Publications

Displaying 401 - 497 of 497
  • Seuren, P. A. M. (2006). Virtual objects. In K. Brown (Ed.), Encyclopedia of Language and Linguistics (vol. 13) (pp. 438-441). Amsterdam: Elsevier.

    Abstract

    Virtual objects are objects thought up by a thinking individual. Although 20th-century philosophy has tried to ban them from ontology, they make it impossible to account for the truth of sentences such as Apollo was worshipped in the island of Delos, in which a property is assigned to the nonexisting, virtual entity Apollo. Such facts are the reason why virtual objects are slowly being recognized again.
  • Seuren, P. A. M. (2006). Factivity. In K. Brown (Ed.), Encyclopedia of Language and Linguistics (vol. 4) (pp. 423-424). Amsterdam: Elsevier.

    Abstract

    Some predicates are ‘factive’ in that they induce the presupposition that what is said in their subordinate that clause is true.
  • Seuren, P. A. M. (2006). Donkey sentences. In K. Brown (Ed.), Encyclopedia of Language and Linguistics (vol. 3) (pp. 763-766). Amsterdam: Elsevier.

    Abstract

    The term ‘donkey sentences’ derives from the medieval philosopher Walter Burleigh, whose example sentences contain mention of donkeys. The modern philosopher Peter Geach rediscovered Burleigh's sentences and the associated problem. The problem is that natural language anaphoric pronouns are sometimes used in a way that cannot be accounted for in terms of modern predicate calculus. The solution lies in establishing a separate category of anaphoric pronouns that refer via the intermediary of a contextually given antecedent, possibly an existentially quantified expression.
  • Seuren, P. A. M. (2006). Early formalization tendencies in 20th-century American linguistics. In S. Auroux, E. Koerner, H.-J. Niederehe, & K. Versteegh (Eds.), History of the Language Sciences: An International Handbook on the Evolution of the Study of Language from the Beginnings to the Present (pp. 2026-2034). Berlin: Walter de Gruyter.
  • Seuren, P. A. M. (2006). Discourse domain. In K. Brown (Ed.), Encyclopedia of language and lingusitics (vol. 1) (pp. 638-639). Amsterdam: Elsevier.

    Abstract

    A discourse domain D is a form of middle-term memory for the storage of the information embodied in the discourse at hand. The information carried by a new utterance u is added to D (u is incremented to D). The processes involved and the specific structure of D are a matter of ongoing research.
  • Seuren, P. A. M. (2006). Discourse semantics. In K. Brown (Ed.), Encyclopedia of language and linguistics (vol. 3) (pp. 669-677). Amsterdam: Elsevier.

    Abstract

    Discourse semantics (DSx) is based on the fact that the interpretation of uttered sentences is dependent on and co-determined by the information stored in a specialized middle-term cognitive memory called discourse domain (D). DSx studies the structure and dynamics of Ds and the conditions to be fulfilled by D for proper interpretation. It does so in the light of the truth-conditional criteria for semantics, with an emphasis on intensionality phenomena. It requires the assumption of virtual entities and virtual facts. Any model-theoretic interpretation holds between discourse structures and pre-established verification domains.
  • Seuren, P. A. M. (2005). Eubulides as a 20th-century semanticist. Language Sciences, 27(1), 75-95. doi:10.1016/j.langsci.2003.12.001.

    Abstract

    It is the purpose of the present paper to highlight the figure of Eubulides, a relatively unknown Greek philosopher who lived ±405–330 BC and taught at Megara, not far from Athens. He is mainly known for his four paradoxes (the Liar, the Sorites, the Electra, and the Horns), and for the mutual animosity between him and his younger contemporary Aristotle. The Megarian school of philosophy was one of the main sources of the great Stoic tradition in ancient philosophy. What has never been made explicit in the literature is the importance of the four paradoxes for the study of meaning in natural language: they summarize the whole research programme of 20th century formal or formally oriented semantics, including the problems of vague predicates (Sorites), intensional contexts (Electra), and presuppositions (Horns). One might say that modern formal or formally oriented semantics is essentially an attempt at finding linguistically tenable answers to problems arising in the context of Aristotelian thought. It is a surprising and highly significant fact that a contemporary of Aristotle already spotted the main weaknesses of the Aristotelian paradigm.
  • Seuren, P. A. M. (2006). Aristotle and linguistics. In K. Brown (Ed.), Encyclopedia of language and lingusitics (vol.1) (pp. 469-471). Amsterdam: Elsevier.

    Abstract

    Aristotle's importance in the professional study of language consists first of all in the fact that he demythologized language and made it an object of rational investigation. In the context of his theory of truth as correspondence, he also provided the first semantic analysis of propositions in that he distinguished two main constituents, the predicate, which expresses a property, and the remainder of the proposition, referring to a substance to which the property is assigned. That assignment is either true or false. Later, the ‘remainder’ was called subject term, and the Aristotelian predicate was identified with the verb in the sentence. The Aristotelian predicate, however, is more like what is now called the ‘comment,’ whereas his remainder corresponds to the topic. Aristotle, furthermore, defined nouns and verbs as word classes. In addition, he introduced the term ‘case’ for paradigmatic morphological variation.
  • Seuren, P. A. M. (2006). McCawley’s legacy [Review of the book Polymorphous linguistics: Jim McCawley's legacy ed. by Salikoko S. Mufwene, Elaine J. Francis and Rebecca S. Wheeler]. Language Sciences, 28(5), 521-526. doi:10.1016/j.langsci.2006.02.001.
  • Seuren, P. A. M. (2006). Meaning, the cognitive dependency of lexical meaning. In K. Brown (Ed.), Encyclopedia of Language and Linguistics (vol. 7) (pp. 575-577). Amsterdam: Elsevier.

    Abstract

    There is a growing awareness among theoretical linguists and philosophers of language that the linguistic definition of lexical meanings, which must be learned when one learns a language, underdetermines not only full utterance interpretation but also sentence meaning. The missing information must be provided by cognition – that is, either general encyclopedic or specific situational knowledge. This fact crucially shows the basic insufficiency of current standard model-theoretic semantics as a paradigm for the analysis and description of linguistic meaning.
  • Seuren, P. A. M. (2006). Lexical conditions. In K. Brown (Ed.), Encyclopedia of Language and Linguistics (vol. 7) (pp. 77-79). Amsterdam: Elsevier.

    Abstract

    The lexical conditions, also known as satisfaction conditions, of a predicate P are the conditions that must be satisfied by the term referents of P for P applied to these term referents to yield a true sentence. In view of presupposition theory it makes sense to distinguish two categories of lexical conditions, the preconditions that must be satisfied for the sentence to be usable in any given discourse, and the update conditions which must be satisfied for the sentence to yield truth.
  • Seuren, P. A. M. (2006). Multivalued logics. In K. Brown (Ed.), Encyclopedia of Language and Linguistics (vol. 8) (pp. 387-390). Amsterdam: Elsevier.

    Abstract

    The widely prevailing view that standard bivalent logic is the only possible sound logical system, imposed by metaphysical necessity, has been shattered by the development of multivalent logics during the 20th century. It is now clear that standard bivalent logic is merely the minimal representative of a wide variety of viable logics with any number of truth values. These viable logics can be subdivided into families. In this article, the Kleene family and the PPCn family are subjected to special examination, as they appear to be most relevant for the study of the logical properties of human language.
  • Seyfeddinipur, M. (2006). Disfluency: Interrupting speech and gesture. PhD Thesis, Radboud University Nijmegen, Nijmegen. doi:10.17617/2.59337.
  • Shapiro, K. A., Mottaghy, F. M., Schiller, N. O., Poeppel, T. D., Flüss, M. O., Müller, H. W., Caramazza, A., & Krause, B. J. (2005). Dissociating neural correlates for nouns and verbs. NeuroImage, 24(4), 1058-1067. doi:10.1016/j.neuroimage.2004.10.015.

    Abstract

    Dissociations in the ability to produce words of different grammatical categories are well established in neuropsychology but have not been corroborated fully with evidence from brain imaging. Here we report on a PET study designed to reveal the anatomical correlates of grammatical processes involving nouns and verbs. German-speaking subjects were asked to produce either plural and singular nouns, or first-person plural and singular verbs. Verbs, relative to nouns, activated a left frontal cortical network, while the opposite contrast (nouns–verbs) showed greater activation in temporal regions bilaterally. Similar patterns emerged when subjects performed the task with pseudowords used as nouns or as verbs. These results converge with findings from lesion studies and suggest that grammatical category is an important dimension of organization for knowledge of language in the brain.
  • Sharp, D. J., Scott, S. K., Cutler, A., & Wise, R. J. S. (2005). Lexical retrieval constrained by sound structure: The role of the left inferior frontal gyrus. Brain and Language, 92(3), 309-319. doi:10.1016/j.bandl.2004.07.002.

