Publications

Displaying 301 - 400 of 758
  • Kempen, G. (1971). [Review of the book General Psychology by N. Dember and J.J. Jenkins]. Nijmeegs Tijdschrift voor Psychologie, 19, 132-133.
  • Kempen, G. (1973). [Review of the book Psycholinguïstiek by B. Tervoort et al.]. Nederlands Tijdschrift voor de Psychologie, 28, 172-174.
  • Kempen, G. (1966). [Review of the book Theories of learning and instruction ed. by E.R. Hilgard]. Nijmeegs Tijdschrift voor Psychologie, 14, 250.
  • Kempen, G., & Vosse, T. (1989). Incremental syntactic tree formation in human sentence processing: A cognitive architecture based on activation decay and simulated annealing. Connection Science, 1(3), 273-290. doi:10.1080/09540098908915642.

    Abstract

    A new cognitive architecture is proposed for the syntactic aspects of human sentence processing. The architecture, called Unification Space, is biologically inspired but not based on neural nets. Instead it relies on biosynthesis as a basic metaphor. We use simulated annealing as an optimization technique which searches for the best configuration of isolated syntactic segments or subtrees in the final parse tree. The gradually decaying activation of individual syntactic nodes determines the ‘global excitation level’ of the system. This parameter serves the function of ‘computational temperature’ in simulated annealing. We have built a computer implementation of the architecture which simulates well-known sentence understanding phenomena. We report successful simulations of the psycholinguistic effects of clause embedding, minimal attachment, right association and lexical ambiguity. In addition, we simulated impaired sentence understanding as observable in agrammatic patients. Since the Unification Space allows for contextual (semantic and pragmatic) influences on the syntactic tree formation process, it belongs to the class of interactive sentence processing models.
  • Kempen, G. (1979). La mise en paroles, aspects psychologiques de l'expression orale. Études de Linguistique Appliquée, 33, 19-28.

    Abstract

    Remarques sur les facteurs intervenant dans le processus de formulation des énoncés.
  • Kempen, G. (1971). Het onthouden van eenvoudige zinnen met zijn en hebben als werkwoorden: Een experiment met steekwoordreaktietijden. Nijmeegs Tijdschrift voor Psychologie, 19, 262-274.
  • Kempen, G. (1996). Lezen, leren lezen, dyslexie: De auditieve basis van visuele woordherkenning. Nederlands Tijdschrift voor de Psychologie, 51, 91-100.
  • Kempen, G. (1971). Opslag van woordbetekenissen in het semantisch geheugen. Nijmeegs Tijdschrift voor Psychologie, 19, 36-50.
  • Kempen, G. (1985). Psychologie 2000. Toegepaste psychologie in de informatiemaatschappij. Computers in de psychologie, 13-21.
  • Kempen, G. (1979). Psychologie van de zinsbouw: Een Wundtiaanse inleiding. Nederlands Tijdschrift voor de Psychologie, 34, 533-551.

    Abstract

    The psychology of language as developed by Wilhelm Wundt in his fundamental work Die Sprache (1900) has a strongly mentalistic character. The dominating positions held by behaviorism in psychology and structuralism in linguistics have overruled Wundt’s language theory to the effect that it has remained relatively unknown. This situation has changed recently under the influence of transformational linguistics and cognitive psychology. The paper discusses how Wundt applied the basic psychological concepts of apperception and association to language behavior, in particular to the construction and production of sentences during unprepared speech. The final part of the paper is devoted to the work, published in 1917, of the Dutch linguistic scholar Jacques van Ginneken, who elaborated Wundt’s ideas towards an explanation of some syntactic phenomena during the language acquisition of children.
  • Kempen, G., & Huijbers, P. (1983). The lexicalization process in sentence production and naming: Indirect election of words. Cognition, 14(2), 185-209. doi:10.1016/0010-0277(83)90029-X.

    Abstract

    A series of experiments is reported in which subjects describe simple visual scenes by means of both sentential and non-sentential responses. The data support the following statements about the lexicalization (word finding) process. (1) Words used by speakers in overt naming or sentence production responses are selected by a sequence of two lexical retrieval processes, the first yielding abstract pre-phonological items (Ll -items), the second one adding their phonological shapes (L2-items). (2) The selection of several Ll-items for a multi-word utterance can take place simultaneously. (3) A monitoring process is watching the output of Ll-lexicalization to check if it is in keeping with prevailing constraints upon utterance format. (4) Retrieval of the L2-item which corresponds with a given LI-item waits until the Ld-item has been checked by the monitor, and all other Ll-items needed for the utterance under construction have become available. A coherent picture of the lexicalization process begins to emerge when these characteristics are brought together with other empirical results in the area of naming and sentence production, e.g., picture naming reaction times (Seymour, 1979), speech errors (Garrett, 1980), and word order preferences (Bock, 1982).
  • Kempen, G. (1983). Wat betekent taalvaardigheid voor informatiesystemen? TNO project: Maandblad voor toegepaste wetenschappen, 11, 401-403.
  • Kempen, G. (1996). Wetenschap op internet: Een voorstel voor de Nederlandse Psychonomie. Nieuwsbrief Nederlandse Vereniging voor Psychonomie, 3, 5-8.
  • Kempen, G. (1979). Woordwaarde. De Psycholoog, 14, 577.
  • Kidd, E., Stewart, A. J., & Serratrice, L. (2011). Children do not overcome lexical biases where adults do: The role of the referential scene in garden-path recovery. Journal of Child Language, 38(1), 222-234. doi:10.1017/s0305000909990316.

    Abstract

    In this paper we report on a visual world eye-tracking experiment that investigated the differing abilities of adults and children to use referential scene information during reanalysis to overcome lexical biases during sentence processing. The results showed that adults incorporated aspects of the referential scene into their parse as soon as it became apparent that a test sentence was syntactically ambiguous, suggesting they considered the two alternative analyses in parallel. In contrast, the children appeared not to reanalyze their initial analysis, even over shorter distances than have been investigated in prior research. We argue that this reflects the children's over-reliance on bottom-up, lexical cues to interpretation. The implications for the development of parsing routines are discussed
  • Kidd, E., & Bavin, E. L. (2002). English-speaking children's comprehension of relative clauses: Evidence for general-cognitive and language-specific constraints on development. Journal of Psycholinguistic Research, 31(6), 599-617. doi:10.1023/A:1021265021141.

