Publications

Displaying 301 - 400 of 428
  • Sauter, D., Eisner, F., Ekman, P., & Scott, S. K. (2010). Cross-cultural recognition of basic emotions through nonverbal emotional vocalizations. Proceedings of the National Academy of Sciences, 107(6), 2408-2412. doi:10.1073/pnas.0908239106.

    Abstract

    Emotional signals are crucial for sharing important information, with conspecifics, for example, to warn humans of danger. Humans use a range of different cues to communicate to others how they feel, including facial, vocal, and gestural signals. We examined the recognition of nonverbal emotional vocalizations, such as screams and laughs, across two dramatically different cultural groups. Western participants were compared to individuals from remote, culturally isolated Namibian villages. Vocalizations communicating the so-called “basic emotions” (anger, disgust, fear, joy, sadness, and surprise) were bidirectionally recognized. In contrast, a set of additional emotions was only recognized within, but not across, cultural boundaries. Our findings indicate that a number of primarily negative emotions have vocalizations that can be recognized across cultures, while most positive emotions are communicated with culture-specific signals.
  • Sauter, D. (2010). Are positive vocalizations perceived as communicating happiness across cultural boundaries? [Article addendum]. Communicative & Integrative Biology, 3(5), 440-442. doi:10.4161/cib.3.5.12209.

    Abstract

    Laughter communicates a feeling of enjoyment across cultures, while non-verbal vocalizations of several other positive emotions, such as achievement or sensual pleasure, are recognizable only within, but not across, cultural boundaries. Are these positive vocalizations nevertheless interpreted cross-culturally as signaling positive affect? In a match-to-sample task, positive emotional vocal stimuli were paired with positive and negative facial expressions, by English participants and members of the Himba, a semi-nomadic, culturally isolated Namibian group. The results showed that laughter was associated with a smiling facial expression across both groups, consistent with previous work showing that human laughter is a positive, social signal with deep evolutionary roots. However, non-verbal vocalizations of achievement, sensual pleasure, and relief were not cross-culturally associated with smiling facial expressions, perhaps indicating that these types of vocalizations are not cross-culturally interpreted as communicating a positive emotional state, or alternatively that these emotions are associated with positive facial expression other than smiling. These results are discussed in the context of positive emotional communication in vocal and facial signals. Research on the perception of non-verbal vocalizations of emotions across cultures demonstrates that some affective signals, including laughter, are associated with particular facial configurations and emotional states, supporting theories of emotions as a set of evolved functions that are shared by all humans regardless of cultural boundaries.
  • Sauter, D. (2010). More than happy: The need for disentangling positive emotions. Current Directions in Psychological Science, 19, 36-40. doi:10.1177/0963721409359290.

    Abstract

    Despite great advances in scientific understanding of emotional processes in the last decades, research into the communication of emotions has been constrained by a strong bias toward negative affective states. Typically, studies distinguish between different negative emotions, such as disgust, sadness, anger, and fear. In contrast, most research uses only one category of positive affect, “happiness,” which is assumed to encompass all positive emotional states. This article reviews recent research showing that a number of positive affective states have discrete, recognizable signals. An increased focus on cues other than facial expressions is necessary to understand these positive states and how they are communicated; vocalizations, touch, and postural information offer promising avenues for investigating signals of positive affect. A full scientific understanding of the functions, signals, and mechanisms of emotions requires abandoning the unitary concept of happiness and instead disentangling positive emotions.
  • Sauter, D., Eisner, F., Calder, A. J., & Scott, S. K. (2010). Perceptual cues in nonverbal vocal expressions of emotion. Quarterly Journal of Experimental Psychology, 63(11), 2251-2272. doi:10.1080/17470211003721642.

    Abstract

    Work on facial expressions of emotions (Calder, Burton, Miller, Young, & Akamatsu, 2001) and emotionally inflected speech (Banse & Scherer, 1996) has successfully delineated some of the physical properties that underlie emotion recognition. To identify the acoustic cues used in the perception of nonverbal emotional expressions like laugher and screams, an investigation was conducted into vocal expressions of emotion, using nonverbal vocal analogues of the “basic” emotions (anger, fear, disgust, sadness, and surprise; Ekman & Friesen, 1971; Scott et al., 1997), and of positive affective states (Ekman, 1992, 2003; Sauter & Scott, 2007). First, the emotional stimuli were categorized and rated to establish that listeners could identify and rate the sounds reliably and to provide confusion matrices. A principal components analysis of the rating data yielded two underlying dimensions, correlating with the perceived valence and arousal of the sounds. Second, acoustic properties of the amplitude, pitch, and spectral profile of the stimuli were measured. A discriminant analysis procedure established that these acoustic measures provided sufficient discrimination between expressions of emotional categories to permit accurate statistical classification. Multiple linear regressions with participants' subjective ratings of the acoustic stimuli showed that all classes of emotional ratings could be predicted by some combination of acoustic measures and that most emotion ratings were predicted by different constellations of acoustic features. The results demonstrate that, similarly to affective signals in facial expressions and emotionally inflected speech, the perceived emotional character of affective vocalizations can be predicted on the basis of their physical features.
  • Sauter, D., & Eimer, M. (2010). Rapid detection of emotion from human vocalizations. Journal of Cognitive Neuroscience, 22, 474-481. doi:10.1162/jocn.2009.21215.

    Abstract

    The rapid detection of affective signals from conspecifics is crucial for the survival of humans and other animals; if those around you are scared, there is reason for you to be alert and to prepare for impending danger. Previous research has shown that the human brain detects emotional faces within 150 msec of exposure, indicating a rapid differentiation of visual social signals based on emotional content. Here we use event-related brain potential (ERP) measures to show for the first time that this mechanism extends to the auditory domain, using human nonverbal vocalizations, such as screams. An early fronto-central positivity to fearful vocalizations compared with spectrally rotated and thus acoustically matched versions of the same sounds started 150 msec after stimulus onset. This effect was also observed for other vocalized emotions (achievement and disgust), but not for affectively neutral vocalizations, and was linked to the perceived arousal of an emotion category. That the timing, polarity, and scalp distribution of this new ERP correlate are similar to ERP markers of emotional face processing suggests that common supramodal brain mechanisms may be involved in the rapid detection of affectively relevant visual and auditory signals.
  • Sauter, D., Eisner, F., Ekman, P., & Scott, S. K. (2010). Reply to Gewald: Isolated Himba settlements still exist in Kaokoland [Letter to the editor]. Proceedings of the National Academy of Sciences of the United States of America, 107(18), E76. doi:10.1073/pnas.1002264107.

    Abstract

    We agree with Gewald (1) that historical and anthropological accounts are essential tools for understanding the Himba culture, and these accounts are valuable to both us and him. However, we contest his claim that the Himba individuals in our study were not culturally isolated. Gewald (1) claims that it would be “unlikely” that the Himba people with whom we worked had “not been exposed to the affective signals of individuals from cultural groups other than their own” as stated in our paper (2). Gewald (1) seems to argue that, because outside groups have had contact with some Himba, this means that these events affected all Himba. Yet, the Himba constitute a group of 20,000-50,000 people (3) living in small settlements scattered across the vast Kaokoland region, an area of 49,000 km2 (4).
  • Sauter, D., & Levinson, S. C. (2010). What's embodied in a smile? [Comment on Niedenthal et al.]. Behavioral and Brain Sciences, 33, 457-458. doi:10.1017/S0140525X10001597.

    Abstract

    Differentiation of the forms and functions of different smiles is needed, but they should be based on empirical data on distinctions that senders and receivers make, and the physical cues that are employed. Such data would allow for a test of whether smiles can be differentiated using perceptual cues alone or whether mimicry or simulation are necessary.
  • Scharenborg, O., & Boves, L. (2010). Computational modelling of spoken-word recognition processes: Design choices and evaluation. Pragmatics & Cognition, 18, 136-164. doi:10.1075/pc.18.1.06sch.

    Abstract

    Computational modelling has proven to be a valuable approach in developing theories of spoken-word processing. In this paper, we focus on a particular class of theories in which it is assumed that the spoken-word recognition process consists of two consecutive stages, with an 'abstract' discrete symbolic representation at the interface between the stages. In evaluating computational models, it is important to bring in independent arguments for the cognitive plausibility of the algorithms that are selected to compute the processes in a theory. This paper discusses the relation between behavioural studies, theories, and computational models of spoken-word recognition. We explain how computational models can be assessed in terms of the goodness of fit with the behavioural data and the cognitive plausibility of the algorithms. An in-depth analysis of several models provides insights into how computational modelling has led to improved theories and to a better understanding of the human spoken-word recognition process.
  • Scharenborg, O. (2010). Modeling the use of durational information in human spoken-word recognition. Journal of the Acoustical Society of America, 127, 3758-3770. doi:10.1121/1.3377050.

    Abstract

    Evidence that listeners, at least in a laboratory environment, use durational cues to help resolve temporarily ambiguous speech input has accumulated over the past decades. This paper introduces Fine-Tracker, a computational model of word recognition specifically designed for tracking fine-phonetic information in the acoustic speech signal and using it during word recognition. Two simulations were carried out using real speech as input to the model. The simulations showed that the Fine-Tracker, as has been found for humans, benefits from durational information during word recognition, and uses it to disambiguate the incoming speech signal. The availability of durational information allows the computational model to distinguish embedded words from their matrix words first simulation, and to distinguish word final realizations of s from word initial realizations second simulation. Fine-Tracker thus provides the first computational model of human word recognition that is able to extract durational information from the speech signal and to use it to differentiate words.
  • Scharenborg, O., Wan, V., & Ernestus, M. (2010). Unsupervised speech segmentation: An analysis of the hypothesized phone boundaries. Journal of the Acoustical Society of America, 127, 1084-1095. doi:10.1121/1.3277194.

