxp2 mutations impair auditory-motor-association learning. PLoS One, 7(3), e33130. doi:10.1371/journal.pone.0033130.

    Abstract

    Heterozygous mutations of the human FOXP2 transcription factor gene cause the best-described examples of monogenic speech and language disorders. Acquisition of proficient spoken language involves auditory-guided vocal learning, a specialized form of sensory-motor association learning. The impact of etiological Foxp2 mutations on learning of auditory-motor associations in mammals has not been determined yet. Here, we directly assess this type of learning using a newly developed conditioned avoidance paradigm in a shuttle-box for mice. We show striking deficits in mice heterozygous for either of two different Foxp2 mutations previously implicated in human speech disorders. Both mutations cause delays in acquiring new motor skills. The magnitude of impairments in association learning, however, depends on the nature of the mutation. Mice with a missense mutation in the DNA-binding domain are able to learn, but at a much slower rate than wild type animals, while mice carrying an early nonsense mutation learn very little. These results are consistent with expression of Foxp2 in distributed circuits of the cortex, striatum and cerebellum that are known to play key roles in acquisition of motor skills and sensory-motor association learning, and suggest differing in vivo effects for distinct variants of the Foxp2 protein. Given the importance of such networks for the acquisition of human spoken language, and the fact that similar mutations in human FOXP2 cause problems with speech development, this work opens up a new perspective on the use of mouse models for understanding pathways underlying speech and language disorders.
  • Lai, V. T., Hagoort, P., & Casasanto, D. (2012). Affective primacy vs. cognitive primacy: Dissolving the debate. Frontiers in Psychology, 3, 243. doi:10.3389/fpsyg.2012.00243.

    Abstract

    When people see a snake, they are likely to activate both affective information (e.g., dangerous) and non-affective information about its ontological category (e.g., animal). According to the Affective Primacy Hypothesis, the affective information has priority, and its activation can precede identification of the ontological category of a stimulus. Alternatively, according to the Cognitive Primacy Hypothesis, perceivers must know what they are looking at before they can make an affective judgment about it. We propose that neither hypothesis holds at all times. Here we show that the relative speed with which affective and non-affective information gets activated by pictures and words depends upon the contexts in which stimuli are processed. Results illustrate that the question of whether affective information has processing priority over ontological information (or vice versa) is ill posed. Rather than seeking to resolve the debate over Cognitive vs. Affective Primacy in favor of one hypothesis or the other, a more productive goal may be to determine the factors that cause affective information to have processing priority in some circumstances and ontological information in others. Our findings support a view of the mind according to which words and pictures activate different neurocognitive representations every time they are processed, the specifics of which are co-determined by the stimuli themselves and the contexts in which they occur.
  • Lattenkamp, E. Z., Hörpel, S. G., Mengede, J., & Firzlaff, U. (2021). A researcher’s guide to the comparison of vocal production learning. Philosophical Transactions of the Royal Society of London, Series B: Biological Sciences, 376: 20200237. doi:10.1098/rstb.2020.0237.

    Abstract

    Vocal production learning (VPL) is the capacity to learn to produce new vocalizations, which is a rare ability in the animal kingdom and thus far has only been identified in a handful of mammalian taxa and three groups of birds. Over the last few decades, approaches to the demonstration of VPL have varied among taxa, sound production systems and functions. These discrepancies strongly impede direct comparisons between studies. In the light of the growing number of experimental studies reporting VPL, the need for comparability is becoming more and more pressing. The comparative evaluation of VPL across studies would be facilitated by unified and generalized reporting standards, which would allow a better positioning of species on any proposed VPL continuum. In this paper, we specifically highlight five factors influencing the comparability of VPL assessments: (i) comparison to an acoustic baseline, (ii) comprehensive reporting of acoustic parameters, (iii) extended reporting of training conditions and durations, (iv) investigating VPL function via behavioural, perception-based experiments and (v) validation of findings on a neuronal level. These guidelines emphasize the importance of comparability between studies in order to unify the field of vocal learning.
  • Lattenkamp, E. Z., Linnenschmidt, M., Mardus, E., Vernes, S. C., Wiegrebe, L., & Schutte, M. (2021). The vocal development of the pale spear-nosed bat is dependent on auditory feedback. Philosophical Transactions of the Royal Society of London, Series B: Biological Sciences, 376: 20200253. doi:10.1098/rstb.2020.0253.

    Abstract

    Human vocal development and speech learning require acoustic feedback, and
    humans who are born deaf do not acquire a normal adult speech capacity. Most
    other mammals display a largely innate vocal repertoire. Like humans, bats are
    thought to be one of the few taxa capable of vocal learning as they can acquire
    new vocalizations by modifying vocalizations according to auditory experiences.
    We investigated the effect of acoustic deafening on the vocal development of the
    pale spear-nosed bat. Three juvenile pale spear-nosed bats were deafened, and
    their vocal development was studied in comparison with an age-matched, hear-
    ing control group. The results show that during development the deafened bats
    increased their vocal activity, and their vocalizations were substantially altered,
    being much shorter, higher in pitch, and more aperiodic than the vocalizations
    of the control animals. The pale spear-nosed bat relies on auditory feedback
    for vocal development and, in the absence of auditory input, species-atypical
    vocalizations are acquired. This work serves as a basis for further research
    using the pale spear-nosed bat as a mammalian model for vocal learning, and
    contributes to comparative studies on hearing impairment across species.
    This article is part of the theme issue ‘Vocal learning in animals and
    humans’.
  • Lattenkamp, E. Z., Nagy, M., Drexl, M., Vernes, S. C., Wiegrebe, L., & Knörnschild, M. (2021). Hearing sensitivity and amplitude coding in bats are differentially shaped by echolocation calls and social calls. Proceedings of the Royal Society B: Biological Sciences, 288(1942): 20202600. doi:10.1098/rspb.2020.2600.

    Abstract

    Differences in auditory perception between species are influenced by phylogenetic origin and the perceptual challenges imposed by the natural environment, such as detecting prey- or predator-generated sounds and communication signals. Bats are well suited for comparative studies on auditory perception since they predominantly rely on echolocation to perceive the world, while their social calls and most environmental sounds have low frequencies. We tested if hearing sensitivity and stimulus level coding in bats differ between high and low-frequency ranges by measuring auditory brainstem responses (ABRs) of 86 bats belonging to 11 species. In most species, auditory sensitivity was equally good at both high- and low-frequency ranges, while amplitude was more finely coded for higher frequency ranges. Additionally, we conducted a phylogenetic comparative analysis by combining our ABR data with published data on 27 species. Species-specific peaks in hearing sensitivity correlated with peak frequencies of echolocation calls and pup isolation calls, suggesting that changes in hearing sensitivity evolved in response to frequency changes of echolocation and social calls. Overall, our study provides the most comprehensive comparative assessment of bat hearing capacities to date and highlights the evolutionary pressures acting on their sensory perception.