    Abstract

    Children must possess some ability to process input in a meaningful manner to acquire language. The present study reports on data from an experiment investigating 3- to 5-year-old English-speaking children's understanding of restrictive relative clauses manipulated for embeddedness and focus. The results of the study showed that English-speaking children acquire right-branching before center-embedded structures. Comparisons made with data from Portuguese-speaking children suggest general-cognitive and language-specific constraints on development, and with respect to English, a “clause expansion” approach to processing in development
  • Kidd, E., Kemp, N., & Quinn, S. (2011). Did you have a choccie bickie this arvo? A quantitative look at Australian hypocoristics. Language Sciences, 33(3), 359-368. doi:10.1016/j.langsci.2010.11.006.

    Abstract

    This paper considers the use and representation of Australian hypocoristics (e.g., choccie → chocolate, arvo → afternoon). One-hundred-and-fifteen adult speakers of Australian English aged 17–84 years generated as many tokens of hypocoristics as they could in 10 min. The resulting corpus was analysed along a number of dimensions in an attempt to identify (i) general age- and gender-related trends in hypocoristic knowledge and use, and (ii) linguistic properties of each hypocoristic class. Following Bybee’s (1985, 1995) lexical network approach, we conclude that Australian hypocoristics are the product of the same linguistic processes that capture other inflectional morphological processes.
  • Kidd, E., & Kirjavainen, M. (2011). Investigating the contribution of procedural and declarative memory to the acquisition of past tense morphology: Evidence from Finnish. Language and Cognitive Processes, 26(4-6), 794-829. doi:10.1080/01690965.2010.493735.

    Abstract

    The present paper reports on a study that investigated the role of procedural and declarative memory in the acquisition of Finnish past tense morphology. Two competing models were tested. Ullman's (2004) declarative/procedural model predicts that procedural memory supports the acquisition of regular morphology, whereas declarative memory supports the acquisition of irregular morphology. In contrast, single-route approaches predict that declarative memory should support lexical learning, which in turn should predict morphological acquisition. One-hundred and twenty-four (N=124) monolingual Finnish-speaking children aged 4;0–6;7 completed tests of procedural and declarative memory, tests of vocabulary knowledge and nonverbal ability, and a test of past test knowledge. The results best supported the single-route approach, suggesting that this account best extends to languages that possess greater morphological complexity than English.
  • 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
  • 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).
  • Kirsch, K., & Dittmar, N. (2002). [Review of the book Russlanddeutsche Sprachbiografien: Untersuchungen zur sprachlichen Integration von Aussiedlerfamilien by Katharina Meng]. Zeitschrift für Sprachwissenschaft, 21, 295-296.
  • Klein, W. (Ed.). (2002). Sprache des Rechts II [Special Issue]. Zeitschrift für Literaturwissenschaft und Linguistik, 128.
  • 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., & Schlieben-Lange, B. (1996). Das Ich und die Sprache. Zeitschrift für Literaturwissenschaft und Linguistik, 101, 1-5.
  • Klein, W. (1973). Eine Analyse der Kerne in Schillers "Räuber". Cahiers de linguistique théorique et appliquée, 10, 195-200.
  • Klein, W. (1985). Einleitung. Zeitschrift für Literaturwissenschaft und Linguistik; Metzler, Stuttgart, 15(59), 7-8.
  • Klein, W., & Meibauer, J. (2011). Einleitung. LiLi, Zeitschrift für Literaturwissenschaft und Linguistik, 41(162), 5-8.