    Abstract

    Positron emission tomography was used to investigate two competing hypotheses about the role of the left inferior frontal gyrus (IFG) in word generation. One proposes a domain-specific organization, with neural activation dependent on the type of information being processed, i.e., surface sound structure or semantic. The other proposes a process-specific organization, with activation dependent on processing demands, such as the amount of selection needed to decide between competing lexical alternatives. In a novel word retrieval task, word reconstruction (WR), subjects generated real words from heard non-words by the substitution of either a vowel or consonant. Both types of lexical retrieval, informed by sound structure alone, produced activation within anterior and posterior left IFG regions. Within these regions there was greater activity for consonant WR, which is more difficult and imposes greater processing demands. These results support a process-specific organization of the anterior left IFG.
  • Shatzman, K. B. (2006). Sensitivity to detailed acoustic information in word recognition. PhD Thesis, Radboud University Nijmegen, Nijmegen. doi:10.17617/2.59331.
  • Shatzman, K. B., & McQueen, J. M. (2006). Segment duration as a cue to word boundaries in spoken-word recognition. Perception & Psychophysics, 68(1), 1-16.

    Abstract

    In two eye-tracking experiments, we examined the degree to which listeners use acoustic cues to word boundaries. Dutch participants listened to ambiguous sentences in which stop-initial words (e.g., pot, jar) were preceded by eens (once); the sentences could thus also refer to cluster-initial words (e.g., een spot, a spotlight). The participants made fewer fixations to target pictures (e.g., a jar) when the target and the preceding [s] were replaced by a recording of the cluster-initial word than when they were spliced from another token of the target-bearing sentence (Experiment 1). Although acoustic analyses revealed several differences between the two recordings, only [s] duration correlated with the participants’ fixations (more target fixations for shorter [s]s). Thus, we found that listeners apparently do not use all available acoustic differences equally. In Experiment 2, the participants made more fixations to target pictures when the [s] was shortened than when it was lengthened. Utterance interpretation can therefore be influenced by individual segment duration alone.
  • Shatzman, K. B., & McQueen, J. M. (2006). Prosodic knowledge affects the recognition of newly acquired words. Psychological Science, 17(5), 372-377. doi:10.1111/j.1467-9280.2006.01714.x.

    Abstract

    An eye-tracking study examined the involvement of prosodic knowledge—specifically, the knowledge that monosyllabic words tend to have longer durations than the first syllables of polysyllabic words—in the recognition of newly learned words. Participants learned new spoken words (by associating them to novel shapes): bisyllables and onset-embedded monosyllabic competitors (e.g., baptoe and bap). In the learning phase, the duration of the ambiguous sequence (e.g., bap) was held constant. In the test phase, its duration was longer than, shorter than, or equal to its learning-phase duration. Listeners’ fixations indicated that short syllables tended to be interpreted as the first syllables of the bisyllables, whereas long syllables generated more monosyllabic-word interpretations. Recognition of newly acquired words is influenced by prior prosodic knowledge and is therefore not determined solely on the basis of stored episodes of those words.
  • Shatzman, K. B., & McQueen, J. M. (2006). The modulation of lexical competition by segment duration. Psychonomic Bulletin & Review, 13(6), 966-971.

    Abstract

    In an eye-tracking study, we examined how fine-grained phonetic detail, such as segment duration, influences the lexical competition process during spoken word recognition. Dutch listeners’ eye movements to pictures of four objects were monitored as they heard sentences in which a stop-initial target word (e.g., pijp “pipe”) was preceded by an [s]. The participants made more fixations to pictures of cluster-initial words (e.g., spijker “nail”) when they heard a long [s] (mean duration, 103 msec) than when they heard a short [s] (mean duration, 73 msec). Conversely, the participants made more fixations to pictures of the stop-initial words when they heard a short [s] than when they heard a long [s]. Lexical competition between stop- and cluster-initial words, therefore, is modulated by segment duration differences of only 30 msec.
  • Shi, R., Werker, J. F., & Cutler, A. (2006). Recognition and representation of function words in English-learning infants. Infancy, 10(2), 187-198. doi:10.1207/s15327078in1002_5.

    Abstract

    We examined infants' recognition of functors and the accuracy of the representations that infants construct of the perceived word forms. Auditory stimuli were “Functor + Content Word” versus “Nonsense Functor + Content Word” sequences. Eight-, 11-, and 13-month-old infants heard both real functors and matched nonsense functors (prosodically analogous to their real counterparts but containing a segmental change). Results reveal that 13-month-olds recognized functors with attention to segmental detail. Eight-month-olds did not distinguish real versus nonsense functors. The performance of 11-month-olds fell in between that of the older and younger groups, consistent with an emerging recognition of real functors. The three age groups exhibited a clear developmental trend. We propose that in the earliest stages of vocabulary acquisition, function elements receive no segmentally detailed representations, but such representations are gradually constructed so that once vocabulary growth starts in earnest, fully specified functor representations are in place to support it.
  • Shi, R., Cutler, A., Werker, J., & Cruickshank, M. (2006). Frequency and form as determinants of functor sensitivity in English-acquiring infants. Journal of the Acoustical Society of America, 119(6), EL61-EL67. doi:10.1121/1.2198947.

    Abstract

    High-frequency functors are arguably among the earliest perceived word forms and may assist extraction of initial vocabulary items. Canadian 11- and 8-month-olds were familiarized to pseudo-nouns following either a high-frequency functor the or a low-frequency functor her versus phonetically similar mispronunciations of each, kuh and ler, and then tested for recognition of the pseudo-nouns. A preceding the (but not kuh, her, ler)facilitated extraction of the pseudo-nouns for 11-month-olds; the is thus well-specified in form for these infants. However, both the and kuh (but not her-ler )f aciliated segmentation or 8-month-olds, suggesting an initial underspecified representation of high-frequency functors.
  • Sidnell, J., & Stivers, T. (Eds.). (2005). Multimodal Interaction [Special Issue]. Semiotica, 156.
  • Skiba, R. (2006). Computeranalyse/Computer Analysis. In U. Amon, N. Dittmar, K. Mattheier, & P. Trudgill (Eds.), Sociolinguistics: An international handbook of the science of language and society [2nd completely revised and extended edition] (pp. 1187-1197). Berlin, New York: de Gruyter.
  • Smits, R., Sereno, J., & Jongman, A. (2006). Categorization of sounds. Journal of Experimental Psychology: Human Perception and Performance, 32(3), 733-754. doi:10.1037/0096-1523.32.3.733.

    Abstract

    The authors conducted 4 experiments to test the decision-bound, prototype, and distribution theories for the categorization of sounds. They used as stimuli sounds varying in either resonance frequency or duration. They created different experimental conditions by varying the variance and overlap of 2 stimulus distributions used in a training phase and varying the size of the stimulus continuum used in the subsequent test phase. When resonance frequency was the stimulus dimension, the pattern of categorization-function slopes was in accordance with the decision-bound theory. When duration was the stimulus dimension, however, the slope pattern gave partial support for the decision-bound and distribution theories. The authors introduce a new categorization model combining aspects of decision-bound and distribution theories that gives a superior account of the slope patterns across the 2 stimulus dimensions.
  • Sprenger, S. A., & Van Rijn, H. (2005). Clock time naming: Complexities of a simple task. In B. G. Bara, L. Barsalou, & M. Bucciarelli (Eds.), Proceedings of the 27th Annual Meeting of the Cognitive Science Society (pp. 2062-2067).
  • Sprenger, S. A., Levelt, W. J. M., & Kempen, G. (2006). Lexical access during the production of idiomatic phrases. Journal of Memory and Language, 54(2), 161-184. doi:10.1016/j.jml.2005.11.001.

    Abstract

    In three experiments we test the assumption that idioms have their own lexical entry, which is linked to its constituent lemmas (Cutting & Bock, 1997). Speakers produced idioms or literal phrases (Experiment 1), completed idioms (Experiment 2), or switched between idiom completion and naming (Experiment 3). The results of Experiment 1 show that identity priming speeds up idiom production more effectively than literal phrase production, indicating a hybrid representation of idioms. In Experiment 2, we find effects of both phonological and semantic priming. Thus, elements of an idiom can not only be primed via their wordform, but also via the conceptual level. The results of Experiment 3 show that preparing the last word of an idiom primes naming of both phonologically and semantically related targets, indicating that literal word meanings become active during idiom production. The results are discussed within the framework of the hybrid model of idiom representation.
  • Srivastava, S., Budwig, N., & Narasimhan, B. (2005). A developmental-functionalist view of the development of transitive and intratransitive constructions in a Hindi-speaking child: A case study. International Journal of Idiographic Science, 2.
  • Stehouwer, H. (2006). Cue phrase selection methods for textual classification problems. Master Thesis, Twente University, Enschede.