    Additional information

    data
  • Law, R., & Pylkkänen, L. (2021). Lists with and without syntax: A new approach to measuring the neural processing of syntax. The Journal of Neuroscience, 41(10), 2186-2196. doi:10.1523/JNEUROSCI.1179-20.2021.

    Abstract

    In the neurobiology of language, a fundamental challenge is deconfounding syntax from semantics. Changes in syntactic structure usually correlate with changes in meaning. We approached this challenge from a new angle. We deployed word lists, which are usually the unstructured control in studies of syntax, as both the test and the control stimulus. Three-noun lists (lamps, dolls, guitars) were embedded in sentences (The eccentric man hoarded lamps, dolls, guitars…) and in longer lists (forks, pen, toilet, rodeo, graves, drums, mulch, lamps, dolls, guitars…). This allowed us to perfectly control both lexical characteristics and local combinatorics: the same words occurred in both conditions and in neither case did the list items locally compose into phrases (e.g. ‘lamps’ and ‘dolls’ do not form a phrase). But in one case, the list partakes in a syntactic tree, while in the other, it does not. Being embedded inside a syntactic tree increased source-localized MEG activity at ~250-300ms from word onset in the left inferior frontal cortex, at ~300-350ms in the left anterior temporal lobe and, most reliably, at ~330-400ms in left posterior temporal cortex. In contrast, effects of semantic association strength, which we also varied, localized in left temporo-parietal cortex, with high associations increasing activity at around 400ms. This dissociation offers a novel characterization of the structure vs. meaning contrast in the brain: The fronto-temporal network that is familiar from studies of sentence processing can be driven by the sheer presence of global sentence structure, while associative semantics has a more posterior neural signature.

    Additional information

    Link to Preprint on BioRxiv
  • Lehtonen, M., Hulten, A., Rodríguez-Fornells, A., Cunillera, T., Tuomainen, J., & Laine, M. (2012). Differences in word recognition between early bilinguals and monolinguals: Behavioral and ERP evidence. Neuropsychologia, 50, 1362-1371. doi:10.1016/j.neuropsychologia.2012.02.021.

    Abstract

    We investigated the behavioral and brain responses (ERPs) of bilingual word recognition to three fundamental psycholinguistic factors, frequency, morphology, and lexicality, in early bilinguals vs. monolinguals. Earlier behavioral studies have reported larger frequency effects in bilingualś nondominant vs. dominant language and in some studies also when compared to corresponding monolinguals. In ERPs, language processing differences between bilinguals vs. monolinguals have typically been found in the N400 component. In the present study, highly proficient Finnish-Swedish bilinguals who had acquired both languages during childhood were compared to Finnish monolinguals during a visual lexical decision task and simultaneous ERP recordings. Behaviorally, we found that the response latencies were overall longer in bilinguals than monolinguals, and that the effects for all three factors, frequency, morphology, and lexicality were also larger in bilinguals even though they had acquired both languages early and were highly proficient in them. In line with this, the N400 effects induced by frequency, morphology, and lexicality were larger for bilinguals than monolinguals. Furthermore, the ERP results also suggest that while most inflected Finnish words are decomposed into stem and suffix, only monolinguals have encountered high frequency inflected word forms often enough to develop full-form representations for them. Larger behavioral and neural effects in bilinguals in these factors likely reflect lower amount of exposure to words compared to monolinguals, as the language input of bilinguals is divided between two languages.
  • Lemen, H., Lieven, E., & Theakston, A. (2021). A comparison of the pragmatic patterns in the spontaneous because- and if-sentences produced by children and their caregivers. Journal of Pragmatics, 185, 15-34. doi:10.1016/j.pragma.2021.07.016.

    Abstract

    Findings from corpus (e.g. Diessel, 2004) and comprehension (e.g. De Ruiter et al., 2018) studies show that children produce the adverbial connectives because and if long before they seem able to understand them. However, although children's comprehension is typically tested on sentences expressing the pragmatic relationship which Sweetser (1990) calls “Content”, children also hear and produce sentences expressing “Speech–Act” relationships (e.g. De Ruiter et al., 2021; Kyratzis et al., 1990). To better understand the possible influence of pragmatic variation on 2- to 4- year-old children's acquisition of these connectives, we coded the because and if Speech–Act sentences of 14 British English-speaking mother-child dyads for the type of illocutionary act they contained, as well as the phrasing following the connective. Analyses revealed that children's because Speech–Act sentences were primarily explanations of Statements/Claims, while their if Speech–Act sentences typically related to permission and politeness. While children's because-sentences showed a great deal of individuality, their if-sentences closely resembled their mothers’, containing a high proportion of recurring phrases which appear to be abstracted from input. We discuss how these patterns might help shape children's understanding of each connective and contribute to the children's overall difficulty with because and if.
  • Lemhöfer, K., & Broersma, M. (2012). Introducing LexTALE: A quick and valid Lexical Test for Advanced Learners of English. Behavior Research Methods, 44, 325-343. doi:10.3758/s13428-011-0146-0.

    Abstract

    The increasing number of experimental studies on second language (L2) processing, frequently with English as the L2, calls for a practical and valid measure of English vocabulary knowledge and proficiency. In a large-scale study with Dutch and Korean speakers of L2 English, we tested whether LexTALE, a 5-min vocabulary test, is a valid predictor of English vocabulary knowledge and, possibly, even of general English proficiency. Furthermore, the validity of LexTALE was compared with that of self-ratings of proficiency, a measure frequently used by L2 researchers. The results showed the following in both speaker groups: (1) LexTALE was a good predictor of English vocabulary knowledge; 2) it also correlated substantially with a measure of general English proficiency; and 3) LexTALE was generally superior to self-ratings in its predictions. LexTALE, but not self-ratings, also correlated highly with previous experimental data on two word recognition paradigms. The test can be carried out on or downloaded from www.lextale.com.
  • Lesage, E., Morgan, B. E., Olson, A. C., Meyer, A. S., & Miall, R. C. (2012). Cerebellar rTMS disrupts predictive language processing. Current Biology, 22, R794-R795. doi:10.1016/j.cub.2012.07.006.