    Abstract

    Despite using different algorithms, most unsupervised automatic phone segmentation methods achieve similar performance in terms of percentage correct boundary detection. Nevertheless, unsupervised segmentation algorithms are not able to perfectly reproduce manually obtained reference transcriptions. This paper investigates fundamental problems for unsupervised segmentation algorithms by comparing a phone segmentation obtained using only the acoustic information present in the signal with a reference segmentation created by human transcribers. The analyses of the output of an unsupervised speech segmentation method that uses acoustic change to hypothesize boundaries showed that acoustic change is a fairly good indicator of segment boundaries: over two-thirds of the hypothesized boundaries coincide with segment boundaries. Statistical analyses showed that the errors are related to segment duration, sequences of similar segments, and inherently dynamic phones. In order to improve unsupervised automatic speech segmentation, current one-stage bottom-up segmentation methods should be expanded into two-stage segmentation methods that are able to use a mix of bottom-up information extracted from the speech signal and automatically derived top-down information. In this way, unsupervised methods can be improved while remaining flexible and language-independent.
  • Schiller, N. O., Greenhall, J. A., Shelton, J. R., & Caramazza, A. (2001). Serial order effects in spelling errors: Evidence from two dysgraphic patients. Neurocase, 7, 1-14. doi:10.1093/neucas/7.1.1.

    Abstract

    This study reports data from two dysgraphic patients, TH and PB, whose errors in spelling most often occurred in the final part of words. The probability of making an error increased monotonically towards the end of words. Long words were affected more than short words, and performance was similar across different output modalities (writing, typing and oral spelling). This error performance was found despite the fact that both patients showed normal ability to repeat the same words orally and to access their full spelling in tasks that minimized the involvement of working memory. This pattern of performance locates their deficit to the mechanism that keeps graphemic representations active for further processing, and shows that the functioning of this mechanism is not controlled or "refreshed" by phonological (or articulatory) processes. Although the overall performance pattern is most consistent with a deficit to the graphemic buffer, the strong tendency for errors to occur at the ends of words is unlike many classic "graphemic buffer patients" whose errors predominantly occur at word-medial positions. The contrasting patterns are discussed in terms of different types of impairment to the graphemic buffer.
  • Schiller, N. O., Meyer, A. S., & Levelt, W. J. M. (1997). The syllabic structure of spoken words: Evidence from the syllabification of intervocalic consonants. Language and Speech, 40(2), 103-140.

    Abstract

    A series of experiments was carried out to investigate the syllable affiliation of intervocalic consonants following short vowels, long vowels, and schwa in Dutch. Special interest was paid to words such as letter ['leter] ''id.,'' where a short vowel is followed by a single consonant. On phonological grounds one may predict that the first syllable should always be closed, but earlier psycholinguistic research had shown that speakers tend to leave these syllables open. In our experiments, bisyllabic word forms were presented aurally, and participants produced their syllables in reversed order (Experiments 1 through 5), or repeated the words inserting a pause between the syllables (Experiment 6). The results showed that participants generally closed syllables with a short vowel. However, in a significant number of the cases they produced open short vowel syllables. Syllables containing schwa, like syllables with a long vowel, were hardly ever closed. Word stress, the phonetic quality of the vowel in the first syllable, and the experimental context influenced syllabification. Taken together, the experiments show that native speakers syllabify bisyllabic Dutch nouns in accordance with a small set of prosodic output constraints. To account for the variability of the results, we propose that these constraints differ in their probabilities of being applied.
  • Schmale, R., Cristia, A., Seidl, A., & Johnson, E. K. (2010). Developmental changes in infants’ ability to cope with dialect variation in word recognition. Infancy, 15, 650-662. doi:10.1111/j.1532-7078.2010.00032.x.

    Abstract

    Toward the end of their first year of life, infants’ overly specified word representations are thought to give way to more abstract ones, which helps them to better cope with variation not relevant to word identity (e.g., voice and affect). This developmental change may help infants process the ambient language more efficiently, thus enabling rapid gains in vocabulary growth. One particular kind of variability that infants must accommodate is that of dialectal accent, because most children will encounter speakers from different regions and backgrounds. In this study, we explored developmental changes in infants’ ability to recognize words in continuous speech by familiarizing them with words spoken by a speaker of their own region (North Midland-American English) or a different region (Southern Ontario Canadian English), and testing them with passages spoken by a speaker of the opposite dialectal accent. Our results demonstrate that 12- but not 9-month-olds readily recognize words in the face of dialectal variation.
  • Sekine, K., & Furuyama, N. (2010). Developmental change of discourse cohesion in speech and gestures among Japanese elementary school children. Rivista di psicolinguistica applicata, 10(3), 97-116. doi:10.1400/152613.

    Abstract

    This study investigates the development of bi-modal reference maintenance by focusing on how Japanese elementary school children introduce and track animate referents in their narratives. Sixty elementary school children participated in this study, 10 from each school year (from 7 to 12 years of age). They were instructed to remember a cartoon and retell the story to their parents. We found that although there were no differences in the speech indices among the different ages, the average scores for the gesture indices of the 12-year-olds were higher than those of the other age groups. In particular, the amount of referential gestures radically increased at 12, and these children tended to use referential gestures not only for tracking referents but also for introducing characters. These results indicate that the ability to maintain a reference to create coherent narratives increases at about age 12.
  • Sekine, K. (2010). The role of gestures contributing to speech production in children. The Japanese Journal of Qualitative Psychology, 9, 115-132.
  • Senft, G. (1988). A grammar of Manam by Frantisek Lichtenberk [Book review]. Language and linguistics in Melanesia, 18, 169-173.
  • Senft, G. (2010). Argonauten mit Außenbordmotoren - Feldforschung auf den Trobriand-Inseln (Papua-Neuguinea) seit 1982. Mitteilungen der Berliner Gesellschaft für Anthropologie, Ethnologie und Urgeschichte, 31, 115-130.

    Abstract

    Seit 1982 erforsche ich die Sprache und die Kultur der Trobriand-Insulaner in Papua-Neuguinea. Nach inzwischen 15 Reisen zu den Trobriand-Inseln, die sich bis heute zu nahezu vier Jahren Leben und Arbeit im Dorf Tauwema auf der Insel Kaile'una addieren, wurde ich von Markus Schindlbeck und Alix Hänsel dazu eingeladen, den Mitgliedern der „Berliner Gesellschaft für Anthropologie, Ethnologie und Urgeschichte“ über meine Feldforschungen zu berichten. Das werde ich im Folgenden tun. Zunächst beschreibe ich, wie ich zu den Trobriand-Inseln kam, wie ich mich dort zurechtgefunden habe und berichte dann, welche Art von Forschung ich all die Jahre betrieben, welche Formen von Sprach- und Kulturwandel ich dabei beobachtet und welche Erwartungen ich auf der Basis meiner bisherigen Erfahrungen für die Zukunft der Trobriander und für ihre Sprache und ihre Kultur habe.
  • Senft, G. (2010). [Review of the book Consequences of contact: Language ideologies and sociocultural transformations in Pacific societies ed. by Miki Makihara and Bambi B. Schieffelin]. Paideuma. Mitteilungen zur Kulturkunde, 56, 308-313.
  • Senft, G. (1991). [Review of the book Einführung in die deskriptive Linguistik by Michael Dürr and Peter Schlobinski]. Linguistics, 29, 722-725.
  • Senft, G. (1988). [Review of the book Functional syntax: Anaphora, discourse and empathy by Susumu Kuno]. Journal of Pragmatics, 12, 396-399. doi:10.1016/0378-2166(88)90040-9.
  • Senft, G. (2001). [Review of the book Handbook of language and ethnic identity ed. by Joshua A. Fishman]. Linguistics, 39, 188-190. doi:10.1515/ling.2001.004.
  • Senft, G. (2001). [Review of the book Language Death by David Crystal]. Linguistics, 39, 815-822. doi:10.1515/ling.2001.032.
  • Senft, G. (2001). [Review of the book Malinowski's Kiriwina: Fieldwork photography 1915-1918 by Michael W. Young]. Paideuma, 47, 260-263.
  • Senft, G. (1997). [Review of the book The design of language: An introduction to descriptive linguistics by Terry Crowley, John Lynch, Jeff Siegel, and Julie Piau]. Linguistics, 35, 781-785.
  • Senft, G. (1991). [Review of the book The sign languages of Aboriginal Australia by Adam Kendon]. Journal of Pragmatics, 15, 400-405. doi:10.1016/0378-2166(91)90040-5.
  • Senft, G. (2001). [Review of the CD Betel Nuts by Christopher Roberts (1996)]. Kulele, 3, 115-122.

    Abstract

    (TMCD 9602). Taipei: Trees Music & Art, 12-1, Lane 10, Sec. 2, Hsin Yi Rd. Taipei, TAIWAN. Distributed by Sony Music Entertainment (Taiwan)Ltd.,6th fl. No 35 , Lane 11, Kwang-Fu N. Rd., Taipei TAIWAN (CD accompanied by a full color bucklet)
  • Senft, G. (2001). Frames of spatial reference in Kilivila. Studies in Language, 25(3), 521-555. doi:10.1075/sl.25.3.05sen.

    Abstract

    Members of the MPI for Psycholinguistics are researching the interrelationship between language, cognition and the conceptualization of space in various languages. Research results show that there are three frames of spatial reference, the absolute, the relative, and the intrinsic frame of reference. This study first presents results of this research in general and then discusses the results for Kilivila. Speakers of this Austronesian language prefer the intrinsic frame of reference for the location of objects with respect to each other in a given spatial configuration. But they prefer an absolute frame of reference system in referring to the spatial orientation of objects in a given
    spatial configuration. Moreover, the hypothesis is confirmed that languages seem to influence the choice and the kind of conceptual parameters their speakers use to solve non-verbal problems within the domain of space.
  • Senft, G. (1997). Magical conversation on the Trobriand Islands. Anthropos, 92, 369-391.
  • Senft, G. (1991). Network models to describe the Kilivila classifier system. Oceanic Linguistics, 30, 131-155. Retrieved from http://www.jstor.org/stable/3623085.
  • Senft, G. (2001). Ritual communication and linguistic ideology [Comment on Joel Robbins]. Current Anthropology, 42, 606.
  • Seuren, P. A. M. (2010). A logic-based approach to problems in pragmatics. Poznań Studies in Contemporary Linguistics, 519-532. doi:10.2478/v10010-010-0026-2.