    Abstract

    Nannten die Erwachsenen irgend einen Gegenstand und wandten sie sich dabei ihm zu, so nahm ich das wahr und ich begriff, daß der Gegenstand durch die Laute, die sie aussprachen, bezeichnet wurde, da sie auf ihn hinweisen wollten. Dies aber entnahm ich aus ihren Gebärden, der natürlichen Sprache aller Völker, der Sprache, die durch Mienen- und Augenspiel, durch die Bewegungen der Glieder und den Klang der Stimme die Empfindungen der Seele anzeigt, wenn diese irgend etwas begehrt, oder festhält, oder zurückweist, oder flieht. So lernte ich nach und nach verstehen, welche Dinge die Wörter bezeichneten, die ich wieder und wieder, an ihren bestimmten Stellen in verschiedenen Sätzen, aussprechen hörte. Und ich brachte, als nun mein Mund sich an diese Zeichen gewöhnt hatte, durch sie meine Wünsche zum Ausdruck. (Augustinus, Confessiones I, 8) Dies ist das Zitat eines Zitats: Zu Beginn der Philosophischen Untersuchungen führt Ludwig Wittgenstein diese Stelle aus Augustinus’ Bekenntnissen an, in denen dieser beschreibt, wie er seiner Erinnerung nach seine Muttersprache gelernt hat (Wittgenstein führt den lateinischen Text an und gibt dann seine Übersetzung, hier ist nur letztere zitiert). Sie bilden den Ausgangspunkt für Wittgensteins berühmte Überlegungen über die Funktionsweise der menschlichen Sprache und für seine Idee des Sprachspiels. Nun weiß man nicht, wie genau sich Augustinus wirklich erinnert und ob er sich all dies, wie so viel, was seither über den Spracherwerb gesagt und geschrieben wurde, bloß zurechtgelegt hat, in der Meinung, so müsse es sein. Aber anders als so vieles, was seither über den Spracherwerb gesagt und geschrieben wurde, ist es wunderbar formuliert und enthält zwei Momente, die in der wissenschaftlichen Forschung bis heute, wenn denn nicht bestritten, so doch oft nicht gesehen und dort, wo sie denn gesehen, nicht wirklich ernstgenommen wurden: A. Wir lernen die Sprache in der alltäglichen Kommunikation mit der sozialen Umgebung. B. Um eine Sprache zu lernen, genügt es nicht, diese Sprache zu hören; vielmehr benötigen wir eine Fülle an begleitender Information, wie hier Gestik und Mimik der Erwachsenen. Beides möchte man eigentlich für selbstverständlich halten. Herodot erzählt die berühmte Geschichte des Pharaos Psammetich, der wissen wollte, was die erste und eigentliche Sprache der Menschen sei, und befahl, zwei Neugeborene aufwachsen zu lassen, ohne dass jemand zu ihnen spricht; das erste Wort, das sie äußern, klang, so erzählt Herodot, wie das phrygische Wort für Brot, und so nahm man denn an, die Ursprache des Menschen sei das Phrygische. In dieser Vorstellung vom Spracherwerb spielt der Input aus der sozialen Umgebung nur insofern eine Rolle, als die eigentliche, von Geburt an vorhandene Sprache durch eine andere verdrängt werden kann: Kinder, die in einer englischsprachigen Umgebung aufwachsen, sprechen nicht die Ursprache. Diese Theorie gilt heute als obsolet. Sie ist aber in ihrer Einschätzung vom relativen Gewicht dessen, was an sprachlichem Wissen von Anfang an vorhanden ist, und dem, was der sozialen Umgebung entnommen werden muss, manchen neueren Theorien des Spracherwerbs nicht ganz fern: In der Chomsky’schen Idee der Universalgrammatik, theoretische Grundlage eines wesentlichen Teils der modernen Spracherwerbsforschung, ist „die Sprache” hauptsächlich etwas Angeborenes, insoweit gleich für alle Menschen und vom jeweiligen Input unabhängig. Das, was das Kind oder, beim Zweitspracherwerb, der erwachsene Lerner an Sprachlichem aus seiner Umgebung erfährt, wird nicht genutzt, um daraus bestimmte Regelhaftigkeiten abzuleiten und sich diese anzueignen; der Input fungiert eher als eine Art externer Auslöser für latent bereits vorhandenes Wissen. Für das Erlernen des Wortschatzes gilt dies sicher nicht. Es kann nicht angeboren sein, dass der Mond luna heißt. Für andere Bereiche der Sprache ist das Ausmaß des Angeborenen aber durchaus umstritten. Bei dieser Denkweise gilt das unter A Gesagte nicht. Die meisten modernen Spracherwerbsforscher schreiben dem Input ein wesentlich höheres Gewicht zu: Wir kopieren die charakteristischen Eigenschaften eines bestimmten sprachlichen Systems, indem wir den Input analysieren, um so die ihm zugrundeliegenden Regularitäten abzuleiten. Der Input tritt uns in Form von Schallfolgen (oder Gesten und später geschriebenen Zeichen) entgegen, die von anderen, die das System beherrschen, zu kommunikativen Zwecken verwendet werden. Diese Schallfolgen müssen die Lernenden in kleinere Einheiten zerlegen, diese mit Bedeutungen versehen und nach den Regularitäten abklopfen, denen gemäß sie sich zu komplexeren Ausdrücken verbinden lassen. Dies – und vieles andere – ist es, was das dem Menschen angeborene Sprachvermögen leistet, keine andere Spezies kann es (einem Pferd kann man so viel Chinesisch vorspielen, wie man will, es wird es nicht lernen). Aber auch wir könnten es nicht, wenn wir nur den Schall hätten. Wenn man, in einer Abwandlung des Psammetich’schen Versuchs, jemanden in ein Zimmer einsperren und tagaus tagein mit Chinesisch beschallen und im Übrigen gut versorgen würde, so würde er es, gleich ob als Kind oder als Erwachsener, nicht lernen. Vielleicht würde er einige strukturelle Eigenschaften des Schallstroms ausfindig machen; aber er würde auch nach Jahren kein Chinesisch können. Man benötigt den Schallstrom als sinnlich fassbaren Ausdruck der zugrundeliegenden Sprache, und man benötigt all die Informationen, die man der jeweiligen Redesituation oder aber seinem bereits vorhandenen anderweitigen Wissen entnehmen kann. Augustinus hat beides radikal vereinfacht; aber im Prinzip hat er Recht, und man sollte daher von der Spracherwerbsforschung erwarten, dass sie dies in Rechnung stellt. Das tut sie aber selten. Soweit sie überhaupt aus dem Gehäuse der Theorie tritt und sich den tatsächlichen Verlauf des Spracherwerbs anschaut, konzentriert sie sich weithin auf das, was die Kinder selbst sagen – dazu dienen ausgedehnte Corpora –, oder aber sie untersucht in experimentellen Settings, wie Kinder bestimmte Wörter oder Strukturen verstehen oder auch nicht verstehen. Das hat auch, wenn denn gut gemacht, einen hohen Aufschlusswert. Aber die eigentliche Verarbeitung des Inputs im doppelten Sinne – Schallwellen und Parallelinformation – wird selten in den Mittelpunkt des Interesses gerückt. Dies führt zu eigentümlichen Verzerrungen. So betrachtet man in der Spracherwerbsforschung vor allem deklarative Hauptsätze. Ein nicht unwesentlicher Teil dessen, was Kinder hören, besteht aber aus Imperativen („Tu das!“, „Tu das nicht!“). In solchen Imperativen gibt es normalerweise kein Subjekt. Ein intelligentes Kind muss daher zu dem Schluss kommen, dass das Deutsche in einem nicht unwesentlichen Teil seiner grammatischen Strukturen eine „pro drop-Sprache” ist, d.h. eine Sprache, in dem man das Subjekt weglassen kann. Kein Linguist käme auf diese Idee; sie entspricht aber den tatsächlichen Verhältnissen, und dies schlägt sich in dem Input, den das Kind verarbeiten muss, nieder. Dieses Heft befasst sich mit einer Spracherwerbssituation, in der – anders als beispielsweise bei einem Gespräch am Frühstückstisch – der Input in seiner doppelten Form gut zu überschauen ist, ohne dass die Situation, wie etwa bei einem kontrollierten Experiment, unnatürlich und der normalen Lernumgebung ferne wäre: mit dem Anschauen, Vorlesen und Lesen von Kinderbüchern. Man kann sich eine solche Situation als eine natürliche Ausweitung dessen vorstellen, was Augustinus beschreibt: Die Kinder hören, was die Erwachsenen sagen, und ihre Aufmerksamkeit wird auf bestimmte Dinge gerichtet, während sie hören und schauen – nur geht es hier nicht um einzelne Wörter, sondern um komplexe Ausdrücke und um komplexe, aber dennoch überschaubare begleitende Informationen. Nun haben Kinderbücher in der Spracherwerbsforschung durchaus eine Rolle gespielt. Dabei dienen sie – sei es als reine Folge von Bildern, sei es mit Text oder gar nur als Text – aber meistens nur als eine Art Vorlage für die Sprachproduktion der Kinder: Sie sollen aus der Vorlage eine Geschichte ableiten und in ihren eigenen Worten erzählen. Das bekannteste, aber keineswegs das einzige Beispiel sind die von Michael Bamberg, Ruth Berman und Dan Slobin in den 1980er Jahren initiierten „frog stories” – Nacherzählungen einer einfachen Bildgeschichte, die inzwischen in zahlreichen Sprachen vorliegen und viele Aufschlüsse über die unterschiedlichsten Aspekte der sich entwickelnden Sprachbeherrschung, von der Flexionsmorphologie bis zur Textstruktur, gebracht haben. Das ist gut und sinnvoll; aber im Grunde müsste man einen Schritt weiter gehen, nämlich gleichsam wir durch ein Mikroskop zu schauen, wie sich die Kinder ihre Regularitäten aus der Interaktion ableiten. Dies würde unsere Vorstellungen über den Verlauf des Spracherwerbs und die Gesetzlichkeiten, nach denen er erfolgt, wesentlich bereichern, vielleicht auf eine ganz neue Basis stellen. Die Beiträge dieses Heftes geben dafür eine Reihe von Beispielen, von denen nur ein kleines, aber besonders schlagendes erwähnt werden soll. Es gibt zahlreiche, auf Bildgeschichten beruhende Analysen, in denen untersucht wird, wie Kinder eine bestimmte Person oder eine Sache im fortlaufenden Diskurs benennen – ob sie etwa definite und indefinite Nominalausdrücke (ein Junge – der Junge), lexikalische oder pronominale Nominalphrasen (der Junge – er) oder gar leere Elemente (der Junge wacht auf und 0 schaut nach seinem Hund) richtig verwenden können. Das Bild, das die Forschung in diesem wesentlichen Teil der Sprachbeherrschung heute bietet, ist alles andere als einheitlich. So umfassen die Ansichten darüber, wann die Definit-Indefinit-Unterscheidung gemeistert wird, den größten Teil der Kindheit, je nachdem, welche Untersuchungen man zu Rate zieht. In dem Aufsatz von Katrin Dammann-Thedens wird deutlich, dass Kindern in einem bestimmen Alter oft überhaupt nicht klar ist, dass eine bestimmte Person, eine bestimmte Sache auf fortlaufenden Bildern dieselbe ist – auch wenn sie ähnlich aussieht –, und das ist bei Licht besehen ja auch keine triviale Frage. Diese Beobachtungen werfen ein ganz neues Licht auf die Idee der referentiellen Kontinuität im Diskurs und ihren Ausdruck durch nominale Ausdrücke wie die eben genannten. Vielleicht haben wir ganz falsche Vorstellungen darüber, wie Kinder die begleitende Information – hier durch die Bilder einer Geschichte geliefert – verstehen und damit für den Spracherwerb verarbeiten. Derlei Beobachtungen sind zunächst einmal etwas Punktuelles, keine Antworten, sondern Hinweise auf Dinge, die man bedenken muss. Aber ihre Analyse, und allgemeiner, ein genauerer Blick auf das, was sich tatsächlich abspielt, wenn Kinder sich Kinderbücher anschauen, mag uns vielleicht zu einem wesentlich tieferen Verständnis dessen führen, was beim Erwerb einer Sprache tatsächlich geschieht.
  • Klein, W. (1979). Einleitung. Zeitschrift für Literaturwissenschaft und Linguistik; Metzler, Stuttgart, 9(33), 7-8.
  • Klein, W., & Jungbluth, K. (Eds.). (2002). Deixis [Special Issue]. Zeitschrift für Literaturwissenschaft und Linguistik, 125.
  • Klein, W. (1971). Eine kommentierte Bibliographie zur Computerlinguistik. Linguistische Berichte, (11), 101-134.
  • Klein, W., & Jungbluth, K. (2002). Einleitung - Introduction. Zeitschrift für Literaturwissenschaft und Linguistik, 125, 5-9.
  • Klein, W. (1985). Gesprochene Sprache - geschriebene Sprache. Zeitschrift für Literaturwissenschaft und Linguistik, 59, 9-35.
  • Klein, W. (Ed.). (1989). Kindersprache [Special Issue]. Zeitschrift für Literaturwissenschaft und Linguistik, (73).
  • Klein, W. (Ed.). (1983). Intonation [Special Issue]. Zeitschrift für Literaturwissenschaft und Linguistik, (49).
  • Klein, W. (1989). Introspection into what? Review of C. Faerch & G. Kaspar (Eds.) Introspection in second language research 1987. Contemporary Psychology, 34(12), 1119-1120.
  • Klein, W. (Ed.). (1979). Sprache und Kontext [Special Issue]. Zeitschrift für Literaturwissenschaft und Linguistik, (33).
  • Klein, W., & Schlieben-Lange, B. (Eds.). (1996). Sprache und Subjektivität I [Special Issue]. Zeitschrift für Literaturwissenschaft und Linguistik, (101).
  • Klein, W., & Schlieben-Lange, B. (Eds.). (1996). Sprache und Subjektivität II [Special Issue]. Zeitschrift für Literaturwissenschaft und Linguistik, (102).
  • Klein, W., & Meibauer, J. (Eds.). (2011). Spracherwerb und Kinderliteratur [Special Issue]. Zeitschrift für Literaturwissenschaft und Linguistik, 162.
  • Klein, W. (1989). Sprechen lernen - das Selbstverständlichste von der Welt: Einleitung. Zeitschrift für Literaturwissenschaft und Linguistik, 73, 7-17.
  • Klein, W. (1989). Schreiben oder Lesen, aber nicht beides, oder: Vorschlag zur Wiedereinführung der Keilschrift mittels Hammer und Meißel. Zeitschrift für Literaturwissenschaft und Linguistik, 74, 116-119.
  • Klein, W. (Ed.). (1985). Schriftlichkeit [Special Issue]. Zeitschrift für Literaturwissenschaft und Linguistik, (59).
  • Klein, W. (1979). Wegauskünfte. Zeitschrift für Literaturwissenschaft und Linguistik, 33, 9-57.
  • Klein, W. (Ed.). (1996). Zweitspracherwerb [Special Issue]. Zeitschrift für Literaturwissenschaft und Linguistik, (104).
  • Klein, W. (1983). Vom Glück des Mißverstehens und der Trostlosigkeit der idealen Kommunikationsgemeinschaft. Zeitschrift für Literaturwissenschaft und Linguistik, 50, 128-140.
  • Knosche, T. R., & Bastiaansen, M. C. M. (2002). On the time resolution of event-related desynchronization: A simulation study. Clinical Neurophysiology, 113(5), 754-763. doi:10.1016/S1388-2457(02)00055-X.