    Abstract

    The human cerebellum plays an important role in language, amongst other cognitive and motor functions [1], but a unifying theoretical framework about cerebellar language function is lacking. In an established model of motor control, the cerebellum is seen as a predictive machine, making short-term estimations about the outcome of motor commands. This allows for flexible control, on-line correction, and coordination of movements [2]. The homogeneous cytoarchitecture of the cerebellar cortex suggests that similar computations occur throughout the structure, operating on different input signals and with different output targets [3]. Several authors have therefore argued that this ‘motor’ model may extend to cerebellar nonmotor functions [3], [4] and [5], and that the cerebellum may support prediction in language processing [6]. However, this hypothesis has never been directly tested. Here, we used the ‘Visual World’ paradigm [7], where on-line processing of spoken sentence content can be assessed by recording the latencies of listeners' eye movements towards objects mentioned. Repetitive transcranial magnetic stimulation (rTMS) was used to disrupt function in the right cerebellum, a region implicated in language [8]. After cerebellar rTMS, listeners showed delayed eye fixations to target objects predicted by sentence content, while there was no effect on eye fixations in sentences without predictable content. The prediction deficit was absent in two control groups. Our findings support the hypothesis that computational operations performed by the cerebellum may support prediction during both motor control and language processing.

    Additional information

    Lesage_Suppl_Information.pdf
  • Lev-Ari, S., & Keysar, B. (2012). Less detailed representation of non-native language: Why non-native speakers’ stories seem more vague. Discourse Processes, 49(7), 523-538. doi:10.1080/0163853X.2012.698493.

    Abstract

    The language of non-native speakers is less reliable than the language of native
    speakers in conveying the speaker’s intentions. We propose that listeners expect
    such reduced reliability and that this leads them to adjust the manner in which they
    process and represent non-native language by representing non-native language
    in less detail. Experiment 1 shows that when people listen to a story, they are
    less able to detect a word change with a non-native than with a native speaker.
    This suggests they represent the language of a non-native speaker with fewer
    details. Experiment 2 shows that, above a certain threshold, the higher participants’
    working memory is, the less they are able to detect the change with a non-native
    speaker. This suggests that adjustment to non-native speakers depends on working
    memory. This research has implications for the role of interpersonal expectations
    in the way people process language.
  • Levelt, C. C., Schiller, N. O., & Levelt, W. J. M. (1999). A developmental grammar for syllable structure in the production of child language. Brain and Language, 68, 291-299.

    Abstract

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

    Abstract

    Preparing words in speech production is normally a fast and accurate process. We generate them two or three per second in fluent conversation; and overtly naming a clear picture of an object can easily be initiated within 600 msec after picture onset. The underlying process, however, is exceedingly complex. The theory reviewed in this target article analyzes this process as staged and feedforward. After a first stage of conceptual preparation, word generation proceeds through lexical selection, morphological and phonological encoding, phonetic encoding, and articulation itself. In addition, the speaker exerts some degree of output control, by monitoring of self-produced internal and overt speech. The core of the theory, ranging from lexical selection to the initiation of phonetic encoding, is captured in a computational model, called WEAVER + +. Both the theory and the computational model have been developed in interaction with reaction time experiments, particularly in picture naming or related word production paradigms, with the aim of accounting. for the real-time processing in normal word production. A comprehensive review of theory, model, and experiments is presented. The model can handle some of the main observations in the domain of speech errors (the major empirical domain for most other theories of lexical access), and the theory opens new ways of approaching the cerebral organization of speech production by way of high-temporal-resolution imaging.
  • Levelt, W. J. M. (1991). Die konnektionistische Mode. Sprache und Kognition, 10(2), 61-72.
  • Levelt, W. J. M. (1961). Michotte's theorie van de causaliteitswaarneming en de waarneming van remmingen. Hypothese: orgaan van de Psychologische Faculteit der Leidse Studenten, 5(4), 1-21.
  • Levelt, W. J. M. (1999). Models of word production. Trends in Cognitive Sciences, 3, 223-232.

    Abstract

    Research on spoken word production has been approached from two angles. In one research tradition, the analysis of spontaneous or induced speech errors led to models that can account for speech error distributions. In another tradition, the measurement of picture naming latencies led to chronometric models accounting for distributions of reaction times in word production. Both kinds of models are, however, dealing with the same underlying processes: (1) the speaker’s selection of a word that is semantically and syntactically appropriate; (2) the retrieval of the word’s phonological properties; (3) the rapid syllabification of the word in context; and (4) the preparation of the corresponding articulatory gestures. Models of both traditions explain these processes in terms of activation spreading through a localist, symbolic network. By and large, they share the main levels of representation: conceptual/semantic, syntactic, phonological and phonetic. They differ in various details, such as the amount of cascading and feedback in the network. These research traditions have begun to merge in recent years, leading to highly constructive experimentation. Currently, they are like two similar knives honing each other. A single pair of scissors is in the making.
  • Levelt, W. J. M., Roelofs, A., & Meyer, A. S. (1999). Multiple perspectives on lexical access [authors' response ]. Behavioral and Brain Sciences, 22, 61-72. doi:10.1017/S0140525X99451775.
  • Levelt, W. J. M., Schriefers, H., Vorberg, D., Meyer, A. S., Pechmann, T., & Havinga, J. (1991). Normal and deviant lexical processing: Reply to Dell and O'Seaghdha. Psychological Review, 98(4), 615-618. doi:10.1037/0033-295X.98.4.615.

    Abstract

    In their comment, Dell and O'Seaghdha (1991) adduced any effect on phonological probes for semantic alternatives to the activation of these probes in the lexical network. We argue that that interpretation is false and, in addition, that the model still cannot account for our data. Furthermore, and different from Dell and O'seaghda, we adduce semantic rebound to the lemma level, where it is so substantial that it should have shown up in our data. Finally, we question the function of feedback in a lexical network (other than eliciting speech errors) and discuss Dell's (1988) notion of a unified production-comprehension system.
  • Levelt, W. J. M., Schriefer, H., Vorberg, D., Meyer, A. S., Pechmann, T., & Havinga, J. (1991). The time course of lexical access in speech production: A study of picture naming. Psychological Review, 98(1), 122-142. doi:10.1037/0033-295X.98.1.122.
  • Levinson, S. C. (2012). Authorship: Include all institutes in publishing index [Correspondence]. Nature, 485, 582. doi:10.1038/485582c.
  • Levinson, S. C., & Senft, G. (1991). Forschungsgruppe für Kognitive Anthropologie - Eine neue Forschungsgruppe in der Max-Planck-Gesellschaft. Linguistische Berichte, 133, 244-246.
  • Levinson, S. C. (1987). Implicature explicated? [Comment on Sperber and Wilson]. Behavioral and Brain Sciences, 10(4), 722-723.

    Abstract

    Comment on Sperber and Wilson
  • Levinson, S. C. (1999). Maxim. Journal of Linguistic Anthropology, 9, 144-147. doi:10.1525/jlin.1999.9.1-2.144.
  • Levinson, S. C. (2012). Kinship and human thought. Science, 336(6084), 988-989. doi:10.1126/science.1222691.