    Abstract

    After an exposé of the programme involved, it is shown that the Gricean maxims fail to do their job in so far as they are meant to account for the well-known problem of natural intuitions of logical entailment that deviate from standard modern logic. It is argued that there is no reason why natural logical and ontological intuitions should conform to standard logic, because standard logic is based on mathematics while natural logical and ontological intuitions derive from a cognitive system in people's minds (supported by their brain structures). A proposal is then put forward to try a totally different strategy, via (a) a grammatical reduction of surface sentences to their logico-semantic form and (b) via logic itself, in particular the notion of natural logic, based on a natural ontology and a natural set theory. Since any logical system is fully defined by (a) its ontology and its overarching notions and axioms regarding truth, (b) the meanings of its operators, and (c) the ranges of its variables, logical systems can be devised that deviate from modern logic in any or all of the above respects, as long as they remain consistent. This allows one, as an empirical enterprise, to devise a natural logic, which is as sound as standard logic but corresponds better with natural intuitions. It is hypothesised that at least two varieties of natural logic must be assumed in order to account for natural logical and ontological intuitions, since culture and scholastic education have elevated modern societies to a higher level of functionality and refinement. These two systems correspond, with corrections and additions, to Hamilton's 19th-century logic and to the classic Square of Opposition, respectively. Finally, an evaluation is presented, comparing the empirical success rates of the systems envisaged.
  • Seuren, P. A. M., & Hamans, C. (2010). Antifunctionality in language change. Folia Linguistica, 44(1), 127-162. doi:10.1515/flin.2010.005.

    Abstract

    The main thesis of the article is that language change is only partially subject to criteria of functionality and that, as a rule, opposing forces are also at work which often correlate directly with psychological and sociopsychological parameters reflecting themselves in all areas of linguistic competence. We sketch a complex interplay of horizontal versus vertical, deliberate versus nondeliberate, functional versus antifunctional linguistic changes, which, through a variety of processes have an effect upon the languages concerned, whether in the lexicon, the grammar, the phonology or the phonetics. Despite the overall unclarity regarding the notion of functionality in language, there are clear cases of both functionality and antifunctionality. Antifunctionality is deliberately striven for by groups of speakers who wish to distinguish themselves from other groups, for whatever reason. Antifunctionality, however, also occurs as a, probably unwanted, result of syntactic change in the acquisition process by young or adult language learners. The example is discussed of V-clustering through Predicate Raising in German and Dutch, a process that started during the early Middle Ages and was highly functional as long as it occurred on a limited scale but became antifunctional as it pervaded the entire complementation system of these languages.
  • Seuren, P. A. M. (1988). [Review of the book Pidgin and Creole linguistics by P. Mühlhäusler]. Studies in Language, 12(2), 504-513.
  • Seuren, P. A. M. (1997). [Review of the book Schets van de Nederlandse Taal. Grammatica, poëtica en retorica by Adriaen Verwer, Naar de editie van E. van Driel (1783) vertaald door J. Knol. Ed. Th.A.J.M. Janssen & J. Noordegraaf]. Nederlandse Taalkunde, 4, 370-374.
  • Seuren, P. A. M. (1983). [Review of the book The inheritance of presupposition by J. Dinsmore]. Journal of Semantics, 2(3/4), 356-358. doi:10.1093/semant/2.3-4.356.
  • Seuren, P. A. M. (2001). [Review of the book The real professor Higgins: The life and career of Daniel Jones by Berverly Collins and Inger M. Mees]. Linguistics, 39(4), 822-832. doi:10.1515/ling.2001.032.
  • Seuren, P. A. M. (1983). [Review of the book Thirty million theories of grammar by J. McCawley]. Journal of Semantics, 2(3/4), 325-341. doi:10.1093/semant/2.3-4.325.
  • Seuren, P. A. M. (1988). [Review of the Collins Cobuild English Language Dictionary (Collins Birmingham University International Language Database)]. Journal of Semantics, 6, 169-174. doi:10.1093/jos/6.1.169.
  • Seuren, P. A. M. (1983). In memoriam Jan Voorhoeve. Bijdragen tot de Taal-, Land- en Volkenkunde, 139(4), 403-406.
  • Seuren, P. A. M. (1978). Graadadjektieven en oriëntatie. Gramma, 2(1), 1-29.
  • Seuren, P. A. M. (1991). Grammatika als algorithme: Rekenen met taal. Koninklijke Nederlandse Akademie van Wetenschappen. Mededelingen van de Afdeling Letterkunde, Nieuwe Reeks, 54(2), 25-63.
  • Seuren, P. A. M. (1983). Overwegingen bij de spelling van het Sranan en een spellingsvoorstel. OSO, 2(1), 67-81.
  • Seuren, P. A. M. (1988). Presupposition and negation. Journal of Semantics, 6(3/4), 175-226. doi:10.1093/jos/6.1.175.

    Abstract

    This paper is an attempt to show that given the available observations on the behaviour of negation and presuppositions there is no simpler explanation than to assume that natural language has two distinct negation operators, the minimal negation which preserves presuppositions and the radical negation which does not. The three-valued logic emerging from this distinction, and especially its model-theory, are discussed in detail. It is, however, stressed that the logic itself is only epiphenomenal on the structures and processes involved in the interpretation of sentences. Horn (1985) brings new observations to bear, related with metalinguistic uses of negation, and proposes a “pragmatic” ambiguity in negation to the effect that in descriptive (or “straight”) use negation is the classical bivalent operator, whereas in metalinguistic use it is non-truthfunctional but only pragmatic. Van der Sandt (to appear) accepts Horn's observations but proposes a different solution: he proposes an ambiguity in the argument clause of the negation operator (which, for him, too, is classical and bivalent), according to whether the negation takes only the strictly asserted proposition or covers also the presuppositions, the (scalar) implicatures and other implications (in particular of style and register) of the sentence expressing that proposition. These theories are discussed at some length. The three-valued analysis is defended on the basis of partly new observations, which do not seem to fit either Horn's or Van der Sandt's solution. It is then placed in the context of incremental discourse semantics, where both negations are seen to do the job of keeping increments out of the discourse domain, though each does so in its own specific way. The metalinguistic character of the radical negation is accounted for in terms of the incremental apparatus. The metalinguistic use of negation in denials of implicatures or implications of style and register is regarded as a particular form of minimal negation, where the negation denies not the proposition itself but the appropriateness of the use of an expression in it. This appropriateness negation is truth-functional and not pragmatic, but it applies to a particular, independently motivated, analysis of the argument clause. The ambiguity of negation in natural language is different from the ordinary type of ambiguity found in the lexicon. Normally, lexical ambiguities are idiosyncratic, highly contingent, and unpredictable from language to language. In the case of negation, however, the two meanings are closely related, both truth-conditionally and incrementally. Moreover, the mechanism of discourse incrementation automatically selects the right meaning. These properties are taken to provide a sufficient basis for discarding the, otherwise valid, objection that negation is unlikely to be ambiguous because no known language makes a lexical distinction between the two readings.
  • Seuren, P. A. M. (2001). The cognitive dimension in language study. Folia Linguistica, 35(3-4), 209-242. doi:10.1515/flin.2001.35.3-4.209.
  • Seuren, P. A. M. (2001). Simple and transparent [Commentary on The worlds simplest grammars are creole grammars by John H. McWhorter]. Linguistic Typology, 5(2-3), 176-180. doi:10.1515/lity.2001.002.
  • Seuren, P. A. M., Capretta, V., & Geuvers, H. (2001). The logic and mathematics of occasion sentences. Linguistics & Philosophy, 24(5), 531-595. doi:10.1023/A:1017592000325.

    Abstract

    The prime purpose of this paper is, first, to restore to discourse-bound occasion sentences their rightful central place in semantics and secondly, taking these as the basic propositional elements in the logical analysis of language, to contribute to the development of an adequate logic of occasion sentences and a mathematical (Boolean) foundation for such a logic, thus preparing the ground for more adequate semantic, logical and mathematical foundations of the study of natural language. Some of the insights elaborated in this paper have appeared in the literature over the past thirty years, and a number of new developments have resulted from them. The present paper aims atproviding an integrated conceptual basis for this new development in semantics. In Section 1 it is argued that the reduction by translation of occasion sentences to eternal sentences, as proposed by Russell and Quine, is semantically and thus logically inadequate. Natural language is a system of occasion sentences, eternal sentences being merely boundary cases. The logic hasfewer tasks than is standardly assumed, as it excludes semantic calculi, which depend crucially on information supplied by cognition and context and thus belong to cognitive psychology rather than to logic. For sentences to express a proposition and thus be interpretable and informative, they must first be properly anchored in context. A proposition has a truth value when it is, moreover, properly keyed in the world, i.e. is about a situation in the world. Section 2 deals with the logical properties of natural language. It argues that presuppositional phenomena require trivalence and presents the trivalent logic PPC3, with two kinds of falsity and two negations. It introduces the notion of Σ-space for a sentence A (or A/A, the set of situations in which A is true) as the basis of logical model theory, and the notion of PA/ (the Σ-space of the presuppositions of A), functioning as a `private' subuniverse for A/A. The trivalent Kleene calculus is reinterpreted as a logical account of vagueness, rather than of presupposition. PPC3 and the Kleene calculus are refinements of standard bivalent logic and can be combined into one logical system. In Section 3 the adequacy of PPC3 as a truth-functional model of presupposition is considered more closely and given a Boolean foundation. In a noncompositional extended Boolean algebra, three operators are defined: 1a for the conjoined presuppositions of a, ã for the complement of a within 1a, and â for the complement of 1a within Boolean 1. The logical properties of this extended Boolean algebra are axiomatically defined and proved for all possible models. Proofs are provided of the consistency and the completeness of the system. Section 4 is a provisional exploration of the possibility of using the results obtained for a new discourse-dependent account of the logic of modalities in natural language. The overall result is a modified and refined logical and model-theoretic machinery, which takes into account both the discourse-dependency of natural language sentences and the necessity of selecting a key in the world before a truth value can be assigned
  • Shopen, T., Reid, N., Shopen, G., & Wilkins, D. G. (1997). Ensuring the survival of Aboriginal and Torres Strait islander languages into the 21st century. Australian Review of Applied Linguistics, 10(1), 143-157.

    Abstract

    Aboriginal languages threatened by speakers poor economic and social conditions; some may survive through support for community development, language maintenance, bilingual education and training of Aboriginal teachers and linguists, and nonAboriginal teachers of Aboriginal and Islander students.
  • Sicoli, M. A. (2010). Shifting voices with participant roles: Voice qualities and speech registers in Mesoamerica. Language in Society, 39(4), 521-553. doi:10.1017/S0047404510000436.