    Abstract

    Objectives: To investigate the time resolution of different methods for the computation of event-related desynchronization/synchronization (ERD/ERS), including one based on Hilbert transform. Methods: In order to better understand the time resolution of ERD/ERS, which is a function of factors such as the exact computation method, the frequency under study, the number of trials, and the sampling frequency, we simulated sudden changes in oscillation amplitude as well as very short and closely spaced events. Results: Hilbert-based ERD yields very similar results to ERD integrated over predefined time intervals (block ERD), if the block length is half the period length of the studied frequency. ERD predicts the onset of a change in oscillation amplitude with an error margin of only 10–30 ms. On the other hand, the time the ERD response needs to climb to its full height after a sudden change in oscillation amplitude is quite long, i.e. between 200 and 500 ms. With respect to sensitivity to short oscillatory events, the ratio between sampling frequency and electroencephalographic frequency band plays a major role. Conclusions: (1) The optimal time interval for the computation of block ERD is half a period of the frequency under investigation. (2) Due to the slow impulse response, amplitude effects in the ERD may in reality be caused by duration differences. (3) Although ERD based on the Hilbert transform does not yield any significant advantages over classical ERD in terms of time resolution, it has some important practical advantages.
  • 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.
  • Koenigs, M., Acheson, D. J., Barbey, A. K., Soloman, J., Postle, B. R., & Grafman, J. (2011). Areas of left perisylvian cortex mediate auditory-verbal short-term memory. Neuropsychologia, 49(13), 3612-3619. doi:10.1016/j.neuropsychologia.2011.09.013.