    Abstract

    Language and communication are central to shaping concepts such as kinship categories.
  • Levinson, S. C., & Senft, G. (1991). Research group for cognitive anthropology - A new research group of the Max Planck Society. Cognitive Linguistics, 2, 311-312.
  • Levinson, S. C. (1991). Pragmatic reduction of the Binding Conditions revisited. Journal of Linguistics, 27, 107-161. doi:10.1017/S0022226700012433.

    Abstract

    In an earlier article (Levinson, 1987b), I raised the possibility that a Gricean theory of implicature might provide a systematic partial reduction of the Binding Conditions; the briefest of outlines is given in Section 2.1 below but the argumentation will be found in the earlier article. In this article I want, first, to show how that account might be further justified and extended, but then to introduce a radical alternative. This alternative uses the same pragmatic framework, but gives an account better adjusted to some languages. Finally, I shall attempt to show that both accounts can be combined by taking a diachronic perspective. The attraction of the combined account is that, suddenly, many facts about long-range reflexives and their associated logophoricity fall into place.
  • Levinson, S. C. (1987). Pragmatics and the grammar of anaphora: A partial pragmatic reduction of Binding and Control phenomena. Journal of Linguistics, 23, 379-434. doi:10.1017/S0022226700011324.

    Abstract

    This paper is one in a series that develops a pragmatic framework in loose confederation with Jay Atlas and Larry Horn: thus they may or may not be responsible for the ideas contained herein. Jay Atlas provided many comments which I have utilized or perverted as the case may be. The Australian data to which this framework is applied was collected with the financial and personal assistance of many people and agencies acknowledged separately below; but I must single out for special thanks John Haviland, who recommended the study of Guugu Yimidhirr anaphora to me and upon whose grammatical work on Guugu Yimidhirr this paper is but a minor (and perhaps flawed) elaboration. A grant from the British Academy allowed me to visit Haviland in September 1986 to discuss many aspects of Guugu Yimidhirr with him, and I am most grateful to the Academy for funding this trip and to Haviland for generously making available his time, his texts (from which I have drawn many examples, not always with specific acknowledgement) and most especially his expertise. Where I have diverged from his opinion I may well learn to regret it. I must also thank Nigel Vincent for putting me in touch with a number of recent relevant developments in syntax (only some of which I have been able to address) and for suggestions for numerous improvements. In addition, I have benefited immensely for comments on a distinct but related paper (Levinson, 1987) kindly provided by Jay Atlas, John Haviland, John Heritage, Phil Johnson-Laird, John Lyons, Tanya Reinhart, Emanuel Schegloff and an anonymous referee; and from comments on this paper by participants in the Cambridge Linguistics Department seminar where it was first presented (especial thanks to John Lyons and Huang Yan for further comments, and Mary Smith for a counter-example). Despite all this help, there are sure to be errors of data and analysis that I have persisted in. Aid in gathering the Australian data is acknowledged separately below.
  • Levinson, S. C. (2012). The original sin of cognitive science. Topics in Cognitive Science, 4, 396-403. doi:10.1111/j.1756-8765.2012.01195.x.

    Abstract

    Classical cognitive science was launched on the premise that the architecture of human cognition is uniform and universal across the species. This premise is biologically impossible and is being actively undermined by, for example, imaging genomics. Anthropology (including archaeology, biological anthropology, linguistics, and cultural anthropology) is, in contrast, largely concerned with the diversification of human culture, language, and biology across time and space—it belongs fundamentally to the evolutionary sciences. The new cognitive sciences that will emerge from the interactions with the biological sciences will focus on variation and diversity, opening the door for rapprochement with anthropology.
  • Levinson, S. C., & Gray, R. D. (2012). Tools from evolutionary biology shed new light on the diversification of languages. Trends in Cognitive Sciences, 16(3), 167-173. doi:10.1016/j.tics.2012.01.007.

    Abstract

    Computational methods have revolutionized evolutionary biology. In this paper we explore the impact these methods are now having on our understanding of the forces that both affect the diversification of human languages and shape human cognition. We show how these methods can illuminate problems ranging from the nature of constraints on linguistic variation to the role that social processes play in determining the rate of linguistic change. Throughout the paper we argue that the cognitive sciences should move away from an idealized model of human cognition, to a more biologically realistic model where variation is central.
  • Levshina, N. (2021). Cross-linguistic trade-offs and causal relationships between cues to grammatical subject and object, and the problem of efficiency-related explanations. Frontiers in Psychology, 12: 648200. doi:10.3389/fpsyg.2021.648200.

    Abstract

    Cross-linguistic studies focus on inverse correlations (trade-offs) between linguistic variables that reflect different cues to linguistic meanings. For example, if a language has no case marking, it is likely to rely on word order as a cue for identification of grammatical roles. Such inverse correlations are interpreted as manifestations of language users’ tendency to use language efficiently. The present study argues that this interpretation is problematic. Linguistic variables, such as the presence of case, or flexibility of word order, are aggregate properties, which do not represent the use of linguistic cues in context directly. Still, such variables can be useful for circumscribing the potential role of communicative efficiency in language evolution, if we move from cross-linguistic trade-offs to multivariate causal networks. This idea is illustrated by a case study of linguistic variables related to four types of Subject and Object cues: case marking, rigid word order of Subject and Object, tight semantics and verb-medial order. The variables are obtained from online language corpora in thirty languages, annotated with the Universal Dependencies. The causal model suggests that the relationships between the variables can be explained predominantly by sociolinguistic factors, leaving little space for a potential impact of efficient linguistic behavior.
  • Levshina, N., & Moran, S. (2021). Efficiency in human languages: Corpus evidence for universal principles. Linguistics Vanguard, 7(s3): 20200081. doi:10.1515/lingvan-2020-0081.

    Abstract

    Over the last few years, there has been a growing interest in communicative efficiency. It has been argued that language users act efficiently, saving effort for processing and articulation, and that language structure and use reflect this tendency. The emergence of new corpus data has brought to life numerous studies on efficient language use in the lexicon, in morphosyntax, and in discourse and phonology in different languages. In this introductory paper, we discuss communicative efficiency in human languages, focusing on evidence of efficient language use found in multilingual corpora. The evidence suggests that efficiency is a universal feature of human language. We provide an overview of different manifestations of efficiency on different levels of language structure, and we discuss the major questions and findings so far, some of which are addressed for the first time in the contributions in this special collection.
  • Levshina, N., & Moran, S. (Eds.). (2021). Efficiency in human languages: Corpus evidence for universal principles [Special Issue]. Linguistics Vanguard, 7(s3).
  • Levshina, N. (2021). Communicative efficiency and differential case marking: A reverse-engineering approach. Linguistics Vanguard, 7(s3): 20190087. doi:10.1515/lingvan-2019-0087.
  • Liebal, K., & Haun, D. B. M. (2012). The importance of comparative psychology for developmental science [Review Article]. International Journal of Developmental Science, 6, 21-23. doi:10.3233/DEV-2012-11088.