    Abstract

    The classification of texts and pieces of texts uses the occurrence of, combinations of, words as an important indicator. Not every word or each combination of words gives a clear indication of the classification of a piece of text. Research has been done on methods that select some words or combinations of words that are more indicative of the type of a piece of text. These words or combinations of words are selected from the words and word-groups as they occur in the texts. These more indicative words or combinations of words we call ¿cue-phrases¿. The goal of these methods is to select the most indicative cue-phrases first. The collection of selected words and/or combinations thereof can then be used for training the classification system. To test these selection methods, a number of experiments has been done on a corpus containing cookbook recipes and on a corpus of four-participant meetings. To perform these experiments, a computer program was written. On the recipe corpus we looked at classifying the sentences into different types. Some examples of these types include ¿requirement¿ and ¿instruction¿. On the four-person meeting corpus we tried to learn, using only lexical features, whether a sentence is addressed to an individual or a group. The experiments on the recipe corpus produced good results that showed that, a number of, the used cue-phrase selection methods are suitable for feature selection. The experiments on the four-person meeting corpus where less successful in terms of performance off the classification task. We did see comparable patterns in selection methods, and considering the results of Jovanovic we can conclude that different features are needed for this particular classification task. One of the original goals was to look at ¿addressee¿ in discussions. Are sentences more often addressed to individuals inside discussions compared to outside discussions? However, in order to be able to accomplish this, we must first identify the segments of the text that are discussions. It proved hard to come to a reliable specification of discussions, and our initial definition wasn¿t sufficient.
  • Stivers, T. (2005). Parent resistance to physicians' treatment recommendations: One resource for initiating a negotiation of the treatment decision. Health Communication, 18(1), 41-74. doi:10.1207/s15327027hc1801_3.

    Abstract

    This article examines pediatrician-parent interaction in the context of acute pediatric encounters for children with upper respiratory infections. Parents and physicians orient to treatment recommendations as normatively requiring parent acceptance for physicians to close the activity. Through acceptance, withholding of acceptance, or active resistance, parents have resources with which to negotiate for a treatment outcome that is in line with their own wants. This article offers evidence that even in acute care, shared decision making not only occurs but, through normative constraints, is mandated for parents and physicians to reach accord in the treatment decision.
  • Stivers, T. (2005). Modified repeats: One method for asserting primary rights from second position. Research on Language and Social Interaction, 38(2), 131-158. doi:10.1207/s15327973rlsi3802_1.

    Abstract

    In this article I examine one practice speakers have for confirming when confirmation was not otherwise relevant. The practice involves a speaker repeating an assertion previously made by another speaker in modified form with stress on the copula/auxiliary. I argue that these modified repeats work to undermine the first speaker's default ownership and rights over the claim and instead assert the primacy of the second speaker's rights to make the statement. Two types of modified repeats are identified: partial and full. Although both involve competing for primacy of the claim, they occur in distinct sequential environments: The former are generally positioned after a first claim was epistemically downgraded, whereas the latter are positioned following initial claims that were offered straightforwardly, without downgrading.
  • Stivers, T. (2006). Treatment decisions: negotiations between doctors and parents in acute care encounters. In J. Heritage, & D. W. Maynard (Eds.), Communication in medical care: Interaction between primary care physicians and patients (pp. 279-312). Cambridge: Cambridge University Press.
  • Stivers, T., & Robinson, J. D. (2006). A preference for progressivity in interaction. Language in Society, 35(3), 367-392. doi:10.1017/S0047404506060179.

    Abstract

    This article investigates two types of preference organization in interaction: in response to a question that selects a next speaker in multi-party interaction, the preference for answers over non-answer responses as a category of a response; and the preference for selected next speakers to respond. It is asserted that the turn allocation rule specified by Sacks, Schegloff & Jefferson (1974) which states that a response is relevant by the selected next speaker at the transition relevance place is affected by these two preferences once beyond a normal transition space. It is argued that a “second-order” organization is present such that interactants prioritize a preference for answers over a preference for a response by the selected next speaker. This analysis reveals an observable preference for progressivity in interaction.
  • Stivers, T., & Sidnell, J. (2005). Introduction: Multimodal interaction. Semiotica, 156(1/4), 1-20. doi:10.1515/semi.2005.2005.156.1.

    Abstract

    That human social interaction involves the intertwined cooperation of different modalities is uncontroversial. Researchers in several allied fields have, however, only recently begun to document the precise ways in which talk, gesture, gaze, and aspects of the material surround are brought together to form coherent courses of action. The papers in this volume are attempts to develop this line of inquiry. Although the authors draw on a range of analytic, theoretical, and methodological traditions (conversation analysis, ethnography, distributed cognition, and workplace studies), all are concerned to explore and illuminate the inherently multimodal character of social interaction. Recent studies, including those collected in this volume, suggest that different modalities work together not only to elaborate the semantic content of talk but also to constitute coherent courses of action. In this introduction we present evidence for this position. We begin by reviewing some select literature focusing primarily on communicative functions and interactive organizations of specific modalities before turning to consider the integration of distinct modalities in interaction.
  • Stivers, T. (2005). Non-antibiotic treatment recommendations: Delivery formats and implications for parent resistance. Social Science & Medicine, 60(5), 949-964. doi:10.1016/j.socscimed.2004.06.040.

    Abstract

    This study draws on a database of 570 community-based acute pediatric encounters in the USA and uses conversation analysis as a methodology to identify two formats physicians use to recommend non-antibiotic treatment in acute pediatric care (using a subset of 309 cases): recommendations for particular treatment (e.g., “I’m gonna give her some cough medicine.”) and recommendations against particular treatment (e.g., “She doesn’t need any antibiotics.”). The findings are that the presentation of a specific affirmative recommendation for treatment is less likely to engender parent resistance to a non-antibiotic treatment recommendation than a recommendation against particular treatment even if the physician later offers a recommendation for particular treatment. It is suggested that physicians who provide a specific positive treatment recommendation followed by a negative recommendation are most likely to attain parent alignment and acceptance when recommending a non-antibiotic treatment for a viral upper respiratory illness.
  • Striano, T., & Liszkowski, U. (2005). Sensitivity to the context of facial expression in the still face at 3-, 6-, and 9-months of age. Infant Behavior and Development, 28(1), 10-19. doi:10.1016/j.infbeh.2004.06.004.

    Abstract

    Thirty-eight 3-, 6-, and 9-month-old infants interacted in a face to face situation with a female stranger who disrupted the on-going interaction with 30 s Happy and Neutral still face episodes. Three- and 6-month-olds manifested a robust still face response for gazing and smiling. For smiling, 9-month-olds manifested a floor effect such that no still face effect could be shown. For gazing, 9-month-olds' still face response was modulated by the context of interaction such that it was less pronounced if a happy still face was presented first. The findings point to a developmental transition by the end of the first year, whereby infants' still face response becomes increasingly influenced by the context of social interaction. (C) 2004 Published by Elsevier Inc. [References: 35]
  • Swingley, D. (2005). Statistical clustering and the contents of the infant vocabulary. Cognitive Psychology, 50(1), 86-132. doi:10.1016/j.cogpsych.2004.06.001.

    Abstract

    Infants parse speech into word-sized units according to biases that develop in the first year. One bias, present before the age of 7 months, is to cluster syllables that tend to co-occur. The present computational research demonstrates that this statistical clustering bias could lead to the extraction of speech sequences that are actual words, rather than missegmentations. In English and Dutch, these word-forms exhibit the strong–weak (trochaic) pattern that guides lexical segmentation after 8 months, suggesting that the trochaic parsing bias is learned as a generalization from statistically extracted bisyllables, and not via attention to short utterances or to high-frequency bisyllables. Extracted word-forms come from various syntactic classes, and exhibit distributional characteristics enabling rudimentary sorting of words into syntactic categories. The results highlight the importance of infants’ first year in language learning: though they may know the meanings of very few words, infants are well on their way to building a vocabulary.
  • Swingley, D. (2005). 11-month-olds' knowledge of how familiar words sounds. Developmental Science, 8(5), 432-443. doi:10.1111/j.1467-7687.2005.00432.