    Abstract

    A contentious issue in memory research is whether verbal short-term memory (STM) depends on a neural system specifically dedicated to the temporary maintenance of information, or instead relies on the same brain areas subserving the comprehension and production of language. In this study, we examined a large sample of adults with acquired brain lesions to identify the critical neural substrates underlying verbal STM and the relationship between verbal STM and language processing abilities. We found that patients with damage to selective regions of left perisylvian cortex – specifically the inferior frontal and posterior temporal sectors – were impaired on auditory–verbal STM performance (digit span), as well as on tests requiring the production and/or comprehension of language. These results support the conclusion that verbal STM and language processing are mediated by the same areas of left perisylvian cortex.

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  • Kokal, I., Engel, A., Kirschner, S., & Keysers, C. (2011). Synchronized drumming enhances activity in the caudate and facilitates prosocial commitment - If the rhythm comes easily. PLoS One, 6(11), e27272. doi:10.1371/journal.pone.0027272.

    Abstract

    Why does chanting, drumming or dancing together make people feel united? Here we investigate the neural mechanisms underlying interpersonal synchrony and its subsequent effects on prosocial behavior among synchronized individuals. We hypothesized that areas of the brain associated with the processing of reward would be active when individuals experience synchrony during drumming, and that these reward signals would increase prosocial behavior toward this synchronous drum partner. 18 female non-musicians were scanned with functional magnetic resonance imaging while they drummed a rhythm, in alternating blocks, with two different experimenters: one drumming in-synchrony and the other out-of-synchrony relative to the participant. In the last scanning part, which served as the experimental manipulation for the following prosocial behavioral test, one of the experimenters drummed with one half of the participants in-synchrony and with the other out-of-synchrony. After scanning, this experimenter "accidentally" dropped eight pencils, and the number of pencils collected by the participants was used as a measure of prosocial commitment. Results revealed that participants who mastered the novel rhythm easily before scanning showed increased activity in the caudate during synchronous drumming. The same area also responded to monetary reward in a localizer task with the same participants. The activity in the caudate during experiencing synchronous drumming also predicted the number of pencils the participants later collected to help the synchronous experimenter of the manipulation run. In addition, participants collected more pencils to help the experimenter when she had drummed in-synchrony than out-of-synchrony during the manipulation run. By showing an overlap in activated areas during synchronized drumming and monetary reward, our findings suggest that interpersonal synchrony is related to the brain's reward system.
  • 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.
  • Kreuzer, H. (Ed.). (1971). Methodische Perspektiven [Special Issue]. Zeitschrift für Literaturwissenschaft und Linguistik, (1/2).
  • Kucera, K. S., Reddy, T. E., Pauli, F., Gertz, J., Logan, J. E., Myers, R. M., & Willard, H. F. (2011). Allele-specific distribution of RNA polymerase II on female X chromosomes. Human Molecular Genetics, 20, 3964-3973. doi:10.1093/hmg/ddr315.

    Abstract

    While the distribution of RNA polymerase II (PolII) in a variety of complex genomes is correlated with gene expression, the presence of PolII at a gene does not necessarily indicate active expression. Various patterns of PolII binding have been described genome wide; however, whether or not PolII binds at transcriptionally inactive sites remains uncertain. The two X chromosomes in female cells in mammals present an opportunity to examine each of the two alleles of a given locus in both active and inactive states, depending on which X chromosome is silenced by X chromosome inactivation. Here, we investigated PolII occupancy and expression of the associated genes across the active (Xa) and inactive (Xi) X chromosomes in human female cells to elucidate the relationship of gene expression and PolII binding. We find that, while PolII in the pseudoautosomal region occupies both chromosomes at similar levels, it is significantly biased toward the Xa throughout the rest of the chromosome. The general paucity of PolII on the Xi notwithstanding, detectable (albeit significantly reduced) binding can be observed, especially on the evolutionarily younger short arm of the X. PolII levels at genes that escape inactivation correlate with the levels of their expression; however, additional PolII sites can be found at apparently silenced regions, suggesting the possibility of a subset of genes on the Xi that are poised for expression. Consistent with this hypothesis, we show that a high proportion of genes associated with PolII-accessible sites, while silenced in GM12878, are expressed in other female cell lines.
  • Küntay, A. C., & Slobin, D. I. (2002). Putting interaction back into child language: Examples from Turkish. Psychology of Language and Communication, 6(1): 14.

    Abstract

    As in the case of other non-English languages, the study of the acquisition of Turkish has mostly focused on aspects of grammatical morphology and syntax, largely neglecting the study of the effect of interactional factors on child morphosyntax. This paper reviews indications from past research that studying input and adult-child discourse can facilitate the study of the acquisition of morphosyntax in the Turkish language. It also provides some recent studies of Turkish child language on the relationship of child-directed speech to the early acquisition of morphosyntax, and on the pragmatic features of a certain kind of discourse form in child-directed speech called variation sets.
  • Kuzla, C., & Ernestus, M. (2011). Prosodic conditioning of phonetic detail in German plosives. Journal of Phonetics, 39, 143-155. doi:10.1016/j.wocn.2011.01.001.

    Abstract

    This study investigates the prosodic conditioning of phonetic details which are candidate cues to phonological contrasts. German /b, d, g, p, t, k/ were examined in three prosodic positions. Lenis plosives /b, d, g/ were produced with less glottal vibration at larger prosodic boundaries, whereas their VOT showed no effect of prosody. VOT of fortis plosives /p, t, k/ decreased at larger boundaries, as did their burst intensity maximum. Vowels (when measured from consonantal release) following fortis plosives and lenis velars were shorter after larger boundaries. Closure duration, which did not contribute to the fortis/lenis contrast, was heavily affected by prosody. These results support neither of the hitherto proposed accounts of prosodic strengthening (Uniform Strengthening and Feature Enhancement). We propose a different account, stating that the phonological identity of speech sounds remains stable not only within, but also across prosodic positions (contrast-over-prosody hypothesis). Domain-initial strengthening hardly diminishes the contrast between prosodically weak fortis and strong lenis plosives.
  • Laaksonen, H., Kujala, J., Hultén, A., Liljeström, M., & Salmelin, R. (2011). MEG evoked responses and rhythmic activity provide spatiotemporally complementary measures of neural activity in language production. NeuroImage, 60, 29-36. doi:MEG evoked responses and rhythmic activity provide spatiotemporally complementary measures of neural activity in language production.