    Abstract

    The aim of this essay is to elucidate the relevance of cross-species comparisons for the investigation of human behavior and its development. The focus is on the comparison of human children and another group of primates, the non-human great apes, with special attention to their cognitive skills. Integrating a comparative and developmental perspective, we argue, can provide additional answers to central and elusive questions about human behavior in general and its development in particular: What are the heritable predispositions of the human mind? What cognitive traits are uniquely human? In this sense, Developmental Science would benefit from results of Comparative Psychology.
  • Linkenauger, S. A., Lerner, M. D., Ramenzoni, V. C., & Proffitt, D. R. (2012). A perceptual-motor deficit predicts social and communicative impairments in individuals with autism spectrum disorders. Autism Research, 5, 352-362. doi:10.1002/aur.1248.

    Abstract

    Individuals with autism spectrum disorders (ASDs) have known impairments in social and motor skills. Identifying putative underlying mechanisms of these impairments could lead to improved understanding of the etiology of core social/communicative deficits in ASDs, and identification of novel intervention targets. The ability to perceptually integrate one's physical capacities with one's environment (affordance perception) may be such a mechanism. This ability has been theorized to be impaired in ASDs, but this question has never been directly tested. Crucially, affordance perception has shown to be amenable to learning; thus, if it is implicated in deficits in ASDs, it may be a valuable unexplored intervention target. The present study compared affordance perception in adolescents and adults with ASDs to typically developing (TD) controls. Two groups of individuals (adolescents and adults) with ASDs and age-matched TD controls completed well-established action capability estimation tasks (reachability, graspability, and aperture passability). Their caregivers completed a measure of their lifetime social/communicative deficits. Compared with controls, individuals with ASDs showed unprecedented gross impairments in relating information about their bodies' action capabilities to visual information specifying the environment. The magnitude of these deficits strongly predicted the magnitude of social/communicative impairments in individuals with ASDs. Thus, social/communicative impairments in ASDs may derive, at least in part, from deficits in basic perceptual–motor processes (e.g. action capability estimation). Such deficits may impair the ability to maintain and calibrate the relationship between oneself and one's social and physical environments, and present fruitful, novel, and unexplored target for intervention.
  • Liszkowski, U., Brown, P., Callaghan, T., Takada, A., & De Vos, C. (2012). A prelinguistic gestural universal of human communication. Cognitive Science, 36, 698-713. doi:10.1111/j.1551-6709.2011.01228.x.

    Abstract

    Several cognitive accounts of human communication argue for a language-independent, prelinguistic basis of human communication and language. The current study provides evidence for the universality of a prelinguistic gestural basis for human communication. We used a standardized, semi-natural elicitation procedure in seven very different cultures around the world to test for the existence of preverbal pointing in infants and their caregivers. Results were that by 10–14 months of age, infants and their caregivers pointed in all cultures in the same basic situation with similar frequencies and the same proto-typical morphology of the extended index finger. Infants’ pointing was best predicted by age and caregiver pointing, but not by cultural group. Further analyses revealed a strong relation between the temporal unfolding of caregivers’ and infants’ pointing events, uncovering a structure of early prelinguistic gestural conversation. Findings support the existence of a gestural, language-independent universal of human communication that forms a culturally shared, prelinguistic basis for diversified linguistic communication.
  • Long, M., Moore, I., Mollica, F., & Rubio-Fernandez, P. (2021). Contrast perception as a visual heuristic in the formulation of referential expressions. Cognition, 217: 104879. doi:10.1016/j.cognition.2021.104879.

    Abstract

    We hypothesize that contrast perception works as a visual heuristic, such that when speakers perceive a significant degree of contrast in a visual context, they tend to produce the corresponding adjective to describe a referent. The contrast perception heuristic supports efficient audience design, allowing speakers to produce referential expressions with minimum expenditure of cognitive resources, while facilitating the listener's visual search for the referent. We tested the perceptual contrast hypothesis in three language-production experiments. Experiment 1 revealed that speakers overspecify color adjectives in polychrome displays, whereas in monochrome displays they overspecified other properties that were contrastive. Further support for the contrast perception hypothesis comes from a re-analysis of previous work, which confirmed that color contrast elicits color overspecification when detected in a given display, but not when detected across monochrome trials. Experiment 2 revealed that even atypical colors (which are often overspecified) are only mentioned if there is color contrast. In Experiment 3, participants named a target color faster in monochrome than in polychrome displays, suggesting that the effect of color contrast is not analogous to ease of production. We conclude that the tendency to overspecify color in polychrome displays is not a bottom-up effect driven by the visual salience of color as a property, but possibly a learned communicative strategy. We discuss the implications of our account for pragmatic theories of referential communication and models of audience design, challenging the view that overspecification is a form of egocentric behavior.

    Additional information

    supplementary data
  • Long, M., Shukla, V., & Rubio-Fernandez, P. (2021). The development of simile comprehension: From similarity to scalar implicature. Child Development, 92(4), 1439-1457. doi:10.1111/cdev.13507.

    Abstract

    Similes require two different pragmatic skills: appreciating the intended similarity and deriving a scalar implicature (e.g., “Lucy is like a parrot” normally implies that Lucy is not a parrot), but previous studies overlooked this second skill. In Experiment 1, preschoolers (N = 48; ages 3–5) understood “X is like a Y” as an expression of similarity. In Experiment 2 (N = 99; ages 3–6, 13) and Experiment 3 (N = 201; ages 3–5 and adults), participants received metaphors (“Lucy is a parrot”) or similes (“Lucy is like a parrot”) as clues to select one of three images (a parrot, a girl or a parrot-looking girl). An early developmental trend revealed that 3-year-olds started deriving the implicature “X is not a Y,” whereas 5-year-olds performed like adults.
  • Lopopolo, A., Van de Bosch, A., Petersson, K. M., & Willems, R. M. (2021). Distinguishing syntactic operations in the brain: Dependency and phrase-structure parsing. Neurobiology of Language, 2(1), 152-175. doi:10.1162/nol_a_00029.