    Abstract

    Although an increasing number of sociolinguistic researchers consider functions of voice qualities as stylistic features, few studies consider cases where voice qualities serve as the primary signs of speech registers. This article addresses this gap through the presentation of a case study of Lachixio Zapotec speech registers indexed though falsetto, breathy, creaky, modal, and whispered voice qualities. I describe the system of contrastive speech registers in Lachixio Zapotec and then track a speaker on a single evening where she switches between three of these registers. Analyzing line-by-line conversational structure I show both obligatory and creative shifts between registers that co-occur with shifts in the participant structures of the situated social interactions. I then examine similar uses of voice qualities in other Zapotec languages and in the two unrelated language families Nahuatl and Mayan to suggest the possibility that such voice registers are a feature of the Mesoamerican culture area.
  • Siddiqui, M. R., Meisner, S., Tosh, K., Balakrishnan, K., Ghei, S., Fisher, S. E., Golding, M., Narayan, N. P. S., Sitaraman, T., Sengupta, U., Pitchappan, R., & Hill, A. V. (2001). A major susceptibility locus for leprosy in India maps to chromosome 10p13 [Letter]. Nature Genetics, 27, 439-441. doi:10.1038/86958.

    Abstract

    Leprosy, a chronic infectious disease caused by Mycobacterium leprae, is prevalent in India, where about half of the world's estimated 800,000 cases occur. A role for the genetics of the host in variable susceptibility to leprosy has been indicated by familial clustering, twin studies, complex segregation analyses and human leukocyte antigen (HLA) association studies. We report here a genetic linkage scan of the genomes of 224 families from South India, containing 245 independent affected sibpairs with leprosy, mainly of the paucibacillary type. In a two-stage genome screen using 396 microsatellite markers, we found significant linkage (maximum lod score (MLS) = 4.09, P < 2x10-5) on chromosome 10p13 for a series of neighboring microsatellite markers, providing evidence for a major locus for this prevalent infectious disease. Thus, despite the polygenic nature of infectious disease susceptibility, some major, non-HLA-linked loci exist that may be mapped through obtainable numbers of affected sibling pairs.
  • Simanova, I., Van Gerven, M., Oostenveld, R., & Hagoort, P. (2010). Identifying object categories from event-related EEG: Toward decoding of conceptual representations. Plos One, 5(12), E14465. doi:10.1371/journal.pone.0014465.

    Abstract

    Multivariate pattern analysis is a technique that allows the decoding of conceptual information such as the semantic category of a perceived object from neuroimaging data. Impressive single-trial classification results have been reported in studies that used fMRI. Here, we investigate the possibility to identify conceptual representations from event-related EEG based on the presentation of an object in different modalities: its spoken name, its visual representation and its written name. We used Bayesian logistic regression with a multivariate Laplace prior for classification. Marked differences in classification performance were observed for the tested modalities. Highest accuracies (89% correctly classified trials) were attained when classifying object drawings. In auditory and orthographical modalities, results were lower though still significant for some subjects. The employed classification method allowed for a precise temporal localization of the features that contributed to the performance of the classifier for three modalities. These findings could help to further understand the mechanisms underlying conceptual representations. The study also provides a first step towards the use of concept decoding in the context of real-time brain-computer interface applications.
  • Sjerps, M. J., & McQueen, J. M. (2010). The bounds on flexibility in speech perception. Journal of Experimental Psychology: Human Perception and Performance, 36, 195-211. doi:10.1037/a0016803.
  • Smits, R. (2001). Hierarchical categorization of coarticulated phonemes: A theoretical analysis. Perception and Psychophysics, 63, 1109-1139. doi:10.3758/BF03194529.

    Abstract

    This article is concerned with the question of how listeners recognize coarticulated phonemes. The problem is approached from a pattern classificationperspective. First, the potential acoustical effects of coarticulation are defined in terms of the patterns that form the input to a classifier.Next, a categorization model called HICAT is introduced that incorporates hierarchical dependencies to optimally dealwith this input. The model allows the position, orientation, and steepness of one phoneme boundary to depend on the perceivedvalue of a neighboring phoneme. It is argued that, if listeners do behave like statistical pattern recognizers, they may use the categorization strategies incorporated in the model. The HICAT model is compared with existing categorizationmodels, among which are the fuzzylogical model of perception and Nearey’s diphone-biased secondary-cuemodel. Finally, a method is presented by which categorization strategies that are likely to be used by listeners can be predicted from distributions of acoustical cues as they occur in natural speech.
  • Smits, R. (2001). Evidence for hierarchial categorization of coarticulated phonemes. Journal of Experimental Psychology: Human Perception and Performance, 27, 1145-1162. doi:10.1037/0096-1523.27.5.1145.

    Abstract

    The reported research investigates how listeners recognize coarticulated phonemes. First, 2 data sets from experiments on the recognition of coarticulated phonemes published by D. H. Whalen (1989) are reanalyzed. The analyses indicate that listeners used categorization strategies involving a hierarchical dependency. Two new experiments are reported investigating the production and perception of fricative-vowel syllables. On the basis of measurements of acoustic cues on a large set of natural utterances, it was predicted that listeners would use categorization strategies involving a dependency of the fricative categorization on the perceived vowel. The predictions were tested in a perception experiment using a 2-dimensional synthetic fricative-vowel continuum. Model analyses of the results pooled across listeners confirmed the predictions. Individual analyses revealed some variability in the categorization dependencies used by different participants.
  • Snijders, T. M., Petersson, K. M., & Hagoort, P. (2010). Effective connectivity of cortical and subcortical regions during unification of sentence structure. NeuroImage, 52, 1633-1644. doi:10.1016/j.neuroimage.2010.05.035.

    Abstract

    In a recent fMRI study we showed that left posterior middle temporal gyrus (LpMTG) subserves the retrieval of a word's lexical-syntactic properties from the mental lexicon (long-term memory), while left posterior inferior frontal gyrus (LpIFG) is involved in unifying (on-line integration of) this information into a sentence structure (Snijders et al., 2009). In addition, the right IFG, right MTG, and the right striatum were involved in the unification process. Here we report results from a psychophysical interactions (PPI) analysis in which we investigated the effective connectivity between LpIFG and LpMTG during unification, and how the right hemisphere areas and the striatum are functionally connected to the unification network. LpIFG and LpMTG both showed enhanced connectivity during the unification process with a region slightly superior to our previously reported LpMTG. Right IFG better predicted right temporal activity when unification processes were more strongly engaged, just as LpIFG better predicted left temporal activity. Furthermore, the striatum showed enhanced coupling to LpIFG and LpMTG during unification. We conclude that bilateral inferior frontal and posterior temporal regions are functionally connected during sentence-level unification. Cortico-subcortical connectivity patterns suggest cooperation between inferior frontal and striatal regions in performing unification operations on lexical-syntactic representations retrieved from LpMTG.
  • Snowdon, C. T., Pieper, B. A., Boe, C. Y., Cronin, K. A., Kurian, A. V., & Ziegler, T. E. (2010). Variation in oxytocin is related to variation in affiliative behavior in monogamous, pairbonded tamarins. Hormones and Behavior, 58(4), 614-618. doi:10.1016/j.yhbeh.2010.06.014.

    Abstract

    Oxytocin plays an important role in monogamous pairbonded female voles, but not in polygamous voles. Here we examined a socially monogamous cooperatively breeding primate where both sexes share in parental care and territory defense for within species variation in behavior and female and male oxytocin levels in 14 pairs of cotton-top tamarins (Saguinus oedipus). In order to obtain a stable chronic assessment of hormones and behavior, we observed behavior and collected urinary hormonal samples across the tamarins’ 3-week ovulatory cycle. We found similar levels of urinary oxytocin in both sexes. However, basal urinary oxytocin levels varied 10-fold across pairs and pair-mates displayed similar oxytocin levels. Affiliative behavior (contact, grooming, sex) also varied greatly across the sample and explained more than half the variance in pair oxytocin levels. The variables accounting for variation in oxytocin levels differed by sex. Mutual contact and grooming explained most of the variance in female oxytocin levels, whereas sexual behavior explained most of the variance in male oxytocin levels. The initiation of contact by males and solicitation of sex by females were related to increased levels of oxytocin in both. This study demonstrates within-species variation in oxytocin that is directly related to levels of affiliative and sexual behavior. However, different behavioral mechanisms influence oxytocin levels in males and females and a strong pair relationship (as indexed by high levels of oxytocin) may require the activation of appropriate mechanisms for both sexes.
  • Soto-Faraco, S., Sebastian-Galles, N., & Cutler, A. (2001). Segmental and suprasegmental mismatch in lexical access. Journal of Memory and Language, 45, 412-432. doi:10.1006/jmla.2000.2783.

    Abstract

    Four cross-modal priming experiments in Spanish addressed the role of suprasegmental and segmental information in the activation of spoken words. Listeners heard neutral sentences ending with word fragments (e.g., princi-) and made lexical decisions on letter strings presented at fragment offset. Responses were compared for fragment primes that fully matched the spoken form of the initial portion of target words, versus primes that mismatched in a single element (stress pattern; one vowel; one consonant), versus control primes. Fully matching primes always facilitated lexical decision responses, in comparison to the control condition, while mismatching primes always produced inhibition. The respective strength of the contribution of stress, vowel, and consonant (one feature mismatch or more) information did not differ statistically. The results support a model of spoken-word recognition involving automatic activation of word forms and competition between activated words, in which the activation process is sensitive to all acoustic information relevant to the language’s phonology.
  • Stivers, T., & Heritage, J. (2001). Breaking the sequential mould: Narrative and other methods of answering "more than the question" during medical history taking. Text, 21(1), 151-185.
  • Stivers, T., & Rossano, F. (2010). A scalar view of response relevance. Research on Language and Social Interaction, 43, 49-56. doi:10.1080/08351810903471381.
  • Stivers, T. (2010). An overview of the question-response system in American English conversation. Journal of Pragmatics, 42, 2772-2781. doi:10.1016/j.pragma.2010.04.011.