    Abstract

    Phase-locked evoked responses and event-related modulations of spontaneous rhythmic activity are the two main approaches used to quantify stimulus- or task-related changes in electrophysiological measures. The relationship between the two has beenwidely theorized upon but empirical research has been limited to the primary visual and sensorimotor cortex. However, both evoked responses and rhythms have been used as markers of neural activity in paradigms ranging from simple sensory to complex cognitive tasks.While some spatial agreement between the two phenomena has been observed, typically only one of the measures has been used in any given study, thus disallowing a direct evaluation of their exact spatiotemporal relationship. In this study, we sought to systematically clarify the connection between evoked responses and rhythmic activity. Using both measures, we identified the spatiotemporal patterns of task effects in three magnetoencephalography (MEG) data sets, all variants of a picture naming task. Evoked responses and rhythmic modulation yielded largely separate networks, with spatial overlap mainly in the sensorimotor and primary visual areas.Moreover, in the cortical regions thatwere identified with both measures the experimental effects they conveyed differed in terms of timing and function. Our results suggest that the two phenomena are largely detached and that both measures are needed for an accurate portrayal of brain activity.
  • Lacan, M., Keyser, C., Ricaut, F.-X., Brucato, N., Duranthon, F., Guilaine, J., Crubézy, E., & Ludes, B. (2011). Ancient DNA reveals male diffusion through the Neolithic Mediterranean route. Proceedings of the National Academy of Sciences of the United States of America, 108, 9788-9791. doi:10.1073/pnas.1100723108.

    Abstract

    The Neolithic is a key period in the history of the European settlement. Although archaeological and present-day genetic data suggest several hypotheses regarding the human migration patterns at this period, validation of these hypotheses with the use of ancient genetic data has been limited. In this context, we studied DNA extracted from 53 individuals buried in a necropolis used by a French local community 5,000 y ago. The relatively good DNA preservation of the samples allowed us to obtain autosomal, Y-chromosomal, and/or mtDNA data for 29 of the 53 samples studied. From these datasets, we established close parental relationships within the necropolis and determined maternal and paternal lineages as well as the absence of an allele associated with lactase persistence, probably carried by Neolithic cultures of central Europe. Our study provides an integrative view of the genetic past in southern France at the end of the Neolithic period. Furthermore, the Y-haplotype lineages characterized and the study of their current repartition in European populations confirm a greater influence of the Mediterranean than the Central European route in the peopling of southern Europe during the Neolithic transition.
  • Lacan, M., Keyser, C., Ricaut, F.-X., Brucato, N., Tarrús, J., Bosch, A., Guilaine, J., Crubézy, E., & Ludes, B. (2011). Ancient DNA suggests the leading role played by men in the Neolithic dissemination. Proceedings of the National Academy of Sciences of the United States of America, 108, 18255-18259. doi:10.1073/pnas.1113061108.

    Abstract

    The impact of the Neolithic dispersal on the western European populations is subject to continuing debate. To trace and date genetic lineages potentially brought during this transition and so understand the origin of the gene pool of current populations, we studied DNA extracted from human remains excavated in a Spanish funeral cave dating from the beginning of the fifth millennium B.C. Thanks to a “multimarkers” approach based on the analysis of mitochondrial and nuclear DNA (autosomes and Y-chromosome), we obtained information on the early Neolithic funeral practices and on the biogeographical origin of the inhumed individuals. No close kinship was detected. Maternal haplogroups found are consistent with pre-Neolithic settlement, whereas the Y-chromosomal analyses permitted confirmation of the existence in Spain approximately 7,000 y ago of two haplogroups previously associated with the Neolithic transition: G2a and E1b1b1a1b. These results are highly consistent with those previously found in Neolithic individuals from French Late Neolithic individuals, indicating a surprising temporal genetic homogeneity in these groups. The high frequency of G2a in Neolithic samples in western Europe could suggest, furthermore, that the role of men during Neolithic dispersal could be greater than currently estimated.

    Additional information

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  • Lai, J., & Poletiek, F. H. (2011). The impact of adjacent-dependencies and staged-input on the learnability of center-embedded hierarchical structures. Cognition, 118(2), 265-273. doi:10.1016/j.cognition.2010.11.011.

    Abstract

    A theoretical debate in artificial grammar learning (AGL) regards the learnability of hierarchical structures. Recent studies using an AnBn grammar draw conflicting conclusions (Bahlmann and Friederici, 2006, De Vries et al., 2008). We argue that 2 conditions crucially affect learning AnBn structures: sufficient exposure to zero-level-of-embedding (0-LoE) exemplars and a staged-input. In 2 AGL experiments, learning was observed only when the training set was staged and contained 0-LoE exemplars. Our results might help understanding how natural complex structures are learned from exemplars.
  • 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.

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    data
  • Lausberg, H., & Kita, S. (2002). Dissociation of right and left gesture spaces in split-brain patients. Cortex, 38(5), 883-886. doi:10.1016/S0010-9452(08)70062-5.

    Abstract

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

    Abstract

    The present study investigates hemispheric specialisation in the use of space in communicative gestures. For this purpose, we investigate split-brain patients in whom spontaneous and distinct right hand gestures can only be controlled by the left hemisphere and vice versa, the left hand only by the right hemisphere. On this anatomical basis, we can infer hemispheric specialisation from the performances of the right and left hands. In contrast to left hand dyspraxia in tasks that require language processing, split-brain patients utilise their left hands in a meaningful way in visuo-constructive tasks such as copying drawings or block-design. Therefore, we conjecture that split-brain patients are capable of using their left hands for the communication of the content of visuo-spatial animations via gestural demonstration. On this basis, we further examine the use of space in communicative gestures by the right and left hands. McNeill and Pedelty (1995) noted for the split-brain patient N.G. that her iconic right hand gestures were exclusively displayed in the right personal space. The present study investigates systematically if there is indication for neglect of the left personal space in right hand gestures in split-brain patients.
  • 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
  • Leckband, D. E., Menon, S., Rosenberg, K., Graham, S. A., Taylor, M. E., & Drickamer, K. (2011). Geometry and adhesion of extracellular domains of DC-SIGNR neck length variants analyzed by force-distance measurements. Biochemistry, 50, 6125-6132. doi:10.1021/bi2003444.