    Abstract

    Finding the structure of a sentence — the way its words hold together to convey meaning — is a fundamental step in language comprehension. Several brain regions, including the left inferior frontal gyrus, the left posterior superior temporal gyrus, and the left anterior temporal pole, are supposed to support this operation. The exact role of these areas is nonetheless still debated. In this paper we investigate the hypothesis that different brain regions could be sensitive to different kinds of syntactic computations. We compare the fit of phrase-structure and dependency structure descriptors to activity in brain areas using fMRI. Our results show a division between areas with regard to the type of structure computed, with the left ATP and left IFG favouring dependency structures and left pSTG favouring phrase structures.
  • Lowndes, R., Molz, B., Warriner, L., Herbik, A., De Best, P. B., Raz, N., Gouws, A., Ahmadi, K., McLean, R. J., Gottlob, I., Kohl, S., Choritz, L., Maguire, J., Kanowski, M., Käsmann-Kellner, B., Wieland, I., Banin, E., Levin, N., Hoffmann, M. B., Morland, A. B. and 1 moreLowndes, R., Molz, B., Warriner, L., Herbik, A., De Best, P. B., Raz, N., Gouws, A., Ahmadi, K., McLean, R. J., Gottlob, I., Kohl, S., Choritz, L., Maguire, J., Kanowski, M., Käsmann-Kellner, B., Wieland, I., Banin, E., Levin, N., Hoffmann, M. B., Morland, A. B., & Baseler, H. A. (2021). Structural differences across multiple visual cortical regions in the absence of cone function in congenital achromatopsia. Frontiers in Neuroscience, 15: 718958. doi:10.3389/fnins.2021.718958.

    Abstract

    Most individuals with congenital achromatopsia (ACHM) carry mutations that affect the retinal phototransduction pathway of cone photoreceptors, fundamental to both high acuity vision and colour perception. As the central fovea is occupied solely by cones, achromats have an absence of retinal input to the visual cortex and a small central area of blindness. Additionally, those with complete ACHM have no colour perception, and colour processing regions of the ventral cortex also lack typical chromatic signals from the cones. This study examined the cortical morphology (grey matter volume, cortical thickness, and cortical surface area) of multiple visual cortical regions in ACHM (n = 15) compared to normally sighted controls (n = 42) to determine the cortical changes that are associated with the retinal characteristics of ACHM. Surface-based morphometry was applied to T1-weighted MRI in atlas-defined early, ventral and dorsal visual regions of interest. Reduced grey matter volume in V1, V2, V3, and V4 was found in ACHM compared to controls, driven by a reduction in cortical surface area as there was no significant reduction in cortical thickness. Cortical surface area (but not thickness) was reduced in a wide range of areas (V1, V2, V3, TO1, V4, and LO1). Reduction in early visual areas with large foveal representations (V1, V2, and V3) suggests that the lack of foveal input to the visual cortex was a major driving factor in morphological changes in ACHM. However, the significant reduction in ventral area V4 coupled with the lack of difference in dorsal areas V3a and V3b suggest that deprivation of chromatic signals to visual cortex in ACHM may also contribute to changes in cortical morphology. This research shows that the congenital lack of cone input to the visual cortex can lead to widespread structural changes across multiple visual areas.

    Additional information

    table S1
  • Ludwig, A., Vernesi, C., Lieckfeldt, D., Lattenkamp, E. Z., Wiethölter, A., & Lutz, W. (2012). Origin and patterns of genetic diversity of German fallow deer as inferred from mitochondrial DNA. European Journal of Wildlife Research, 58(2), 495-501. doi:10.1007/s10344-011-0571-5.

    Abstract

    Although not native to Germany, fallow deer (Dama dama) are commonly found today, but their origin as well as the genetic structure of the founding members is still unclear. In order to address these aspects, we sequenced ~400 bp of the mitochondrial d-loop of 365 animals from 22 locations in nine German Federal States. Nine new haplotypes were detected and archived in GenBank. Our data produced evidence for a Turkish origin of the German founders. However, German fallow deer populations have complex patterns of mtDNA variation. In particular, three distinct clusters were identified: Schleswig-Holstein, Brandenburg/Hesse/Rhineland and Saxony/lower Saxony/Mecklenburg/Westphalia/Anhalt. Signatures of recent demographic expansions were found for the latter two. An overall pattern of reduced genetic variation was therefore accompanied by a relatively strong genetic structure, as highlighted by an overall Phict value of 0.74 (P < 0.001).
  • Lum, J. A., & Kidd, E. (2012). An examination of the associations among multiple memory systems, past tense, and vocabulary in typically developing 5-year-old children. Journal of Speech, Language, and Hearing Research, 55(4), 989-1006. doi:10.1044/1092-4388(2011/10-0137).
  • Lutzenberger, H., De Vos, C., Crasborn, O., & Fikkert, P. (2021). Formal variation in the Kata Kolok lexicon. Glossa: a journal of general linguistics, 6. doi:10.16995/glossa.5880.

    Abstract

    Sign language lexicons incorporate phonological specifications. Evidence from emerging sign languages suggests that phonological structure emerges gradually in a new language. In this study, we investigate variation in the form of signs across 20 deaf adult signers of Kata Kolok, a sign language that emerged spontaneously in a Balinese village community. Combining methods previously used for sign comparisons, we introduce a new numeric measure of variation. Our nuanced yet comprehensive approach to form variation integrates three levels (iconic motivation, surface realisation, feature differences) and allows for refinement through weighting the variation score by token and signer frequency. We demonstrate that variation in the form of signs appears in different degrees at different levels. Token frequency in a given dataset greatly affects how much variation can surface, suggesting caution in interpreting previous findings. Different sign variants have different scopes of use among the signing population, with some more widely used than others. Both frequency weightings (token and signer) identify dominant sign variants, i.e., sign forms that are produced frequently or by many signers. We argue that variation does not equal the absence of conventionalisation. Indeed, especially in micro-community sign languages, variation may be key to understanding patterns of language emergence.
  • MacLean, E. L., Matthews, L. J., Hare, B. A., Nunn, C. L., Anderson, R. C., Aureli, F., Brannon, E. M., Call, J., Drea, C. M., Emery, N. J., Haun, D. B. M., Herrmann, E., Jacobs, L. F., Platt, M. L., Rosati, A. G., Sandel, A. A., Schroepfer, K. K., Seed, A. M., Tan, J., Van Schaik, C. P. and 1 moreMacLean, E. L., Matthews, L. J., Hare, B. A., Nunn, C. L., Anderson, R. C., Aureli, F., Brannon, E. M., Call, J., Drea, C. M., Emery, N. J., Haun, D. B. M., Herrmann, E., Jacobs, L. F., Platt, M. L., Rosati, A. G., Sandel, A. A., Schroepfer, K. K., Seed, A. M., Tan, J., Van Schaik, C. P., & Wobber, V. (2012). How does cognition evolve? Phylogenetic comparative psychology. Animal Cognition, 15, 223-238. doi:10.1007/s10071-011-0448-8.