    Abstract

    During the first year of life, infants' perception of speech becomes tuned to the phonology of the native language, as revealed in laboratory discrimination and categorization tasks using syllable stimuli. However, the implications of these results for the development of the early vocabulary remain controversial, with some results suggesting that infants retain only vague, sketchy phonological representations of words. Five experiments using a preferential listening procedure tested Dutch 11-month-olds' responses to word, nonword and mispronounced-word stimuli. Infants listened longer to words than nonwords, but did not exhibit this response when words were mispronounced at onset or at offset. In addition, infants preferred correct pronunciations to onset mispronunciations. The results suggest that infants' encoding of familiar words includes substantial phonological detail.
  • Takashima, A., Petersson, K. M., Rutters, F., Tendolkar, I., Jensen, O., Zwarts, M. J., McNaughton, B. L., & Fernández, G. (2006). Declarative memory consolidation in humans: A prospective functional magnetic resonance imaging study. Proceedings of the National Academy of Sciences of the United States of America [PNAS], 103(3), 756-761.

    Abstract

    Retrieval of recently acquired declarative memories depends on
    the hippocampus, but with time, retrieval is increasingly sustainable
    by neocortical representations alone. This process has been
    conceptualized as system-level consolidation. Using functional
    magnetic resonance imaging, we assessed over the course of three
    months how consolidation affects the neural correlates of memory
    retrieval. The duration of slow-wave sleep during a nap/rest
    period after the initial study session and before the first scan
    session on day 1 correlated positively with recognition memory
    performance for items studied before the nap and negatively with
    hippocampal activity associated with correct confident recognition.
    Over the course of the entire study, hippocampal activity for
    correct confident recognition continued to decrease, whereas activity
    in a ventral medial prefrontal region increased. These findings,
    together with data obtained in rodents, may prompt a
    revision of classical consolidation theory, incorporating a transfer
    of putative linking nodes from hippocampal to prelimbic prefrontal
    areas.
  • Ten Bosch, L., Baayen, R. H., & Ernestus, M. (2006). On speech variation and word type differentiation by articulatory feature representations. In Proceedings of Interspeech 2006 (pp. 2230-2233).

    Abstract

    This paper describes ongoing research aiming at the description of variation in speech as represented by asynchronous articulatory features. We will first illustrate how distances in the articulatory feature space can be used for event detection along speech trajectories in this space. The temporal structure imposed by the cosine distance in articulatory feature space coincides to a large extent with the manual segmentation on phone level. The analysis also indicates that the articulatory feature representation provides better such alignments than the MFCC representation does. Secondly, we will present first results that indicate that articulatory features can be used to probe for acoustic differences in the onsets of Dutch singulars and plurals.
  • ten Bosch, L., Hämäläinen, A., Scharenborg, O., & Boves, L. (2006). Acoustic scores and symbolic mismatch penalties in phone lattices. In Proceedings of the 2006 IEEE International Conference on Acoustics, Speech and Signal Processing [ICASSP 2006]. IEEE.

    Abstract

    This paper builds on previous work that aims at unraveling the structure of the speech signal by means of using probabilistic representations. The context of this work is a multi-pass speech recognition system in which a phone lattice is created and used as a basis for a lexical search in which symbolic mismatches are allowed at certain costs. The focus is on the optimization of the costs of phone insertions, deletions and substitutions that are used in the lexical decoding pass. Two optimization approaches are presented, one related to a multi-pass computational model for human speech recognition, the other based on a decoding in which Bayes’ risks are minimized. In the final section, the advantages of these optimization methods are discussed and compared.
  • ten Bosch, L., & Scharenborg, O. (2005). ASR decoding in a computational model of human word recognition. In Interspeech'2005 - Eurospeech, 9th European Conference on Speech Communication and Technology (pp. 1241-1244). ISCA Archive.

    Abstract

    This paper investigates the interaction between acoustic scores and symbolic mismatch penalties in multi-pass speech decoding techniques that are based on the creation of a segment graph followed by a lexical search. The interaction between acoustic and symbolic mismatches determines to a large extent the structure of the search space of these multipass approaches. The background of this study is a recently developed computational model of human word recognition, called SpeM. SpeM is able to simulate human word recognition data and is built as a multi-pass speech decoder. Here, we focus on unravelling the structure of the search space that is used in SpeM and similar decoding strategies. Finally, we elaborate on the close relation between distances in this search space, and distance measures in search spaces that are based on a combination of acoustic and phonetic features.
  • Terrill, A., & Dunn, M. (2006). Semantic transference: Two preliminary case studies from the Solomon Islands. In C. Lefebvre, L. White, & C. Jourdan (Eds.), L2 acquisition and Creole genesis: Dialogues (pp. 67-85). Amsterdam: Benjamins.
  • Terrill, A. (2006). Central Solomon languages. In K. Brown (Ed.), Encyclopedia of language and linguistics (vol. 2) (pp. 279-280). Amsterdam: Elsevier.

    Abstract

    The Papuan languages of the central Solomon Islands are a negatively defined areal grouping: They are those four or possibly five languages in the central Solomon Islands that do not belong to the Austronesian family. Bilua (Vella Lavella), Touo (Rendova), Lavukaleve (Russell Islands), Savosavo (Savo Island) and possibly Kazukuru (New Georgia) have been identified as non-Austronesian since the early 20th century. However, their affiliations both to each other and to other languages still remain a mystery. Heterogeneous and until recently largely undescribed, they present an interesting departure from what is known both of Austronesian languages in the region and of the Papuan languages of the mainland of New Guinea.
  • Terrill, A. (2006). Body part terms in Lavukaleve, a Papuan language of the Solomon Islands. Language Sciences, 28(2-3), 304-322. doi:10.1016/j.langsci.2005.11.008.

    Abstract

    This paper explores body part terms in Lavukaleve, a Papuan isolate spoken in the Solomon Islands. The full set of body part terms collected so far is presented, and their grammatical properties are explained. It is argued that Lavukaleve body part terms do not enter into partonomic relations with each other, and that a hierarchical structure of body part terms does not apply for Lavukaleve. It is shown too that some universal claims which have been made about the expression of terms relating to limbs are contradicted in Lavukaleve, which has only one general term covering arm, hand, leg and (for some people) foot.
  • Theakston, A. L., Lieven, E. V., Pine, J. M., & Rowland, C. F. (2006). Note of clarification on the coding of light verbs in ‘Semantic generality, input frequency and the acquisition of syntax’ (Journal of Child Language 31, 61–99). Journal of Child Language, 33(1), 191-197. doi:10.1017/S0305000905007178.

    Abstract

    In our recent paper, ‘Semantic generality, input frequency and the acquisition of syntax’ (Journal of Child Language31, 61–99), we presented data from two-year-old children to examine the question of whether the semantic generality of verbs contributed to their ease and stage of acquisition over and above the effects of their typically high frequency in the language to which children are exposed. We adopted two different categorization schemes to determine whether individual verbs should be considered to be semantically general, or ‘light’, or whether they encoded more specific semantics. These categorization schemes were based on previous work in the literature on the role of semantically general verbs in early verb acquisition, and were designed, in the first case, to be a conservative estimate of semantic generality, including only verbs designated as semantically general by a number of other researchers (e.g. Clark, 1978; Pinker, 1989; Goldberg, 1998), and, in the second case, to be a more inclusive estimate of semantic generality based on Ninio's (1999a,b) suggestion that grammaticalizing verbs encode the semantics associated with semantically general verbs. Under this categorization scheme, a much larger number of verbs were included as semantically general verbs.
  • Theakston, A. L., Lieven, E. V., Pine, J. M., & Rowland, C. F. (2005). The acquisition of auxiliary syntax: BE and HAVE. Cognitive Linguistics, 16(1), 247-277. doi:10.1515/cogl.2005.16.1.247.

    Abstract

    This study examined patterns of auxiliary provision and omission for the auxiliaries BE and HAVE in a longitudinal data set from 11 children between the ages of two and three years. Four possible explanations for auxiliary omission—a lack of lexical knowledge, performance limitations in production, the Optional Infinitive hypothesis, and patterns of auxiliary use in the input—were examined. The data suggest that although none of these accounts provides a full explanation for the pattern of auxiliary use and nonuse observed in children's early speech, integrating input-based and lexical learning-based accounts of early language acquisition within a constructivist approach appears to provide a possible framework in which to understand the patterns of auxiliary use found in the children's speech. The implications of these findings for models of children's early language acquisition are discussed.
  • Trilsbeek, P., & Wittenburg, P. (2005). Archiving challenges. In J. Gippert, N. Himmelmann, & U. Mosel (Eds.), Essentials of language documentation (pp. 311-335). Berlin: Mouton de Gruyter.
  • Tuinman, A. (2006). Overcompensation of /t/ reduction in Dutch by German/Dutch bilinguals. In Variation, detail and representation: 10th Conference on Laboratory Phonology (pp. 101-102).
  • Van Staden, M., Bowerman, M., & Verhelst, M. (2006). Some properties of spatial description in Dutch. In S. C. Levinson, & D. Wilkins (Eds.), Grammars of Space (pp. 475-511). Cambridge: Cambridge University Press.
  • Van Alphen, P. M., & McQueen, J. M. (2006). The effect of voice onset time differences on lexical access in Dutch. Journal of Experimental Psychology: Human Perception and Performance, 32(1), 178-196. doi:10.1037/0096-1523.32.1.178.