    Abstract

    Force-distance measurements have been used to examine differences in the interaction of the dendritic cell glycan-binding receptor DC-SIGN and the closely related endothelial cell receptor DC-SIGNR (L-SIGN) with membranes bearing glycan ligands. The results demonstrate that upon binding to membrane-anchored ligand, DC-SIGNR undergoes a conformational change similar to that previously observed for DC-SIGN. The results also validate a model for the extracellular domain of DC-SIGNR derived from crystallographic studies. Force measurements were performed with DC-SIGNR variants that differ in the length of the neck that result from genetic polymorphisms, which encode different numbers of the 23-amino acid repeat sequences that constitute the neck. The findings are consistent with an elongated, relatively rigid structure of the neck repeat observed in crystals. In addition, differences in the lengths of DC-SIGN and DC-SIGNR extracellular domains with equivalent numbers of neck repeats support a model in which the different dispositions of the carbohydrate-recognition domains in DC-SIGN and DC-SIGNR result from variations in the sequences of the necks.
  • 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.
  • Levelt, W. J. M. (2002). Picture naming and word frequency: Comments on Alario, Costa and Caramazza, Language and Cognitive Processes, 17(3), 299-319. Language and Cognitive Processes, 17(6), 663-671. doi:0.1080/01690960143000443.

    Abstract

    This commentary on Alario et al. (2002) addresses two issues: (1) Different from what the authors suggest, there are no theories of production claiming the phonological word to be the upper bound of advance planning before the onset of articulation; (2) Their picture naming study of word frequency effects on speech onset is inconclusive by lack of a crucial control, viz., of object recognition latency. This is a perennial problem in picture naming studies of word frequency and age of acquisition effects
  • Levelt, W. J. M. (1996). Hoedt u voor neurolinguïstisch programmeren. Actieblad tegen de kwakzalverij, 107, 12-14.
  • Levelt, W. J. M. (1966). Generatieve grammatica en psycholinguïstiek I: Inleiding in de generatieve grammatica. Nederlands Tijdschrift voor de Psychologie en haar Grensgebieden, 21, 317-337.
  • Levelt, W. J. M. (1966). Generatieve grammatica en psycholinguïstiek II. Psycholinguïstisch onderzoek. Nederlands Tijdschrift voor de Psychologie en haar Grensgebieden, 21, 367-400.
  • Levelt, W. J. M. (1983). Monitoring and self-repair in speech. Cognition, 14, 41-104. doi:10.1016/0010-0277(83)90026-4.

    Abstract

    Making a self-repair in speech typically proceeds in three phases. The first phase involves the monitoring of one’s own speech and the interruption of the flow of speech when trouble is detected. From an analysis of 959 spontaneous self-repairs it appears that interrupting follows detection promptly, with the exception that correct words tend to be completed. Another finding is that detection of trouble improves towards the end of constituents. The second phase is characterized by hesitation, pausing, but especially the use of so-called editing terms. Which editing term is used depends on the nature of the speech trouble in a rather regular fashion: Speech errors induce other editing terms than words that are merely inappropriate, and trouble which is detected quickly by the speaker is preferably signalled by the use of ‘uh’. The third phase consists of making the repair proper The linguistic well-formedness of a repair is not dependent on the speaker’s respecting the integriv of constituents, but on the structural relation between original utterance and repair. A bi-conditional well-formedness rule links this relation to a corresponding relation between the conjuncts of a coordination. It is suggested that a similar relation holds also between question and answer. In all three cases the speaker respects certain Istructural commitments derived from an original utterance. It was finally shown that the editing term plus the first word of the repair proper almost always contain sufficient information for the listener to decide how the repair should be related to the original utterance. Speakers almost never produce misleading information in this respect. It is argued that speakers have little or no access to their speech production process; self-monitoring is probably based on parsing one’s own inner or overt speech.
  • Levelt, W. J. M., & Plomp, R. (1966). Les dimensions dans la perception des intervalles musicaux. Sciences de l'art, 3, 172-182.
  • Levelt, W. J. M. (1989). Hochleistung in Millisekunden: Sprechen und Sprache verstehen. Universitas, 44(511), 56-68.
  • Levelt, W. J. M., & Cutler, A. (1983). Prosodic marking in speech repair. Journal of semantics, 2, 205-217. doi:10.1093/semant/2.2.205.

    Abstract

    Spontaneous self-corrections in speech pose a communication problem; the speaker must make clear to the listener not only that the original Utterance was faulty, but where it was faulty and how the fault is to be corrected. Prosodic marking of corrections - making the prosody of the repair noticeably different from that of the original utterance - offers a resource which the speaker can exploit to provide the listener with such information. A corpus of more than 400 spontaneous speech repairs was analysed, and the prosodic characteristics compared with the syntactic and semantic characteristics of each repair. Prosodic marking showed no relationship at all with the syntactic characteristics of repairs. Instead, marking was associated with certain semantic factors: repairs were marked when the original utterance had been actually erroneous, rather than simply less appropriate than the repair; and repairs tended to be marked more often when the set of items encompassing the error and the repair was small rather than when it was large. These findings lend further weight to the characterization of accent as essentially semantic in function.
  • Levelt, W. J. M. (1973). Recente ontwikkelingen in de taalpsychologie. Forum der Letteren, 14(4), 235-254.
  • Levelt, W. J. M. (1966). The alternation process in binocular rivalry. British Journal of Psychology, 57(3/4), 225-238.
  • Levelt, W. J. M. (1966). Some demonstrations of the complementary functioning of the eyes. Perception & Psychophysics, 1, 39-40.
  • Levelt, W. J. M., & Bonarius, M. (1973). Suffixes as deep structure clues. Methodology and Science, 6(1), 7-37.

    Abstract

    Recent work on sentence recognition suggests that listeners use their knowledge of the language to directly infer deep structure syntactic relations from surface structure markers. Suffixes may be such clues, especially in agglutinative languages. A cross-language (Dutch-Finnish) experiment is reported, designed to investigate whether the suffix structure of Finnish words (as opposed to suffixless Dutch words) can facilitate prompted recall of sentences in case these suffixes differentiate between possible deep structures. The experiment, in which 80 subjects recall sentences at the occasion of prompt words, gives only slight confirmatory evidence. Meanwhile, another prompted recall effect (Blumenthal's) could not be replicated.
  • Levelt, W. J. M., Richardson, G., & La Heij, W. (1985). Pointing and voicing in deictic expressions. Journal of Memory and Language, 24, 133-164. doi:10.1016/0749-596X(85)90021-X.