    Abstract

    Now more than ever animal studies have the potential to test hypotheses regarding how cognition evolves. Comparative psychologists have developed new techniques to probe the cognitive mechanisms underlying animal behavior, and they have become increasingly skillful at adapting methodologies to test multiple species. Meanwhile, evolutionary biologists have generated quantitative approaches to investigate the phylogenetic distribution and function of phenotypic traits, including cognition. In particular, phylogenetic methods can quantitatively (1) test whether specific cognitive abilities are correlated with life history (e.g., lifespan), morphology (e.g., brain size), or socio-ecological variables (e.g., social system), (2) measure how strongly phylogenetic relatedness predicts the distribution of cognitive skills across species, and (3) estimate the ancestral state of a given cognitive trait using measures of cognitive performance from extant species. Phylogenetic methods can also be used to guide the selection of species comparisons that offer the strongest tests of a priori predictions of cognitive evolutionary hypotheses (i.e., phylogenetic targeting). Here, we explain how an integration of comparative psychology and evolutionary biology will answer a host of questions regarding the phylogenetic distribution and history of cognitive traits, as well as the evolutionary processes that drove their evolution.
  • Magyari, L., & De Ruiter, J. P. (2012). Prediction of turn-ends based on anticipation of upcoming words. Frontiers in Psychology, 3, 376. doi:10.3389/fpsyg.2012.00376.

    Abstract

    During conversation listeners have to perform several tasks simultaneously. They have to comprehend their interlocutor’s turn, while also having to prepare their own next turn. Moreover, a careful analysis of the timing of natural conversation reveals that next speakers also time their turns very precisely. This is possible only if listeners can predict accurately when the speaker’s turn is going to end. But how are people able to predict when a turn-ends? We propose that people know when a turn-ends, because they know how it ends. We conducted a gating study to examine if better turn-end predictions coincide with more accurate anticipation of the last words of a turn. We used turns from an earlier button-press experiment where people had to press a button exactly when a turn-ended. We show that the proportion of correct guesses in our experiment is higher when a turn’s end was estimated better in time in the button-press experiment. When people were too late in their anticipation in the button-press experiment, they also anticipated more words in our gating study. We conclude that people made predictions in advance about the upcoming content of a turn and used this prediction to estimate the duration of the turn. We suggest an economical model of turn-end anticipation that is based on anticipation of words and syntactic frames in comprehension.
  • Majid, A. (2012). Current emotion research in the language sciences. Emotion Review, 4, 432-443. doi:10.1177/1754073912445827.

    Abstract

    When researchers think about the interaction between language and emotion, they typically focus on descriptive emotion words. This review demonstrates that emotion can interact with language at many levels of structure, from the sound patterns of a language to its lexicon and grammar, and beyond to how it appears in conversation and discourse. Findings are considered from diverse subfields across the language sciences, including cognitive linguistics, psycholinguistics, linguistic anthropology, and conversation analysis. Taken together, it is clear that emotional expression is finely tuned to language-specific structures. Future emotion research can better exploit cross-linguistic variation to unravel possible universal principles operating between language and emotion.
  • Majid, A. (2012). The role of language in a science of emotion [Comment]. Emotion review, 4, 380-381. doi:10.1177/1754073912445819.

    Abstract

    Emotion scientists often take an ambivalent stance concerning the role of language in a science of emotion. However, it is important for emotion researchers to contemplate some of the consequences of current practices
    for their theory building. There is a danger of an overreliance on the English language as a transparent window into emotion categories. More consideration has to be given to cross-linguistic comparison in the future so that models of language acquisition and of the language–cognition interface fit better the extant variation found in today’s peoples.
  • Majid, A., Boroditsky, L., & Gaby, A. (Eds.). (2012). Time in terms of space [Research topic] [Special Issue]. Frontiers in cultural psychology. Retrieved from http://www.frontiersin.org/cultural_psychology/researchtopics/Time_in_terms_of_space/755.

    Abstract

    This Research Topic explores the question: what is the relationship between representations of time and space in cultures around the world? This question touches on the broader issue of how humans come to represent and reason about abstract entities – things we cannot see or touch. Time is a particularly opportune domain to investigate this topic. Across cultures, people use spatial representations for time, for example in graphs, time-lines, clocks, sundials, hourglasses, and calendars. In language, time is also heavily related to space, with spatial terms often used to describe the order and duration of events. In English, for example, we might move a meeting forward, push a deadline back, attend a long concert or go on a short break. People also make consistent spatial gestures when talking about time, and appear to spontaneously invoke spatial representations when processing temporal language. A large body of evidence suggests a close correspondence between temporal and spatial language and thought. However, the ways that people spatialize time can differ dramatically across languages and cultures. This research topic identifies and explores some of the sources of this variation, including patterns in spatial thinking, patterns in metaphor, gesture and other cultural systems. This Research Topic explores how speakers of different languages talk about time and space and how they think about these domains, outside of language. The Research Topic invites papers exploring the following issues: 1. Do the linguistic representations of space and time share the same lexical and morphosyntactic resources? 2. To what extent does the conceptualization of time follow the conceptualization of space?
  • Mak, M., & Willems, R. M. (2021). Eyelit: Eye movement and reader response data during literary reading. Journal of open humanities data, 7: 25. doi:10.5334/johd.49.

    Abstract

    An eye-tracking data set is described of 102 participants reading three Dutch literary short stories each (7790 words in total per participant). The pre-processed data set includes (1) Fixation report, (2) Saccade report, (3) Interest Area report, (4) Trial report (aggregated data for each page), (5) Sample report (sampling rate = 500 Hz), (6) Questionnaire data on reading experiences and participant characteristics, and (7) word characteristics for all words (with the potential of calculating additional word characteristics). It is stored on DANS, and can be used to study word characteristics or literary reading and all facets of eye movements.
  • Manhardt, F., Brouwer, S., & Ozyurek, A. (2021). A tale of two modalities: Sign and speech influence in each other in bimodal bilinguals. Psychological Science, 32(3), 424-436. doi:10.1177/0956797620968789.

    Abstract

    Bimodal bilinguals are hearing individuals fluent in a sign and a spoken language. Can the two languages influence each other in such individuals despite differences in the visual (sign) and vocal (speech) modalities of expression? We investigated cross-linguistic influences on bimodal bilinguals’ expression of spatial relations. Unlike spoken languages, sign uses iconic linguistic forms that resemble physical features of objects in a spatial relation and thus expresses specific semantic information. Hearing bimodal bilinguals (n = 21) fluent in Dutch and Sign Language of the Netherlands and their hearing nonsigning and deaf signing peers (n = 20 each) described left/right relations between two objects. Bimodal bilinguals expressed more specific information about physical features of objects in speech than nonsigners, showing influence from sign language. They also used fewer iconic signs with specific semantic information than deaf signers, demonstrating influence from speech. Bimodal bilinguals’ speech and signs are shaped by two languages from different modalities.