    Abstract

    Effects on spoken-word recognition of prevoicing differences in Dutch initial voiced plosives were examined. In 2 cross-modal identity-priming experiments, participants heard prime words and nonwords beginning with voiced plosives with 12, 6, or 0 periods of prevoicing or matched items beginning with voiceless plosives and made lexical decisions to visual tokens of those items. Six-period primes had the same effect as 12-period primes. Zero-period primes had a different effect, but only when their voiceless counterparts were real words. Listeners could nevertheless discriminate the 6-period primes from the 12- and 0-period primes. Phonetic detail appears to influence lexical access only to the extent that it is useful: In Dutch, presence versus absence of prevoicing is more informative than amount of prevoicing.
  • Van den Brink, D., Brown, C. M., & Hagoort, P. (2006). The cascaded nature of lexical selection and integration in auditory sentence processing. Journal of Experimental Psychology: Learning, Memory, and Cognition, 32(3), 364-372. doi:10.1037/0278-7393.32.3.364.

    Abstract

    An event-related brain potential experiment was carried out to investigate the temporal relationship
    between lexical selection and the semantic integration in auditory sentence processing. Participants were
    presented with spoken sentences that ended with a word that was either semantically congruent or
    anomalous. Information about the moment in which a sentence-final word could uniquely be identified,
    its isolation point (IP), was compared with the onset of the elicited N400 congruity effect, reflecting
    semantic integration processing. The results revealed that the onset of the N400 effect occurred prior to
    the IP of the sentence-final words. Moreover, the factor early or late IP did not affect the onset of the
    N400. These findings indicate that lexical selection and semantic integration are cascading processes, in
    that semantic integration processing can start before the acoustic information allows the selection of a
    unique candidate and seems to be attempted in parallel for multiple candidates that are still compatible
    with the bottom–up acoustic input.
  • Van Donselaar, W., Koster, M., & Cutler, A. (2005). Exploring the role of lexical stress in lexical recognition. Quarterly Journal of Experimental Psychology, 58A(2), 251-273. doi:10.1080/02724980343000927.

    Abstract

    Three cross-modal priming experiments examined the role of suprasegmental information in the processing of spoken words. All primes consisted of truncated spoken Dutch words. Recognition of visually presented word targets was facilitated by prior auditory presentation of the first two syllables of the same words as primes, but only if they were appropriately stressed (e.g., OKTOBER preceded by okTO-); inappropriate stress, compatible with another word (e.g., OKTOBER preceded by OCto-, the beginning of octopus), produced inhibition. Monosyllabic fragments (e.g., OC-) also produced facilitation when appropriately stressed; if inappropriately stressed, they produced neither facilitation nor inhibition. The bisyllabic fragments that were compatible with only one word produced facilitation to semantically associated words, but inappropriate stress caused no inhibition of associates. The results are explained within a model of spoken-word recognition involving competition between simultaneously activated phonological representations followed by activation of separate conceptual representations for strongly supported lexical candidates; at the level of the phonological representations, activation is modulated by both segmental and suprasegmental information.
  • Van Gijn, E. (2006). A grammar of Yurakaré. PhD Thesis, Radboud University Nijmegen, Nijmegen.

    Abstract

    This book provides an overview of the grammatical structure of the language Yurakaré, an unclassified and previously undescribed language of central Bolivia. It consists of 8 chapters, each describing different aspects of the language. Chapter 1 is an introduction to the Yurakaré people and their language. Chapter 2 describes the phonology of the language, from the individual sounds to the stress system. In chapter 3 the morphology of Yurakaré is introduced, i.e. the parts of speech, and the different morphological processes. Chapter 4 is a description of the noun phrase and contains information about nouns, adjectives, postpositions and quantifiers. It also discusses the categories associated with the noun phrase in Yurakaré, such as number, possession, collectivity/distributivity, diminutive. In chapter 5, called 'Verbal agreement, voice and valency' there is a description of the argument structure of predicates, how arguments are expressed and how argument structure can be altered by means of voice and valency-changing operations such as applicatives, causative and middle voice. In chapter 6 there is an overview of verbal morphology, apart from the morphology associated with voice, valency and cross-reference discussed in chapter 5. There is also a description of adverbs in the language in this chapter. Chapter 7 discusses formal and functional properties of modal and aspectual enclitics. In chapter 8, finally, the structure of the clause (both simplex and complex) is discussed, including the switch-reference system and word order. The book ends with two text samples.
  • Van Staden, M., & Majid, A. (2006). Body colouring task. Language Sciences, 28(2-3), 158-161. doi:10.1016/j.langsci.2005.11.004.

    Abstract

    This paper outlines a method for collecting information on the extensional meanings of body part terms using a colouring in task.
  • Van Berkum, J. J. A., Brown, C. M., Zwitserlood, P., Kooijman, V., & Hagoort, P. (2005). Anticipating upcoming words in discourse: Evidence from ERPs and reading times. Journal of Experimental Psychology: Learning, Memory, and Cognition, 31(3), 443-467. doi:10.1037/0278-7393.31.3.443.

    Abstract

    The authors examined whether people can use their knowledge of the wider discourse rapidly enough to anticipate specific upcoming words as a sentence is unfolding. In an event-related brain potential (ERP) experiment, subjects heard Dutch stories that supported the prediction of a specific noun. To probe whether this noun was anticipated at a preceding indefinite article, stories were continued with a gender-marked adjective whose suffix mismatched the upcoming noun's syntactic gender. Prediction-inconsistent adjectives elicited a differential ERP effect, which disappeared in a no-discourse control experiment. Furthermore, in self-paced reading, prediction-inconsistent adjectives slowed readers down before the noun. These findings suggest that people can indeed predict upcoming words in fluent discourse and, moreover, that these predicted words can immediately begin to participate in incremental parsing operations.
  • Van Halteren, H., Baayen, R. H., Tweedie, F., Haverkort, M., & Neijt, A. (2005). New machine learning methods demonstrate the existence of a human stylome. Journal of Quantitative Linguistics, 12(1), 65-77. doi:10.1080/09296170500055350.

    Abstract

    Earlier research has shown that established authors can be distinguished by measuring specific properties of their writings, their stylome as it were. Here, we examine writings of less experienced authors. We succeed in distinguishing between these authors with a very high probability, which implies that a stylome exists even in the general population. However, the number of traits needed for so successful a distinction is an order of magnitude larger than assumed so far. Furthermore, traits referring to syntactic patterns prove less distinctive than traits referring to vocabulary, but much more distinctive than expected on the basis of current generativist theories of language learning.
  • Van den Bos, E. J., & Poletiek, F. H. (2006). Implicit artificial grammar learning in adults and children. In R. Sun (Ed.), Proceedings of the 28th Annual Conference of the Cognitive Science Society (CogSci 2006) (pp. 2619). Austin, TX, USA: Cognitive Science Society.
  • van de Beek, D., Weisfelt, M., Hoogman, M., de Gans, J., & Schmand, B. (2006). Neuropsychological sequelae of bacterial meningitis: The influence of alcoholism and adjunctive dexamethasone therapy [Letter to the editor]. Brain, 129, E46. doi:10.1093/brain/awl052.

    Abstract

    The article by Schmidt and colleagues (2006) reported neuropsychological sequelae of bacterial and viral meningitis. In a retrospective study, they carefully selected patients and excluded those with concomitant conditions such as alcoholism after Streptococcus pneumoniae meningitis (Schmidt et al., 2006). The authors should be complimented for their solid work; however, some questions can be raised.
  • Van Valin Jr., R. D. (2005). Exploring the syntax-semantics interface. Cambridge University Press.