    Abstract

    This article, part of a 10 language comparative project on question–response sequences, discusses these sequences in American English conversation. The data are video-taped spontaneous naturally occurring conversations involving two to five adults. Relying on these data I document the basic distributional patterns of types of questions asked (polar, Q-word or alternative as well as sub-types), types of social actions implemented by these questions (e.g., repair initiations, requests for confirmation, offers or requests for information), and types of responses (e.g., repetitional answers or yes/no tokens). I show that declarative questions are used more commonly in conversation than would be suspected by traditional grammars of English and questions are used for a wider range of functions than grammars would suggest. Finally, this article offers distributional support for the idea that responses that are better “fitted” with the question are preferred.
  • Stivers, T., & Enfield, N. J. (2010). A coding scheme for question-response sequences in conversation. Journal of Pragmatics, 42, 2620-2626. doi:10.1016/j.pragma.2010.04.002.

    Abstract

    no abstract is available for this article
  • Stivers, T., & Rossano, F. (2010). Mobilizing response. Research on Language and Social Interaction, 43, 3-31. doi:10.1080/08351810903471258.

    Abstract

    A fundamental puzzle in the organization of social interaction concerns how one individual elicits a response from another. This article asks what it is about some sequentially initial turns that reliably mobilizes a coparticipant to respond and under what circumstances individuals are accountable for producing a response. Whereas a linguistic approach suggests that this is what oquestionso (more generally) and interrogativity (more narrowly) are for, a sociological approach to social interaction suggests that the social action a person is implementing mobilizes a recipient's response. We find that although both theories have merit, neither adequately solves the puzzle. We argue instead that different actions mobilize response to different degrees. Speakers then design their turns to perform actions, and with particular response-mobilizing features of turn-design speakers can hold recipients more accountable for responding or not. This model of response relevance allows sequential position, action, and turn design to each contribute to response relevance.
  • Stivers, T. (2001). Negotiating who presents the problem: Next speaker selection in pediatric encounters. Journal of Communication, 51(2), 1-31.
  • Stivers, T., Enfield, N. J., & Levinson, S. C. (Eds.). (2010). Question-response sequences in conversation across ten languages [Special Issue]. Journal of Pragmatics, 42(10). doi:10.1016/j.pragma.2010.04.001.
  • Stivers, T., Enfield, N. J., & Levinson, S. C. (2010). Question-response sequences in conversation across ten languages: An introduction. Journal of Pragmatics, 42, 2615-2619. doi:10.1016/j.pragma.2010.04.001.
  • Stivers, T., & Hayashi, M. (2010). Transformative answers: One way to resist a question's constraints. Language in Society, 39, 1-25. doi:10.1017/S0047404509990637.

    Abstract

    A number of Conversation Analytic studies have documented that question recipients have a variety of ways to push against the constraints that questions impose on them. This article explores the concept of transformative answers – answers through which question recipients retroactively adjust the question posed to them. Two main sorts of adjustments are discussed: question term transformations and question agenda transformations. It is shown that the operations through which interactants implement term transformations are different from the operations through which they implement agenda transformations. Moreover, term-transforming answers resist only the question’s design, while agenda-transforming answers effectively resist both design and agenda, thus implying that agenda-transforming answers resist more strongly than design-transforming answers. The implications of these different sorts of transformations for alignment and affiliation are then explored.
  • Suomi, K., McQueen, J. M., & Cutler, A. (1997). Vowel harmony and speech segmentation in Finnish. Journal of Memory and Language, 36, 422-444. doi:10.1006/jmla.1996.2495.

    Abstract

    Finnish vowel harmony rules require that if the vowel in the first syllable of a word belongs to one of two vowel sets, then all subsequent vowels in that word must belong either to the same set or to a neutral set. A harmony mismatch between two syllables containing vowels from the opposing sets thus signals a likely word boundary. We report five experiments showing that Finnish listeners can exploit this information in an on-line speech segmentation task. Listeners found it easier to detect words likehymyat the end of the nonsense stringpuhymy(where there is a harmony mismatch between the first two syllables) than in the stringpyhymy(where there is no mismatch). There was no such effect, however, when the target words appeared at the beginning of the nonsense string (e.g.,hymypuvshymypy). Stronger harmony effects were found for targets containing front harmony vowels (e.g.,hymy) than for targets containing back harmony vowels (e.g.,paloinkypaloandkupalo). The same pattern of results appeared whether target position within the string was predictable or unpredictable. Harmony mismatch thus appears to provide a useful segmentation cue for the detection of word onsets in Finnish speech.
  • Swaab, T. Y., Brown, C. M., & Hagoort, P. (1997). Spoken sentence comprehension in aphasia: Event-related potential evidence for a lexical integration deficit. Journal of Cognitive Neuroscience, 9(1), 39-66.

    Abstract

    In this study the N400 component of the event-related potential was used to investigate spoken sentence understanding in Broca's and Wernicke's aphasics. The aim of the study was to determine whether spoken sentence comprehension problems in these patients might result from a deficit in the on-line integration of lexical information. Subjects listened to sentences spoken at a normal rate. In half of these sentences, the meaning of the final word of the sentence matched the semantic specifications of the preceding sentence context. In the other half of the sentences, the sentence-final word was anomalous with respect to the preceding sentence context. The N400 was measured to the sentence-final words in both conditions. The results for the aphasic patients (n = 14) were analyzed according to the severity of their comprehension deficit and compared to a group of 12 neurologically unimpaired age-matched controls, as well as a group of 6 nonaphasic patients with a lesion in the right hemisphere. The nonaphasic brain damaged patients and the aphasic patients with a light comprehension deficit (high comprehenders, n = 7) showed an N400 effect that was comparable to that of the neurologically unimpaired subjects. In the aphasic patients with a moderate to severe comprehension deficit (low comprehenders, n = 7), a reduction and delay of the N400 effect was obtained. In addition, the P300 component was measured in a classical oddball paradigm, in which subjects were asked to count infrequent low tones in a random series of high and low tones. No correlation was found between the occurrence of N400 and P300 effects, indicating that changes in the N400 results were related to the patients' language deficit. Overall, the pattern of results was compatible with the idea that aphasic patients with moderate to severe comprehension problems are impaired in the integration of lexical information into a higher order representation of the preceding sentence context.
  • Tagliapietra, L., & McQueen, J. M. (2010). What and where in speech recognition: Geminates and singletons in spoken Italian. Journal of Memory and Language, 63, 306-323. doi:10.1016/j.jml.2010.05.001.

    Abstract

    Four cross-modal repetition priming experiments examined whether consonant duration in Italian provides listeners with information not only for segmental identification ("what" information: whether the consonant is a geminate or a singleton) but also for lexical segmentation (“where” information: whether the consonant is in word-initial or word-medial position). Italian participants made visual lexical decisions to words containing geminates or singletons, preceded by spoken primes (whole words or fragments) containing either geminates or singletons. There were effects of segmental identity (geminates primed geminate recognition; singletons primed singleton recognition), and effects of consonant position (regression analyses revealed graded effects of geminate duration only for geminates which can vary in position, and mixed-effect modeling revealed a positional effect for singletons only in low-frequency words). Durational information appeared to be more important for segmental identification than for lexical segmentation. These findings nevertheless indicate that the same kind of information can serve both "what" and "where" functions in speech comprehension, and that the perceptual processes underlying those functions are interdependent.
  • Takaso, H., Eisner, F., Wise, R. J. S., & Scott, S. K. (2010). The effect of delayed auditory feedback on activity in the temporal lobe while speaking: A Positron Emission Tomography study. Journal of Speech, Language, and Hearing Research, 53, 226-236. doi:10.1044/1092-4388(2009/09-0009).

    Abstract

    Purpose: Delayed auditory feedback is a technique that can improve fluency in stutterers, while disrupting fluency in many non-stuttering individuals. The aim of this study was to determine the neural basis for the detection of and compensation for such a delay, and the effects of increases in the delay duration. Method: Positron emission tomography (PET) was used to image regional cerebral blood flow changes, an index of neural activity, and assessed the influence of increasing amounts of delay. Results: Delayed auditory feedback led to increased activation in the bilateral superior temporal lobes, extending into posterior-medial auditory areas. Similar peaks in the temporal lobe were sensitive to increases in the amount of delay. A single peak in the temporal parietal junction responded to the amount of delay but not to the presence of a delay (relative to no delay). Conclusions: This study permitted distinctions to be made between the neural response to hearing one's voice at a delay, and the neural activity that correlates with this delay. Notably all the peaks showed some influence of the amount of delay. This result confirms a role for the posterior, sensori-motor ‘how’ system in the production of speech under conditions of delayed auditory feedback.
  • Telling, A. L., Kumar, S., Meyer, A. S., & Humphreys, G. W. (2010). Electrophysiological evidence of semantic interference in visual search. Journal of Cognitive Neuroscience, 22(10), 2212-2225. doi:10.1162/jocn.2009.21348.

    Abstract

    Visual evoked responses were monitored while participants searched for a target (e.g., bird) in a four-object display that could include a semantically related distractor (e.g., fish). The occurrence of both the target and the semantically related distractor modulated the N2pc response to the search display: The N2pc amplitude was more pronounced when the target and the distractor appeared in the same visual field, and it was less pronounced when the target and the distractor were in opposite fields, relative to when the distractor was absent. Earlier components (P1, N1) did not show any differences in activity across the different distractor conditions. The data suggest that semantic distractors influence early stages of selecting stimuli in multielement displays.
  • Telling, A. L., Meyer, A. S., & Humphreys, G. W. (2010). Distracted by relatives: Effects of frontal lobe damage on semantic distraction. Brain and Cognition, 73, 203-214. doi:10.1016/j.bandc.2010.05.004.

    Abstract

    When young adults carry out visual search, distractors that are semantically related, rather than unrelated, to targets can disrupt target selection (see [Belke et al., 2008] and [Moores et al., 2003]). This effect is apparent on the first eye movements in search, suggesting that attention is sometimes captured by related distractors. Here we assessed effects of semantically related distractors on search in patients with frontal-lobe lesions and compared them to the effects in age-matched controls. Compared with the controls, the patients were less likely to make a first saccade to the target and they were more likely to saccade to distractors (whether related or unrelated to the target). This suggests a deficit in a first stage of selecting a potential target for attention. In addition, the patients made more errors by responding to semantically related distractors on target-absent trials. This indicates a problem at a second stage of target verification, after items have been attended. The data suggest that frontal lobe damage disrupts both the ability to use peripheral information to guide attention, and the ability to keep separate the target of search from the related items, on occasions when related items achieve selection.
  • Terrill, A. (2001). Activation in Lavukaleve pronouns: oia versus foia. Linguistic Typology, 5, 67-90. doi:10.1515/lity.5.1.67.