    Additional information

    supplementary materials
  • Mani, N., & Huettig, F. (2012). Prediction during language processing is a piece of cake - but only for skilled producers. Journal of Experimental Psychology: Human Perception and Performance, 38(4), 843-847. doi:10.1037/a0029284.

    Abstract

    Are there individual differences in children’s prediction of upcoming linguistic input and what do these differences reflect? Using a variant of the preferential looking paradigm (Golinkoff et al., 1987), we found that, upon hearing a sentence like “The boy eats a big cake”, two-year-olds fixate edible objects in a visual scene (a cake) soon after they hear the semantically constraining verb, eats, and prior to hearing the word, cake. Importantly, children’s prediction skills were significantly correlated with their productive vocabulary size – Skilled producers (i.e., children with large production vocabularies) showed evidence of predicting upcoming linguistic input while low producers did not. Furthermore, we found that children’s prediction ability is tied specifically to their production skills and not to their comprehension skills. Prediction is really a piece of cake, but only for skilled producers.
  • Martin, A. E., Nieuwland, M. S., & Carreiras, M. (2012). Event-related brain potentials index cue-based retrieval interference during sentence comprehension. NeuroImage, 59(2), 1859-1869. doi:10.1016/j.neuroimage.2011.08.057.

    Abstract

    Successful language use requires access to products of past processing within an evolving discourse. A central issue for any neurocognitive theory of language then concerns the role of memory variables during language processing. Under a cue-based retrieval account of language comprehension, linguistic dependency resolution (e.g., retrieving antecedents) is subject to interference from other information in the sentence, especially information that occurs between the words that form the dependency (e.g., between the antecedent and the retrieval site). Retrieval interference may then shape processing complexity as a function of the match of the information at retrieval with the antecedent versus other recent or similar items in memory. To address these issues, we studied the online processing of ellipsis in Castilian Spanish, a language with morphological gender agreement. We recorded event-related brain potentials while participants read sentences containing noun-phrase ellipsis indicated by the determiner otro/a (‘another’). These determiners had a grammatically correct or incorrect gender with respect to their antecedent nouns that occurred earlier in the sentence. Moreover, between each antecedent and determiner, another noun phrase occurred that was structurally unavailable as an antecedent and that matched or mismatched the gender of the antecedent (i.e., a local agreement attractor). In contrast to extant P600 results on agreement violation processing, and inconsistent with predictions from neurocognitive models of sentence processing, grammatically incorrect determiners evoked a sustained, broadly distributed negativity compared to correct ones between 400 and 1000 ms after word onset, possibly related to sustained negativities as observed for referential processing difficulties. Crucially, this effect was modulated by the attractor: an increased negativity was observed for grammatically correct determiners that did not match the gender of the attractor, suggesting that structurally unavailable noun phrases were at least temporarily considered for grammatically correct ellipsis. These results constitute the first ERP evidence for cue-based retrieval interference during comprehension of grammatical sentences.
  • Matić, D. (2012). Review of: Assertion by Mark Jary, Palgrave Macmillan, 2010 [Web Post]. The LINGUIST List. Retrieved from http://linguistlist.org/pubs/reviews/get-review.cfm?SubID=4547242.

    Abstract

    Even though assertion has held centre stage in much philosophical and linguistic theorising on language, Mark Jary’s ‘Assertion’ represents the first book-length treatment of the topic. The content of the book is aptly described by the author himself: ''This book has two aims. One is to bring together and discuss in a systematic way a range of perspectives on assertion: philosophical, linguistic and psychological. [...] The other is to present a view of the pragmatics of assertion, with particular emphasis on the contribution of the declarative mood to the process of utterance interpretation.'' (p. 1). The promise contained in this introductory note is to a large extent fulfilled: the first seven chapters of the book discuss many of the relevant philosophical and linguistic approaches to assertion and at the same time provide the background for the presentation of Jary's own view on the pragmatics of declaratives, presented in the last (and longest) chapter.
  • McConnell, K., & Blumenthal-Dramé, A. (2021). Usage-Based Individual Differences in the Probabilistic Processing of Multi-Word Sequences. Frontiers in Communication, 6: 703351. doi:10.3389/fcomm.2021.703351.

    Abstract

    While it is widely acknowledged that both predictive expectations and retrodictive
    integration influence language processing, the individual differences that affect these
    two processes and the best metrics for observing them have yet to be fully described.
    The present study aims to contribute to the debate by investigating the extent to which
    experienced-based variables modulate the processing of word pairs (bigrams).
    Specifically, we investigate how age and reading experience correlate with lexical
    anticipation and integration, and how this effect can be captured by the metrics of
    forward and backward transition probability (TP). Participants read more and less
    strongly associated bigrams, paired to control for known lexical covariates such as
    bigram frequency and meaning (i.e., absolute control, total control, absolute silence,
    total silence) in a self-paced reading (SPR) task. They additionally completed
    assessments of exposure to print text (Author Recognition Test, Shipley vocabulary
    assessment, Words that Go Together task) and provided their age. Results show that
    both older age and lesser reading experience individually correlate with stronger TP
    effects. Moreover, TP effects differ across the spillover region (the two words following
    the noun in the bigram)
  • McQueen, J. M., & Huettig, F. (2012). Changing only the probability that spoken words will be distorted changes how they are recognized. Journal of the Acoustical Society of America, 131(1), 509-517. doi:10.1121/1.3664087.

    Abstract

    An eye-tracking experiment examined contextual flexibility in speech processing in response to distortions in spoken input. Dutch participants heard Dutch sentences containing critical words and saw four-picture displays. The name of one picture either had the same onset phonemes as the critical word or had a different first phoneme and rhymed. Participants fixated onset-overlap more than rhyme-overlap pictures, but this tendency varied with speech quality. Relative to a baseline with noise-free sentences, participants looked less at onset-overlap and more at rhyme-overlap pictures when phonemes in the sentences (but not in the critical words) were replaced by noises like those heard on a badly-tuned AM radio. The position of the noises (word-initial or word-medial) had no effect. Noises elsewhere in the sentences apparently made evidence about the critical word less reliable: Listeners became less confident of having heard the onset-overlap name but also less sure of having not heard the rhyme-overlap name. The same acoustic information has different effects on spoken-word recognition as the probability of distortion changes.

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