    Abstract

    Language is a system of communication in which grammatical structures function to express meaning in context. While all languages can achieve the same basic communicative ends, they each use different means to achieve them, particularly in the divergent ways that syntax, semantics and pragmatics interact across languages. This book looks in detail at how structure, meaning, and communicative function interact in human languages. Working within the framework of Role and Reference Grammar (RRG), Van Valin proposes a set of rules, called the ‘linking algorithm’, which relates syntactic and semantic representations to each other, with discourse-pragmatics playing a role in the linking. Using this model, he discusses the full range of grammatical phenomena, including the structures of simple and complex sentences, verb and argument structure, voice, reflexivization and extraction restrictions. Clearly written and comprehensive, this book will be welcomed by all those working on the interface between syntax, semantics and pragmatics.
  • Van Valin Jr., R. D. (2006). Some universals of verb semantics. In R. Mairal, & J. Gil (Eds.), Linguistic universals (pp. 155-178). Cambridge: Cambridge University Press.
  • Van Valin Jr., R. D. (2006). Semantic macroroles and language processing. In I. Bornkessel, M. Schlesewsky, B. Comrie, & A. Friederici (Eds.), Semantic role universals and argument linking: Theoretical, typological and psycho-/neurolinguistic perspectives (pp. 263-302). Berlin: Mouton de Gruyter.
  • Verhagen, J. (2005). The role of the nonmodal auxiliary 'hebben' in Dutch as a second language. Zeitschrift für Literaturwissenschaft und Linguistik, 140, 109-127.

    Abstract

    The acquisition of non-modal auxiliaries has been assumed to constitute an important step in the acquisition of finiteness in Germanic languages (cf. Jordens/Dimroth 2005, Jordens 2004, Becker 2005). This paper focuses onthe role of the auxiliary hebben (>to have<) in the acquisition of Dutch as a second language. More specifically, it investigates whether learners' production of hebben is related to their acquisition of two phenomena commonly associated with finiteness, i.e., topicalization and negation. Data are presented from 16 Turkish and 36 Moroccan learners of Dutch who participated in an experiment involving production and imitation tasks. The production data suggest that learners use topicalization and post-verbal negation only after they have learned to produce the auxiliary hebben. The results from the imitation task indicate, that learners are more sensitive to topicalization and post-verbal negation in sentences with hebben than in sentences with lexical verbs. Interestingly this holds also for learners that did not show productive command of hebben in the production tasks. Thus, in general, the results of the experiment provide support for the idea that non-modal auxiliaries are crucial in the acquisition of (certain properties of) finiteness.
  • Verhagen, J. (2005). The role of the nonmodal auxiliary 'hebben' in Dutch as a second language. Toegepaste Taalwetenschap in Artikelen, 73, 41-52.
  • Vernes, S. C., Nicod, J., Elahi, F. M., Coventry, J. A., Kenny, N., Coupe, A.-M., Bird, L. E., Davies, K. E., & Fisher, S. E. (2006). Functional genetic analysis of mutations implicated in a human speech and language disorder. Human Molecular Genetics, 15(21), 3154-3167. doi:10.1093/hmg/ddl392.

    Abstract

    Mutations in the FOXP2 gene cause a severe communication disorder involving speech deficits (developmental verbal dyspraxia), accompanied by wide-ranging impairments in expressive and receptive language. The protein encoded by FOXP2 belongs to a divergent subgroup of forkhead-box transcription factors, with a distinctive DNA-binding domain and motifs that mediate hetero- and homodimerization. Here we report the first direct functional genetic investigation of missense and nonsense mutations in FOXP2 using human cell-lines, including a well-established neuronal model system. We focused on three unusual FOXP2 coding variants, uniquely identified in cases of verbal dyspraxia, assessing expression, subcellular localization, DNA-binding and transactivation properties. Analysis of the R553H forkhead-box substitution, found in all affected members of a large three-generation family, indicated that it severely affects FOXP2 function, chiefly by disrupting nuclear localization and DNA-binding properties. The R328X truncation mutation, segregating with speech/language disorder in a second family, yields an unstable, predominantly cytoplasmic product that lacks transactivation capacity. A third coding variant (Q17L) observed in a single affected child did not have any detectable functional effect in the present study. In addition, we used the same systems to explore the properties of different isoforms of FOXP2, resulting from alternative splicing in human brain. Notably, one such isoform, FOXP2.10+, contains dimerization domains, but no DNA-binding domain, and displayed increased cytoplasmic localization, coupled with aggresome formation. We hypothesize that expression of alternative isoforms of FOXP2 may provide mechanisms for post-translational regulation of transcription factor function.
  • De Vos, C. (2005). Cataphoric pronoun resolution (Unpublished bachelor thesis). Nijmegen: Department of Linguistics, Radboud University.

    Abstract

    Processing of cataphoric coreferential relationships.
  • De Vos, C. (2006). Mixed signals: Combining affective and linguistic functions of eyebrows in sign language of The Netherlands (Master's thesis). Nijmegen: Department of Linguistics, Radboud University.

    Abstract

    Sign Language of the Netherlands (NGT) is a visual-gestural language in which linguistic information is conveyed through manual as well as non-manual channels; not only the hands, but also body position, head position and facial expression are important for the language structure. Facial expressions serve grammatical functions in the marking of topics, yes/no questions, and wh-questions (Coerts, 1992). Furthermore, facial expression is used nonlinguistically in the expression of affect (Ekman, 1979). Consequently, at the phonetic level obligatory marking of grammar using facial expression may conflict with the expression of affect. In this study, I investigated the interplay of linguistic and affective functions of brow movements in NGT. Three hypotheses were tested in this thesis. The first is that the affective markers of eyebrows would dominate over the linguistic markers. The second hypothesis predicts that the grammatical markers dominate over the affective brow movements. A third possibility is that a Phonetic Sum would occur in which both functions are combined simultaneously. I elicited sentences combining grammatical and affective functions of eyebrows using a randomised design. Five sentence types were included: declarative sentences, topic sentences, yes-no questions, wh-questions with the wh-sign sentence-final and wh-questions with the wh-sign sentence-initial. These sentences were combined with neutral, surprised, angry, and distressed affect. The brow movements were analysed using the Facial Action Coding System (Ekman, Friesen, & Hager, 2002a). In these sentences, the eyebrows serve a linguistic function, an affective function, or both. One of the possibilities in the latter cases was that a Phonetic Sum would occur that combines both functions simultaneously. Surprisingly, it was found that a Phonetic Sum occurs in which the phonetic weight of Action Unit 4 appears to play an important role. The results show that affect displays may alter question signals in NGT.
  • Wagner, A., Ernestus, M., & Cutler, A. (2006). Formant transitions in fricative identification: The role of native fricative inventory. Journal of the Acoustical Society of America, 120(4), 2267-2277. doi:10.1121/1.2335422.

    Abstract

    The distribution of energy across the noise spectrum provides the primary cues for the identification of a fricative. Formant transitions have been reported to play a role in identification of some fricatives, but the combined results so far are conflicting. We report five experiments testing the hypothesis that listeners differ in their use of formant transitions as a function of the presence of spectrally similar fricatives in their native language. Dutch, English, German, Polish, and Spanish native listeners performed phoneme monitoring experiments with pseudowords containing either coherent or misleading formant transitions for the fricatives / s / and / f /. Listeners of German and Dutch, both languages without spectrally similar fricatives, were not affected by the misleading formant transitions. Listeners of the remaining languages were misled by incorrect formant transitions. In an untimed labeling experiment both Dutch and Spanish listeners provided goodness ratings that revealed sensitivity to the acoustic manipulation. We conclude that all listeners may be sensitive to mismatching information at a low auditory level, but that they do not necessarily take full advantage of all available systematic acoustic variation when identifying phonemes. Formant transitions may be most useful for listeners of languages with spectrally similar fricatives.
  • Warner, N., Smits, R., McQueen, J. M., & Cutler, A. (2005). Phonological and statistical effects on timing of speech perception: Insights from a database of Dutch diphone perception. Speech Communication, 46(1), 53-72. doi:10.1016/j.specom.2005.01.003.

    Abstract

    We report detailed analyses of a very large database on timing of speech perception collected by Smits et al. (Smits, R., Warner, N., McQueen, J.M., Cutler, A., 2003. Unfolding of phonetic information over time: A database of Dutch diphone perception. J. Acoust. Soc. Am. 113, 563–574). Eighteen listeners heard all possible diphones of Dutch, gated in portions of varying size and presented without background noise. The present report analyzes listeners’ responses across gates in terms of phonological features (voicing, place, and manner for consonants; height, backness, and length for vowels). The resulting patterns for feature perception differ from patterns reported when speech is presented in noise. The data are also analyzed for effects of stress and of phonological context (neighboring vowel vs. consonant); effects of these factors are observed to be surprisingly limited. Finally, statistical effects, such as overall phoneme frequency and transitional probabilities, along with response biases, are examined; these too exercise only limited effects on response patterns. The results suggest highly accurate speech perception on the basis of acoustic information alone.
  • Warner, N., Good, E., Jongman, A., & Sereno, J. (2006). Orthographic vs. morphological incomplete neutralization effects. Journal of Phonetics, 34(2), 285-293. doi:10.1016/j.wocn.2004.11.003.