    Abstract

    The first part of this paper describes an unusual system of anaphoric reference tracking in Lavukaleve, a Papuan language of the Solomon Islands. Lavukaleve has two demonstrative pronouns which can be used to make anaphoric reference in narratives. One of these demonstrative pronouns is used to make anaphoric reference to a semi-activated participant, and the other to an activated participant. The second part of the paper situates Lavukaleve's activation-based system of reference tracking in a general typology of reference tracking. Other languages which have reference tracking systems based on the cognitive status of the referent are discussed, and the close connection between these and obviation systems is pointed out.
  • Terrill, A. (2010). [Review of Bowern, Claire. 2008. Linguistic fieldwork: a practical guide]. Language, 86(2), 435-438. doi:10.1353/lan.0.0214.
  • Terrill, A. (2010). [Review of R. A. Blust The Austronesian languages. 2009. Canberra: Pacific Linguistics]. Oceanic Linguistics, 49(1), 313-316. doi:10.1353/ol.0.0061.

    Abstract

    In lieu of an abstract, here is a preview of the article. This is a marvelous, dense, scholarly, detailed, exhaustive, and ambitious book. In 800-odd pages, it seeks to describe the whole huge majesty of the Austronesian language family, as well as the history of the family, the history of ideas relating to the family, and all the ramifications of such topics. Blust doesn't just describe, he goes into exhaustive detail, and not just over a few topics, but over every topic he covers. This is an incredible achievement, representing a lifetime of experience. This is not a book to be read from cover to cover—it is a book to be dipped into, pondered, and considered, slowly and carefully. The book is not organized by area or subfamily; readers interested in one area or family can consult the authoritative work on Western Austronesian (Adelaar and Himmelmann 2005), or, for the Oceanic languages, Lynch, Ross, and Crowley (2002). Rather, Blust's stated aim "is to provide a comprehensive overview of Austronesian languages which integrates areal interests into a broader perspective" (xxiii). Thus the aim is more ambitious than just discussion of areal features or historical connections, but seeks to describe the interconnections between these. The Austronesian language family is very large, second only in size to Niger-Congo (xxii). It encompasses over 1,000 members, and its protolanguage has been dated back to 6,000 years ago (xxii). The exact groupings of some Austronesian languages are still under discussion, but broadly, the family is divided into ten major subgroups, nine of which are spoken in Taiwan, the homeland of the Austronesian family. The tenth, Malayo-Polynesian, is itself divided into two major groups: Western Malayo-Polynesian, which is spread throughout the Philippines, Indonesia, and mainland Southeast Asia to Madagascar; and Central-Eastern Malayo-Polynesian, spoken from eastern Indonesia throughout the Pacific. The geographic, cultural, and linguistic diversity of the family
  • Theakston, A. L., Lieven, E. V., Pine, J. M., & Rowland, C. F. (2001). The role of performance limitations in the acquisition of verb-argument structure: an alternative account. Journal of Child Language, 28(1), 127-152.

    Abstract

    This study investigates the role of performance limitations in children's early acquisition of verb-argument structure. Valian (1991) claims that intransitive frames are easier for children to produce early in development than transitive frames because they do not require a direct object argument. Children who understand this distinction are expected to produce a lower proportion of transitive verb utterances early in development in comparison with later stages of development and to omit direct objects much more frequently with mixed verbs (where direct objects are optional) than with transitive verbs. To test these claims, data from nine children aged between 1;10.7 and 2;0.25 matched with Valian's subjects on MLU were examined. When analysed in terms of abstract syntactic structures Valian's findings are supported. However, a detailed lexical analysis of the data suggests that the children were not selecting argument structure on the basis of syntactic complexity. Instead, a clear predictor of the frames used by the children with specific verbs was the frames used by the children's mothers with those same verbs, regardless of whether they were transitive or intransitive. This suggests that the most important determinant of the children's use of verb frame was the specific patterns of verb use in the input rather than abstract grammatical knowledge constrained by performance limitations. The implications of these findings for performance-based explanations for children's early errors and early patterns of language use are discussed.
  • Torreira, F., Adda-Decker, M., & Ernestus, M. (2010). The Nijmegen corpus of casual French. Speech Communication, 52, 201-212. doi:10.1016/j.specom.2009.10.004.

    Abstract

    This article describes the preparation, recording and orthographic transcription of a new speech corpus, the Nijmegen Corpus of Casual French (NCCFr). The corpus contains a total of over 36 h of recordings of 46 French speakers engaged in conversations with friends. Casual speech was elicited during three different parts, which together provided around 90 min of speech from every pair of speakers. While Parts 1 and 2 did not require participants to perform any specific task, in Part 3 participants negotiated a common answer to general questions about society. Comparisons with the ESTER corpus of journalistic speech show that the two corpora contain speech of considerably different registers. A number of indicators of casualness, including swear words, casual words, verlan, disfluencies and word repetitions, are more frequent in the NCCFr than in the ESTER corpus, while the use of double negation, an indicator of formal speech, is less frequent. In general, these estimates of casualness are constant through the three parts of the recording sessions and across speakers. Based on these facts, we conclude that our corpus is a rich resource of highly casual speech, and that it can be effectively exploited by researchers in language science and technology.

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  • Tucker, B. V., & Warner, N. (2010). What it means to be phonetic or phonological: The case of Romanian devoiced nasals. Phonology, 27, 289-324. doi:10.1017/S0952675710000138.

    Abstract

    phonological patterns and detailed phonetic patterns can combine to produce unusual acoustic results, but criteria for what aspects of a pattern are phonetic and what aspects are phonological are often disputed. Early literature on Romanian makes mention of nasal devoicing in word-final clusters (e.g. in /basm/ 'fairy-tale'). Using acoustic, aerodynamic and ultrasound data, the current work investigates how syllable structure, prosodic boundaries, phonetic paradigm uniformity and assimilation influence Romanian nasal devoicing. It provides instrumental phonetic documentation of devoiced nasals, a phenomenon that has not been widely studied experimentally, in a phonetically underdocumented language. We argue that sound patterns should not be separated into phonetics and phonology as two distinct systems, but neither should they all be grouped together as a single, undifferentiated system. Instead, we argue for viewing the distinction between phonetics and phonology as a largely continuous multidimensional space, within which sound patterns, including Romanian nasal devoicing, fall.
  • Uddén, J., Folia, V., & Petersson, K. M. (2010). The neuropharmacology of implicit learning. Current Neuropharmacology, 8, 367-381. doi:10.2174/157015910793358178.

    Abstract

    Two decades of pharmacologic research on the human capacity to implicitly acquire knowledge as well as cognitive skills and procedures have yielded surprisingly few conclusive insights. We review the empirical literature of the neuropharmacology of implicit learning. We evaluate the findings in the context of relevant computational models related to neurotransmittors such as dopamine, serotonin, acetylcholine and noradrenalin. These include models for reinforcement learning, sequence production, and categorization. We conclude, based on the reviewed literature, that one can predict improved implicit acquisition by moderately elevated dopamine levels and impaired implicit acquisition by moderately decreased dopamine levels. These effects are most prominent in the dorsal striatum. This is supported by a range of behavioral tasks in the empirical literature. Similar predictions can be made for serotonin, although there is yet a lack of support in the literature for serotonin involvement in classical implicit learning tasks. There is currently a lack of evidence for a role of the noradrenergic and cholinergic systems in implicit and related forms of learning. GABA modulators, including benzodiazepines, seem to affect implicit learning in a complex manner and further research is needed. Finally, we identify allosteric AMPA receptors modulators as a potentially interesting target for future investigation of the neuropharmacology of procedural and implicit learning.
  • Vainio, M., Järvikivi, J., Aalto, D., & Suni, A. (2010). Phonetic tone signals phonological quantity and word structure. Journal of the Acoustical Society of America, 128, 1313-1321. doi:10.1121/1.3467767.

    Abstract

    Many languages exploit suprasegmental devices in signaling word meaning. Tone languages exploit fundamental frequency whereas quantity languages rely on segmental durations to distinguish otherwise similar words. Traditionally, duration and tone have been taken as mutually exclusive. However, some evidence suggests that, in addition to durational cues, phonological quantity is associated with and co-signaled by changes in fundamental frequency in quantity languages such as Finnish, Estonian, and Serbo-Croat. The results from the present experiment show that the structure of disyllabic word stems in Finnish are indeed signaled tonally and that the phonological length of the stressed syllable is further tonally distinguished within the disyllabic sequence. The results further indicate that the observed association of tone and duration in perception is systematically exploited in speech production in Finnish.
  • Van den Brink, D., Brown, C. M., & Hagoort, P. (2001). Electrophysiological evidence for early contextual influences during spoken-word recognition: N200 versus N400 effects. Journal of Cognitive Neuroscience, 13(7), 967-985. doi:10.1162/089892901753165872.

    Abstract

    An event-related brain potential experiment was carried out to investigate the time course of contextual influences on spoken-word recognition. Subjects were presented with spoken sentences that ended with a word that was either (a) congruent, (b) semantically anomalous, but beginning with the same initial phonemes as the congruent completion, or (c) semantically anomalous beginning with phonemes that differed from the congruent completion. In addition to finding an N400 effect in the two semantically anomalous conditions, we obtained an early negative effect in the semantically anomalous condition where word onset differed from that of the congruent completions. It was concluded that the N200 effect is related to the lexical selection process, where word-form information resulting from an initial phonological analysis and content information derived from the context interact.
  • Van Turennout, M., Hagoort, P., & Brown, C. M. (1997). Electrophysiological evidence on the time course of semantic and phonological processes in speech production. Journal of Experimental Psychology: Learning, Memory, and Cognition, 23(4), 787-806.