    Abstract

    The present paper studies how, in deictic expressions, the temporal interdependency of speech and gesture is realized in the course of motor planning and execution. Two theoretical positions were compared. On the “interactive” view the temporal parameters of speech and gesture are claimed to be the result of feedback between the two systems throughout the phases of motor planning and execution. The alternative “ballistic” view, however, predicts that the two systems are independent during the phase of motor execution, the temporal parameters having been preestablished in the planning phase. In four experiments subjects were requested to indicate which of an array of referent lights was momentarily illuminated. This was done by pointing to the light and/or by using a deictic expression (this/that light). The temporal and spatial course of the pointing movement was automatically registered by means of a Selspot opto-electronic system. By analyzing the moments of gesture initiation and apex, and relating them to the moments of speech onset, it was possible to show that, for deictic expressions, the ballistic view is very nearly correct.
  • Levelt, W. J. M. (1996). Waar komen gesproken woorden vandaan? De Psycholoog, 31, 434-437.
  • Levelt, W. J. M. (1983). Wetenschapsbeleid: Drie actuele idolen en een godin. Grafiet, 1(4), 178-184.
  • Levelt, W. J. M., Van de Geer, J. P., & Plomp, R. (1966). Triadic comparisons of musical intervals. British Journal of Mathematical & Statistical Psychology, 19(2), 163-179.
  • Levelt, W. J. M. (1979). On learnability: A reply to Lasnik and Chomsky. Unpublished manuscript.
  • Levinson, S. C., Kita, S., Haun, D. B. M., & Rasch, B. H. (2002). Returning the tables: Language affects spatial reasoning. Cognition, 84(2), 155-188. doi:10.1016/S0010-0277(02)00045-8.

    Abstract

    Li and Gleitman (Turning the tables: language and spatial reasoning. Cognition, in press) seek to undermine a large-scale cross-cultural comparison of spatial language and cognition which claims to have demonstrated that language and conceptual coding in the spatial domain covary (see, for example, Space in language and cognition: explorations in linguistic diversity. Cambridge: Cambridge University Press, in press; Language 74 (1998) 557): the most plausible interpretation is that different languages induce distinct conceptual codings. Arguing against this, Li and Gleitman attempt to show that in an American student population they can obtain any of the relevant conceptual codings just by varying spatial cues, holding language constant. They then argue that our findings are better interpreted in terms of ecologically-induced distinct cognitive styles reflected in language. Linguistic coding, they argue, has no causal effects on non-linguistic thinking – it simply reflects antecedently existing conceptual distinctions. We here show that Li and Gleitman did not make a crucial distinction between frames of spatial reference relevant to our line of research. We report a series of experiments designed to show that they have, as a consequence, misinterpreted the results of their own experiments, which are in fact in line with our hypothesis. Their attempts to reinterpret the large cross-cultural study, and to enlist support from animal and infant studies, fail for the same reasons. We further try to discern exactly what theory drives their presumption that language can have no cognitive efficacy, and conclude that their position is undermined by a wide range of considerations.
  • Levinson, S. C. (2002). Time for a linguistic anthropology of time. Current Anthropology, 43(4), S122-S123. doi:10.1086/342214.
  • Levinson, S. C. (1989). A review of Relevance [book review of Dan Sperber & Deirdre Wilson, Relevance: communication and cognition]. Journal of Linguistics, 25, 455-472.
  • Levinson, S. C. (1979). Activity types and language. Linguistics, 17, 365-399.
  • Levinson, S. C. (1996). Language and space. Annual Review of Anthropology, 25, 353-382. doi:10.1146/annurev.anthro.25.1.353.

    Abstract

    This review describes some recent, unexpected findings concerning variation in spatial language across cultures, and places them in the context of the general anthropology of space on the one hand, and theories of spatial cognition in the cognitive sciences on the other. There has been much concern with the symbolism of space in anthropological writings, but little on concepts of space in practical activities. This neglect of everyday spatial notions may be due to unwitting ethnocentrism, the assumption in Western thinking generally that notions of space are universally of a single kind. Recent work shows that systems of spatial reckoning and description can in fact be quite divergent across cultures, linguistic differences correlating with distinct cognitive tendencies. This unexpected cultural variation raises interesting questions concerning the relation between cultural and linguistic concepts and the biological foundations of cognition. It argues for more sophisticated models relating culture and cognition than we currently have available.
  • Levinson, S. C. (2011). Pojmowanie przestrzeni w różnych kulturach [Polish translation of Levinson, S. C. 1998. Studying spatial conceptualization across cultures]. Autoportret, 33, 16-23.

    Abstract

    Polish translation of Levinson, S. C. (1998). Studying spatial conceptualization across cultures: Anthropology and cognitive science. Ethos, 26(1), 7-24. doi:10.1525/eth.1998.26.1.7
  • Levinson, S. C., Greenhill, S. J., Gray, R. D., & Dunn, M. (2011). Universal typological dependencies should be detectable in the history of language families. Linguistic Typology, 15, 509-534. doi:10.1515/LITY.2011.034.

    Abstract

    1. Introduction We claim that making sense of the typological diversity of languages demands a historical/evolutionary approach.We are pleased that the target paper (Dunn et al. 2011a) has served to bring discussion of this claim into prominence, and are grateful that leading typologists have taken the time to respond (commentaries denoted by boldface). It is unfortunate though that a number of the commentaries in this issue of LT show significant misunderstandings of our paper. Donohue thinks we were out to show the stability of typological features, but that was not our target at all (although related methods can be used to do that: see, e.g., Greenhill et al. 2010a, Dediu 2011a). Plank seems to think we were arguing against universals of any type, but our target was in fact just the implicational universals of word order that have been the bread and butter of typology. He also seems to think we ignore diachrony, whereas in fact the method introduces diachrony centrally into typological reasoning, thereby potentially revolutionising typology (see Cysouw’s commentary). Levy & Daumé think we were testing for lineage-specificity, whereas that was in fact an outcome (the main finding) of our testing for correlated evolution. Dryer thinks we must account for the distribution of language types around the world, but that was not our aim: our aim was to test the causal connection between linguistic variables by taking the perspective of language evolution (diversification and change). Longobardi & Roberts seem to think we set out to extract family trees from syntactic features, but our goal was in fact to use trees based on lexical cognates and hang reconstructed syntactic states on each node of these trees, thereby reconstructing the processes of language change.
  • 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.
  • Lindell, A. K., & Kidd, E. (2011). Why right-brain teaching is half-witted: A critique of the misapplication of neuroscience to education. Mind, Brain and Education, 5(3), 121-127. doi:10.1111/j.1751-228X.2011.01120.x.

    Abstract

    Educational tools claiming to use “right-brain techniques” are increasingly shaping school curricula. By implying a strong scientific basis, such approaches appeal to educators who rightly believe that knowledge of the brain should guide curriculum development. However, the notion of hemisphericity (idea that people are “left-brained” or “right-brained”) is a neuromyth that was debunked in the scientific literature 25 years ago. This article challenges the validity of “right-brain” teaching, highlighting the fact that neuroscientific research does not support its claims. Providing teachers with a basic understanding of neuroscience research as part of teacher training would enable more effective evaluation of brain-based claims and facilitate the adoption of tools validated by rigorous independent research rather than programs based on pseudoscience.

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