    Abstract

    This study, following up on work on Dutch by Warner, Jongman, Sereno, and Kemps (2004. Journal of Phonetics, 32, 251–276), investigates the influence of orthographic distinctions and underlying morphological distinctions on the small sub-phonemic durational differences that have been called incomplete neutralization. One part of the previous work indicated that an orthographic geminate/singleton distinction could cause speakers to produce an incomplete neutralization effect. However, one interpretation of the materials in that experiment is that they contain an underlying difference in the phoneme string at the level of concatenation of morphemes, rather than just an orthographic difference. Thus, the previous effect might simply be another example of incomplete neutralization of a phonemic distinction. The current experiment, also on Dutch, uses word pairs which have the same underlying morphological contrast, but do not differ in orthography. These new materials show no incomplete neutralization, and thus support the hypothesis that orthography, but not underlying morphological differences, can cause incomplete neutralization effects.
  • Warner, N., Kim, J., Davis, C., & Cutler, A. (2005). Use of complex phonological patterns in speech processing: Evidence from Korean. Journal of Linguistics, 41(2), 353-387. doi:10.1017/S0022226705003294.

    Abstract

    Korean has a very complex phonology, with many interacting alternations. In a coronal-/i/ sequence, depending on the type of phonological boundary present, alternations such as palatalization, nasal insertion, nasal assimilation, coda neutralization, and intervocalic voicing can apply. This paper investigates how the phonological patterns of Korean affect processing of morphemes and words. Past research on languages such as English, German, Dutch, and Finnish has shown that listeners exploit syllable structure constraints in processing speech and segmenting it into words. The current study shows that in parsing speech, listeners also use much more complex patterns that relate the surface phonological string to various boundaries.
  • Warren, J. E., Sauter, D., Eisner, F., Wiland, J., Dresner, M. A., Wise, R. J. S., Rosen, S., & Scott, S. K. (2006). Positive emotions preferentially engage an auditory–motor “mirror” system. The Journal of Neuroscience, 26(50), 13067-13075. doi:10.1523/JNEUROSCI.3907-06.2006.

    Abstract

    Social interaction relies on the ability to react to communication signals. Although cortical sensory–motor “mirror” networks are thought to play a key role in visual aspects of primate communication, evidence for a similar generic role for auditory–motor interaction in primate nonverbal communication is lacking. We demonstrate that a network of human premotor cortical regions activated during facial movement is also involved in auditory processing of affective nonverbal vocalizations. Within this auditory–motor mirror network, distinct functional subsystems respond preferentially to emotional valence and arousal properties of heard vocalizations. Positive emotional valence enhanced activation in a left posterior inferior frontal region involved in representation of prototypic actions, whereas increasing arousal enhanced activation in presupplementary motor area cortex involved in higher-order motor control. Our findings demonstrate that listening to nonverbal vocalizations can automatically engage preparation of responsive orofacial gestures, an effect that is greatest for positive-valence and high-arousal emotions. The automatic engagement of responsive orofacial gestures by emotional vocalizations suggests that auditory–motor interactions provide a fundamental mechanism for mirroring the emotional states of others during primate social behavior. Motor facilitation by positive vocal emotions suggests a basic neural mechanism for establishing cohesive bonds within primate social groups.
  • Wassenaar, M., & Hagoort, P. (2005). Word-category violations in patients with Broca's aphasia: An ERP study. Brain and Language, 92, 117-137. doi:10.1016/j.bandl.2004.05.011.

    Abstract

    An event-related brain potential experiment was carried out to investigate on-line syntactic processing in patients with Broca’s aphasia. Subjects were visually presented with sentences that were either syntactically correct or contained violations of word-category. Three groups of subjects were tested: Broca patients (N=11), non-aphasic patients with a right hemisphere (RH) lesion (N=9), and healthy aged-matched controls (N=15). Both control groups appeared sensitive to the violations of word-category as shown by clear P600/SPS effects. The Broca patients displayed only a very reduced and delayed P600/SPS effect. The results are discussed in the context of a lexicalist parsing model. It is concluded that Broca patients are hindered to detect on-line violations of word-category, if word class information is incomplete or delayed available.
  • Wassenaar, M. (2005). Agrammatic comprehension: An electrophysiological approach. PhD Thesis, Radboud University Nijmegen, Nijmegen. doi:10.17617/2.60340.

    Abstract

    This dissertation focuses on syntactic comprehension problems in patients with Broca's aphasia from an electrophysiological perspective. The central objective of this dissertation was to further explore what syntax-related event-related brain potential (ERP) effects can reveal about the nature of the deficit that underlies syntactic comprehension problems in patients with Broca's aphasia. Chapter two to four describe experiments in which event-related brain potentials were recorded while subjects (Broca patients, non-aphasic patients with a right-hemisphere lesion, and healthy elderly controls) were presented with sentences that contained either violations of syntactic constraints or were syntactically correct. Chapter two investigates ERP effects of subject-verb agreement violations in the different subject groups, and seeks to answer the following questions: Do agrammatic comprehenders show sensitivity to subject-verb agreement violations as indicated by a syntax-related ERP effect? In addition, does the severity of the syntactic comprehension impairment in the Broca patients affect the ERP responses? Chapter three describes an investigation of whether Broca patients show sensitivity to violations of word order as indicated by a syntax-related ERP effect, and whether the ERP responses in the Broca patients are affected by the severity of their syntactic comprehension impairment. Chapter four reports on ERP effects of violations of word-category. In addition, also a semantic violation condition was added to track possible dissociations in the sensitivity to semantic and syntactic information in the Broca patients. Chapter five describes the development of a paradigm in which the electrophysiological approach and the classical sentence-picture matching approach are combined. In this chapter, the ERP method is applied to study on-line thematic role assignment in Broca patients during sentence-picture matching. Also the relation between ERP effects and behavioral responses is pursued. Finally, Chapter 6 provides a summary of the main findings of the experiments and a general discussion.

    Additional information

    full text via Radboud Repository
  • Weber, A., Braun, B., & Crocker, M. W. (2006). Finding referents in time: Eye-tracking evidence for the role of contrastive accents. Language and Speech, 49(3), 367-392.

    Abstract

    In two eye-tracking experiments the role of contrastive pitch accents during the on-line determination of referents was examined. In both experiments, German listeners looked earlier at the picture of a referent belonging to a contrast pair (red scissors, given purple scissors) when instructions to click on it carried a contrastive accent on the color adjective (L + H*) than when the adjective was not accented. In addition to this prosodic facilitation, a general preference to interpret adjectives contrastively was found in Experiment 1: Along with the contrast pair, a noncontrastive referent was displayed (red vase) and listeners looked more often at the contrastive referent than at the noncontrastive referent even when the adjective was not focused. Experiment 2 differed from Experiment 1 in that the first member of the contrast pair (purple scissors) was introduced with a contrastive accent, thereby strengthening the salience of the contrast. In Experiment 2, listeners no longer preferred a contrastive interpretation of adjectives when the accent in a subsequent instruction was not contrastive. In sum, the results support both an early role for prosody in reference determination and an interpretation of contrastive focus that is dependent on preceding prosodic context.
  • Weber, A., & Cutler, A. (2006). First-language phonotactics in second-language listening. Journal of the Acoustical Society of America, 119(1), 597-607. doi:10.1121/1.2141003.

    Abstract

    Highly proficient German users of English as a second language, and native speakers of American English, listened to nonsense sequences and responded whenever they detected an embedded English word. The responses of both groups were equivalently facilitated by preceding context that both by English and by German phonotactic constraints forced a boundary at word onset (e.g., lecture was easier to detect in moinlecture than in gorklecture, and wish in yarlwish than in plookwish. The American L1 speakers’ responses were strongly facilitated, and the German listeners’ responses almost as strongly facilitated, by contexts that forced a boundary in English but not in German thrarshlecture, glarshwish. The German listeners’ responses were significantly facilitated also by contexts that forced a boundary in German but not in English )moycelecture, loitwish, while L1 listeners were sensitive to acoustic boundary cues in these materials but not to the phonotactic sequences. The pattern of results suggests that proficient L2 listeners can acquire the phonotactic probabilities of an L2 and use them to good effect in segmenting continuous speech, but at the same time they may not be able to prevent interference from L1 constraints in their L2 listening.
  • Weber, A., Grice, M., & Crocker, M. W. (2006). The role of prosody in the interpretation of structural ambiguities: A study of anticipatory eye movements. Cognition, 99, B63-B72. doi:10.1016/j.cognition.2005.07.001.