    Abstract

    The temporal properties of semantic and phonological processes in speech production were investigated in a new experimental paradigm using movement-related brain potentials. The main experimental task was picture naming. In addition, a 2-choice reaction go/no-go procedure was included, involving a semantic and a phonological categorization of the picture name. Lateralized readiness potentials (LRPs) were derived to test whether semantic and phonological information activated motor processes at separate moments in time. An LRP was only observed on no-go trials when the semantic (not the phonological) decision determined the response hand. Varying the position of the critical phoneme in the picture name did not affect the onset of the LRP but rather influenced when the LRP began to differ on go and no-go trials and allowed the duration of phonological encoding of a word to be estimated. These results provide electrophysiological evidence for early semantic activation and later phonological encoding.
  • Van Berkum, J. J. A., Hijne, H., De Jong, T., Van Joolingen, W. R., & Njoo, M. (1991). Aspects of computer simulations in education. Education & Computing, 6(3/4), 231-239.

    Abstract

    Computer simulations in an instructional context can be characterized according to four aspects (themes): simulation models, learning goals, learning processes and learner activity. The present paper provides an outline of these four themes. The main classification criterion for simulation models is quantitative vs. qualitative models. For quantitative models a further subdivision can be made by classifying the independent and dependent variables as continuous or discrete. A second criterion is whether one of the independent variables is time, thus distinguishing dynamic and static models. Qualitative models on the other hand use propositions about non-quantitative properties of a system or they describe quantitative aspects in a qualitative way. Related to the underlying model is the interaction with it. When this interaction has a normative counterpart in the real world we call it a procedure. The second theme of learning with computer simulation concerns learning goals. A learning goal is principally classified along three dimensions, which specify different aspects of the knowledge involved. The first dimension, knowledge category, indicates that a learning goal can address principles, concepts and/or facts (conceptual knowledge) or procedures (performance sequences). The second dimension, knowledge representation, captures the fact that knowledge can be represented in a more declarative (articulate, explicit), or in a more compiled (implicit) format, each one having its own advantages and drawbacks. The third dimension, knowledge scope, involves the learning goal's relation with the simulation domain; knowledge can be specific to a particular domain, or generalizable over classes of domains (generic). A more or less separate type of learning goal refers to knowledge acquisition skills that are pertinent to learning in an exploratory environment. Learning processes constitute the third theme. Learning processes are defined as cognitive actions of the learner. Learning processes can be classified using a multilevel scheme. The first (highest) of these levels gives four main categories: orientation, hypothesis generation, testing and evaluation. Examples of more specific processes are model exploration and output interpretation. The fourth theme of learning with computer simulations is learner activity. Learner activity is defined as the ‘physical’ interaction of the learner with the simulations (as opposed to the mental interaction that was described in the learning processes). Five main categories of learner activity are distinguished: defining experimental settings (variables, parameters etc.), interaction process choices (deciding a next step), collecting data, choice of data presentation and metacontrol over the simulation.
  • Van Gijn, R. (2010). [Review of the book Complementation ed. by R. M. W. Dixon, A. Aikhenvald]. Studies in Language, 34(1), 187-194. doi:10.1075/sl.34.1.06van.
  • Van Putten, S. (2010). [Review of the book Focus structures in African languages: The interaction of focus and grammar", edited by Enoch Oladé Aboh, Katharina Hartmann & Malte Zimmermann]. Journal of African Languages and Linguistics, 31(1), 101-104. doi:10.1515/JALL.2010.006.
  • Van Gijn, R., & Hirtzel, V. (2010). [Review of the book The Anthropology of color, ed. by Robert E. MacLaura, Galina V. Paramei and Don Dedrick]. Journal of Linguistic Anthropology, 20(1), 241-245.
  • Van der Meulen, F., Meyer, A. S., & Levelt, W. J. M. (2001). Eye movements during the production of nouns and pronouns. Memory & Cognition, 29(3), 512-521.

    Abstract

    Earlier research has established that speakers usually fixate the objects they name and that the viewing time for an object depends on the time necessary for object recognition and for the retrieval of its name. In three experiments, speakers produced pronouns and noun phrases to refer to new objects and to objects already known. Speakers looked less frequently and for shorter periods at the objects to be named when they had very recently seen or heard of these objects than when the objects were new. Looking rates were higher and viewing times longer in preparation of noun phrases than in preparation of pronouns. If it is assumed that there is a close relationship between eye gaze and visual attention, these results reveal (1) that speakers allocate less visual attention to given objects than to new ones and (2) that they allocate visual attention both less often and for shorter periods to objects they will refer to by a pronoun than to objects they will name in a full noun phrase. The experiments suggest that linguistic processing benefits, directly or indirectly, from allocation of visual attention to the referent object.
  • Van der Linden, M., Van Turennout, M., & Indefrey, P. (2010). Formation of category representations in superior temporal sulcus. Journal of Cognitive Neuroscience, 22, 1270-1282. doi:10.1162/jocn.2009.21270.

    Abstract

    The human brain contains cortical areas specialized in representing object categories. Visual experience is known to change the responses in these category-selective areas of the brain. However, little is known about how category training specifically affects cortical category selectivity. Here, we investigated the experience-dependent formation of object categories using an fMRI adaptation paradigm. Outside the scanner, subjects were trained to categorize artificial bird types into arbitrary categories (jungle birds and desert birds). After training, neuronal populations in the occipito-temporal cortex, such as the fusiform and the lateral occipital gyrus, were highly sensitive to perceptual stimulus differences. This sensitivity was not present for novel birds, indicating experience-related changes in neuronal representations. Neurons in STS showed category selectivity. A release from adaptation in STS was only observed when two birds in a pair crossed the category boundary. This dissociation could not be explained by perceptual similarities because the physical difference between birds from the same side of the category boundary and between birds from opposite sides of the category boundary was equal. Together, the occipito-temporal cortex and the STS have the properties suitable for a system that can both generalize across stimuli and discriminate between them.
  • Van Berkum, J. J. A., & De Jong, T. (1991). Instructional environments for simulations. Education & Computing, 6(3/4), 305-358.

    Abstract

    The use of computer simulations in education and training can have substantial advantages over other approaches. In comparison with alternatives such as textbooks, lectures, and tutorial courseware, a simulation-based approach offers the opportunity to learn in a relatively realistic problem-solving context, to practise task performance without stress, to systematically explore both realistic and hypothetical situations, to change the time-scale of events, and to interact with simplified versions of the process or system being simulated. However, learners are often unable to cope with the freedom offered by, and the complexity of, a simulation. As a result many of them resort to an unsystematic, unproductive mode of exploration. There is evidence that simulation-based learning can be improved if the learner is supported while working with the simulation. Constructing such an instructional environment around simulations seems to run counter to the freedom the learner is allowed to in ‘stand alone’ simulations. The present article explores instructional measures that allow for an optimal freedom for the learner. An extensive discussion of learning goals brings two main types of learning goals to the fore: conceptual knowledge and operational knowledge. A third type of learning goal refers to the knowledge acquisition (exploratory learning) process. Cognitive theory has implications for the design of instructional environments around simulations. Most of these implications are quite general, but they can also be related to the three types of learning goals. For conceptual knowledge the sequence and choice of models and problems is important, as is providing the learner with explanations and minimization of error. For operational knowledge cognitive theory recommends learning to take place in a problem solving context, the explicit tracing of the behaviour of the learner, providing immediate feedback and minimization of working memory load. For knowledge acquisition goals, it is recommended that the tutor takes the role of a model and coach, and that learning takes place together with a companion. A second source of inspiration for designing instructional environments can be found in Instructional Design Theories. Reviewing these shows that interacting with a simulation can be a part of a more comprehensive instructional strategy, in which for example also prerequisite knowledge is taught. Moreover, information present in a simulation can also be represented in a more structural or static way and these two forms of presentation provoked to perform specific learning processes and learner activities by tutor controlled variations in the simulation, and by tutor initiated prodding techniques. And finally, instructional design theories showed that complex models and procedures can be taught by starting with central and simple elements of these models and procedures and subsequently presenting more complex models and procedures. Most of the recent simulation-based intelligent tutoring systems involve troubleshooting of complex technical systems. Learners are supposed to acquire knowledge of particular system principles, of troubleshooting procedures, or of both. Commonly encountered instructional features include (a) the sequencing of increasingly complex problems to be solved, (b) the availability of a range of help information on request, (c) the presence of an expert troubleshooting module which can step in to provide criticism on learner performance, hints on the problem nature, or suggestions on how to proceed, (d) the option of having the expert module demonstrate optimal performance afterwards, and (e) the use of different ways of depicting the simulated system. A selection of findings is summarized by placing them under the four themes we think to be characteristic of learning with computer simulations (see de Jong, this volume).
  • Van Gijn, R. (2010). Middle voice and ideophones, a diachronic connection: The case of Yurakaré. Studies in Language, 34, 273-297. doi:10.1075/sl.34.2.02gij.

    Abstract

    Kemmer (1993) argues that middle voice markers almost always arise diachronically through the semantic extension of a reflexive marker to other semantic uses related to reflexive. In this paper I will argue for an alternative diachronic path that has led to the development of the middle marker in Yurakaré (unclassified, Bolivia): through ideophone-verb constructions. Taking this perspective helps explain a number of synchronic peculiarities of the middle marker in Yurakaré, and it introduces a previously unnoticed channel for middle voice markers to arise.

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  • Van Alphen, P. M., & Van Berkum, J. J. A. (2010). Is there pain in champagne? Semantic involvement of words within words during sense-making. Journal of Cognitive Neuroscience, 22, 2618-2626. doi:10.1162/jocn.2009.21336.

    Abstract

    In an ERP experiment, we examined whether listeners, when making sense of spoken utterances, take into account the meaning of spurious words that are embedded in longer words, either at their onsets (e. g., pie in pirate) or at their offsets (e. g., pain in champagne). In the experiment, Dutch listeners heard Dutch words with initial or final embeddings presented in a sentence context that did or did not support the meaning of the embedded word, while equally supporting the longer carrier word. The N400 at the carrier words was modulated by the semantic fit of the embedded words, indicating that listeners briefly relate the meaning of initial-and final-embedded words to the sentential context, even though these words were not intended by the speaker. These findings help us understand the dynamics of initial sense-making and its link to lexical activation. In addition, they shed new light on the role of lexical competition and the debate concerning the lexical activation of final-embedded words.
  • Van Berkum, J. J. A. (2010). The brain is a prediction machine that cares about good and bad - Any implications for neuropragmatics? Italian Journal of Linguistics, 22, 181-208.

    Abstract

    Experimental pragmatics asks how people construct contextualized meaning in communication. So what does it mean for this field to add neuroas a prefix to its name? After analyzing the options for any subfield of cognitive science, I argue that neuropragmatics can and occasionally should go beyond the instrumental use of EEG or fMRI and beyond mapping classic theoretical distinctions onto Brodmann areas. In particular, if experimental pragmatics ‘goes neuro’, it should take into account that the brain evolved as a control system that helps its bearer negotiate a highly complex, rapidly changing and often not so friendly environment. In this context, the ability to predict current unknowns, and to rapidly tell good from bad, are essential ingredients of processing. Using insights from non-linguistic areas of cognitive neuroscience as well as from EEG research on utterance comprehension, I argue that for a balanced development of experimental pragmatics, these two characteristics of the brain cannot be ignored.
  • Van den Bos, E., & Poletiek, F. H. (2010). Structural selection in implicit learning of artificial grammars. Psychological Research-Psychologische Forschung, 74(2), 138-151. doi:10.1007/s00426-009-0227-1.

    Abstract

    In the contextual cueing paradigm, Endo and Takeda (in Percept Psychophys 66:293–302, 2004) provided evidence that implicit learning involves selection of the aspect of a structure that is most useful to one’s task. The present study attempted to replicate this finding in artificial grammar learning to investigate whether or not implicit learning commonly involves such a selection. Participants in Experiment 1 were presented with an induction task that could be facilitated by several characteristics of the exemplars. For some participants, those characteristics included a perfectly predictive feature. The results suggested that the aspect of the structure that was most useful to the induction task was selected and learned implicitly. Experiment 2 provided evidence that, although salience affected participants’ awareness of the perfectly predictive feature, selection for implicit learning was mainly based on usefulness.

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  • Van Leeuwen, T. M., Petersson, K. M., & Hagoort, P. (2010). Synaesthetic colour in the brain: Beyond colour areas. A functional magnetic resonance imaging study of synaesthetes and matched controls. PLoS One, 5(8), E12074. doi:10.1371/journal.pone.0012074.

    Abstract

    Background: In synaesthesia, sensations in a particular modality cause additional experiences in a second, unstimulated modality (e.g., letters elicit colour). Understanding how synaesthesia is mediated in the brain can help to understand normal processes of perceptual awareness and multisensory integration. In several neuroimaging studies, enhanced brain activity for grapheme-colour synaesthesia has been found in ventral-occipital areas that are also involved in real colour processing. Our question was whether the neural correlates of synaesthetically induced colour and real colour experience are truly shared. Methodology/Principal Findings: First, in a free viewing functional magnetic resonance imaging (fMRI) experiment, we located main effects of synaesthesia in left superior parietal lobule and in colour related areas. In the left superior parietal lobe, individual differences between synaesthetes (projector-associator distinction) also influenced brain activity, confirming the importance of the left superior parietal lobe for synaesthesia. Next, we applied a repetition suppression paradigm in fMRI, in which a decrease in the BOLD (blood-oxygenated-level-dependent) response is generally observed for repeated stimuli. We hypothesized that synaesthetically induced colours would lead to a reduction in BOLD response for subsequently presented real colours, if the neural correlates were overlapping. We did find BOLD suppression effects induced by synaesthesia, but not within the colour areas. Conclusions/Significance: Because synaesthetically induced colours were not able to suppress BOLD effects for real colour, we conclude that the neural correlates of synaesthetic colour experience and real colour experience are not fully shared. We propose that synaesthetic colour experiences are mediated by higher-order visual pathways that lie beyond the scope of classical, ventral-occipital visual areas. Feedback from these areas, in which the left parietal cortex is likely to play an important role, may induce V4 activation and the percept of synaesthetic colour.
  • Van Berkum, J. J. A. (1997). Syntactic processes in speech production: The retrieval of grammatical gender. Cognition, 64(2), 115-152. doi:10.1016/S0010-0277(97)00026-7.

    Abstract

    Jescheniak and Levelt (Jescheniak, J.-D., Levelt, W.J.M. 1994. Journal of Experimental Psychology: Learning, Memory and Cognition 20 (4), 824–843) have suggested that the speed with which native speakers of a gender-marking language retrieve the grammatical gender of a noun from their mental lexicon may depend on the recency of earlier access to that same noun's gender, as the result of a mechanism that is dedicated to facilitate gender-marked anaphoric reference to recently introduced discourse entities. This hypothesis was tested in two picture naming experiments. Recent gender access did not facilitate the production of gender-marked adjective noun phrases (Experiment 1), nor that of gender-marked definite article noun phrases (Experiment 2), even though naming times for the latter utterances were sensitive to the gender of a written distractor word superimposed on the picture to be named. This last result replicates and extends earlier gender-specific picture-word interference results (Schriefers, H. 1993. Journal of Experimental Psychology: Learning, Memory, and Cognition 19 (4), 841–850), showing that one can selectively tap into the production of grammatical gender agreement during speaking. The findings are relevant to theories of speech production and the representation of grammatical gender for that process.
  • Van der Veer, G. C., Bagnara, S., & Kempen, G. (1991). Preface. Acta Psychologica, 78, ix. doi:10.1016/0001-6918(91)90002-H.
  • Van Alphen, P. M., & McQueen, J. M. (2001). The time-limited influence of sentential context on function word identification. Journal of Experimental Psychology: Human Perception and Performance, 27, 1057-1071. doi:10.1037/0096-1523.27.5.1057.

    Abstract

    Sentential context effects on the identification of the Dutch function words te (to) and de (the) were examined. In Experiment 1, listeners labeled words on a [tә]-[dә] continuum more often as te when the context was te biased (Ik probeer [?ә] schieten [I try to/the shoot]) than when it was de biased (Ik probeer [?ә] schoenen [I try to/the shoes]). The effect was weaker in slower responses. In Experiment 2, disambiguation began later, in the second word after [?ә]. There was a weak context effect only in the slower responses. In Experiments 3 and 4, disambiguation occurred on the word before [?ә]: There was no context effect when one set of sentences was used, but there was an effect (larger in the faster responses) when more sentences were used. Syntactic processing affects word identification only within a limited time frame. It appears to do so not by influencing lexical access processes through feedback but, instead, by biasing decision making.
  • Van Gijn, R., Hirtzel, V., & Gipper, S. (2010). Updating and loss of color terminology in Yurakaré: An interdisciplinary point of view. Language & Communication, 30(4), 240-264. doi:10.1016/j.langcom.2010.02.002.

    Abstract

    In spite of the well-established idea that language contact is fundamental for explaining language change, this aspect has been remarkably absent in most studies of color term evolution. This paper discusses the changes in the color system of Yurakaré (unclassified, Bolivia) that have occurred during the last 200 years, as a result of intensive contact with Spanish language and culture. Developing the new theoretical concept of ‘updating’, we will show that different contexts have resulted in qualitatively different changes to the color system of the language.
  • Veenstra, A., Berends, S., & Van Hout, A. (2010). Acquisition of object and quantitative pronouns in Dutch: Kinderen wassen 'hem' voordat ze 'er' twee meenemen. Groninger Arbeiten zur Germanistischen Linguistik, 51, 9-25.

    Abstract

    1. Introduction Despite a large literature on Dutch children’s pronoun interpretation, relatively little is known about their production. In this study we elicited pronouns in two syntactic environments: object pronouns and quantitative er (Q-er). The goal was to see how different types of pronouns develop, in particular, whether acquisition depends on their different syntactic properties. Our Dutch data add another type of language to the acquisition literature on object clitics in the Romance languages. Moreover, we present another angle on this discussion by comparing object pronouns and Q-er.
  • Verdonschot, R. G., La Heij, W., & Schiller, N. O. (2010). Semantic context effects when naming Japanese kanji, but not Chinese hànzì. Cognition, 115(3), 512-518. doi:10.1016/j.cognition.2010.03.005.

    Abstract

    The process of reading aloud bare nouns in alphabetic languages is immune to semantic context effects from pictures. This is accounted for by assuming that words in alphabetic languages can be read aloud relatively fast through a sub-lexical grapheme-phoneme conversion (GPC) route or by a direct route from orthography to word form. We examined semantic context effects in a word-naming task in two languages with logographic scripts for which GPC cannot be applied: Japanese kanji and Chinese hanzi. We showed that reading aloud bare nouns is sensitive to semantically related context pictures in Japanese, but not in Chinese. The difference between these two languages is attributed to processing costs caused by multiple pronunciations for Japanese kanji. (C) 2010 Elsevier B.V. All rights reserved.
  • Veroude, K., Norris, D. G., Shumskaya, E., Gullberg, M., & Indefrey, P. (2010). Functional connectivity between brain regions involved in learning words of a new language. Brain and Language, 113, 21-27. doi:10.1016/j.bandl.2009.12.005.

    Abstract

    Previous studies have identified several brain regions that appear to be involved in the acquisition of novel word forms. Standard word-by-word presentation is often used although exposure to a new language normally occurs in a natural, real world situation. In the current experiment we investigated naturalistic language exposure and applied a model-free analysis for hemodynamic-response data. Functional connectivity, temporal correlations between hemodynamic activity of different areas, was assessed during rest before and after presentation of a movie of a weather report in Mandarin Chinese to Dutch participants. We hypothesized that learning of novel words might be associated with stronger functional connectivity of regions that are involved in phonological processing. Participants were divided into two groups, learners and non-learners, based on the scores on a post hoc word recognition task. The learners were able to recognize Chinese target words from the weather report, while the non-learners were not. In the first resting state period, before presentation of the movie, stronger functional connectivity was observed for the learners compared to the non-learners between the left supplementary motor area and the left precentral gyrus as well as the left insula and the left rolandic operculum, regions that are important for phonological rehearsal. After exposure to the weather report, functional connectivity between the left and right supramarginal gyrus was stronger for learners than for non-learners. This is consistent with a role of the left supramarginal gyrus in the storage of phonological forms. These results suggest both pre-existing and learning-induced differences between the two groups.

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