    Abstract

    An eye-tracking experiment examined whether prosodic cues can affect the interpretation of grammatical functions in the absence of clear morphological information. German listeners were presented with scenes depicting three potential referents while hearing temporarily ambiguous SVO and OVS sentences. While case marking on the first noun phrase (NP) was ambiguous, clear case marking on the second NP disambiguated sentences towards SVO or OVS. Listeners interpreted caseambiguous NP1s more often as Subject, and thus expected an Object as upcoming argument, only when sentence beginnings carried an SVO-type intonation. This was revealed by more anticipatory eye movements to suitable Patients (Objects) than Agents (Subjects) in the visual scenes. No such preference was found when sentence beginnings had a clearly OVS-type intonation. Prosodic cues were integrated rapidly enough to affect listeners’ interpretation of grammatical function before disambiguating case information was available. We conclude that in addition to manipulating attachment ambiguities, prosody can influence the interpretation of constituent order ambiguities.
  • Wegener, C. (2006). Savosavo body part terminology. Language Sciences, 28(2-3), 344-359. doi:10.1016/j.langsci.2005.11.005.

    Abstract

    This paper provides a description of body part terminology used in Savosavo, a Papuan language of the Solomon Islands. The first part of the paper lists the known terms and discusses their meanings. This is followed by an analysis of their structural properties. Finally, the paper discusses partonomic relations in Savosavo and argues that it is difficult to structure the body part terminology hierarchically, because there is no linguistic evidence for part–whole relations between body parts.
  • Wegener, C. (2005). Major word classes in Savosavo. Grazer Linguistische Studien, 64, 29-52.
  • Weisfelt, M., Hoogman, M., van de Beek, D., de Gans, J., Dreschler, W. A., & Schmand, B. A. (2006). Dexamethasone and long-term outcome in adults with bacterial meningitis. Annals of Neurology, 60, 456-468. doi:10.1002/ana.20944.

    Abstract

    This follow-up study of the European Dexamethasone Study was designed to examine the potential harmful effect of adjunctive dexamethasone treatment on long-term neuropsychological outcome in adults with bacterial meningitis. METHODS: Neurological, audiological, and neuropsychological examinations were performed in adults who survived pneumococcal or meningococcal meningitis. RESULTS: Eighty-seven of 99 (88%) eligible patients were included in the follow-up study; 46 (53%) were treated with dexamethasone and 41 (47%) with placebo. Median time between meningitis and testing was 99 months. Neuropsychological evaluation showed no significant differences between patients treated with dexamethasone and placebo. The proportions of patients with persisting neurological sequelae or hearing loss were similar in the dexamethasone and placebo groups. The overall rate of cognitive dysfunction did not differ significantly between patients and control subjects; however, patients after pneumococcal meningitis had a higher rate of cognitive dysfunction (21 vs 6%; p = 0.05) and experienced more impairment of everyday functioning due to physical problems (p = 0.05) than those after meningococcal meningitis. INTERPRETATION: Treatment with adjunctive dexamethasone is not associated with an increased risk for long-term cognitive impairment. Adults who survive pneumococcal meningitis are at significant risk for long-term neuropsychological abnormalities.
  • Weisfelt, M., van de Beek, D., Hoogman, M., Hardeman, C., de Gans, J., & Schmand, B. (2006). Cognitive outcome in adults with moderate disability after pneumococcal meningitis. Journal of Infection, 52, 433-439. doi:10.1016/j.jinf.2005.08.014.

    Abstract

    Objectives To assess cognitive outcome and quality of life in patients with moderate disability after bacterial meningitis as compared to patients with good recovery. Methods Neuropsychological evaluation was performed in 40 adults after pneumococcal meningitis; 20 patients with moderate disability at discharge on the glasgow outcome scale (GOS score 4) and 20 with good recovery (GOS score 5). Results Patients with GOS score 4 had similar test results as compared to patients with GOS score 5 for the neuropsychological domains ‘intelligence’, ‘memory’ and ‘attention and executive functioning’. Patients with GOS score 4 showed less cognitive slowness than patients with GOS score 5. In a linear regression analysis cognitive speed was related to current intelligence, years of education and time since meningitis. Overall performance on the speed composite score correlated significantly with time since meningitis (−0.62; P<0.001). Therefore, difference between both groups may have been related to a longer time between meningitis and testing for GOS four patients (29 vs. 12 months; P<0.001). Conclusions Patients with moderate disability after bacterial meningitis are not at higher risk for neuropsychological abnormalities than patients with good recovery. In addition, cognitive slowness after bacterial meningitis may be reversible in time.
  • White, S. A., Fisher, S. E., Geschwind, D. H., Scharff, C., & Holy, T. E. (2006). Singing mice, songbirds, and more: Models for FOXP2 function and dysfunction in human speech and language. The Journal of Neuroscience, 26(41), 10376-10379. doi:10.1523/JNEUROSCI.3379-06.2006.

    Abstract

    In 2001, a point mutation in the forkhead box P2 (FOXP2) coding sequence was identified as the basis of an inherited speech and language disorder suffered by members of the family known as "KE." This mini-symposium review focuses on recent findings and research-in-progress, primarily from five laboratories. Each aims at capitalizing on the FOXP2 discovery to build a neurobiological bridge between molecule and phenotype. Below, we describe genetic through behavioral techniques used currently to investigate FoxP2 in birds, rodents, and humans for discovery of the neural bases of vocal learning and language.
  • Widlok, T. (2006). Two ways of looking at a Mangetti grove. In A. Takada (Ed.), Proceedings of the workshop: Landscape and society (pp. 11-16). Kyoto: 21st Century Center of Excellence Program.
  • Wittenburg, P., Skiba, R., & Trilsbeek, P. (2005). The language archive at the MPI: Contents, tools, and technologies. Language Archives Newsletter, 5, 7-9.
  • Wittenburg, P., Brugman, H., Russel, A., Klassmann, A., & Sloetjes, H. (2006). ELAN: a professional framework for multimodality research. In Proceedings of the 5th International Conference on Language Resources and Evaluation (LREC 2006) (pp. 1556-1559).

    Abstract

    Utilization of computer tools in linguistic research has gained importance with the maturation of media frameworks for the handling of digital audio and video. The increased use of these tools in gesture, sign language and multimodal interaction studies has led to stronger requirements on the flexibility, the efficiency and in particular the time accuracy of annotation tools. This paper describes the efforts made to make ELAN a tool that meets these requirements, with special attention to the developments in the area of time accuracy. In subsequent sections an overview will be given of other enhancements in the latest versions of ELAN, that make it a useful tool in multimodality research.
  • Wittenburg, P., Broeder, D., Klein, W., Levinson, S. C., & Romary, L. (2006). Foundations of modern language resource archives. In Proceedings of the 5th International Conference on Language Resources and Evaluation (LREC 2006) (pp. 625-628).

    Abstract

    A number of serious reasons will convince an increasing amount of researchers to store their relevant material in centers which we will call "language resource archives". They combine the duty of taking care of long-term preservation as well as the task to give access to their material to different user groups. Access here is meant in the sense that an active interaction with the data will be made possible to support the integration of new data, new versions or commentaries of all sort. Modern Language Resource Archives will have to adhere to a number of basic principles to fulfill all requirements and they will have to be involved in federations to create joint language resource domains making it even more simple for the researchers to access the data. This paper makes an attempt to formulate the essential pillars language resource archives have to adhere to.
  • Wohlgemuth, J., & Dirksmeyer, T. (Eds.). (2005). Bedrohte Vielfalt. Aspekte des Sprach(en)tods – Aspects of language death. Berlin: Weißensee.

    Abstract

    About 5,000 languages are spoken in the world today. More than half of them have less than 10,000 speakers, a quarter of them even fewer than 1,000. The majority of these “small” languages will not live to see the end of this century; some estimates predict that no more than a dozen languages will still be spoken by the turn of the next millennium. This collection of papers approaches the subject of language extinction through five major topics: general aspects of language death, case studies, endangered subsystems, language protection and revitalization, language ecology. In 24 articles, the authors address the causes, manifestations, and consequences of language endangerment and extinction as well as the linguistic and social changes associated with it, drawing examples from a large number of languages.
  • Wurm, L. H., Ernestus, M., Schreuder, R., & Baayen, R. H. (2006). Dynamics of the auditory comprehension of prefixed words: Cohort entropies and conditional root uniqueness points. The Mental Lexicon, 1(1), 125-146.

    Abstract

    This auditory lexical decision study shows that cohort entropies, conditional root uniqueness points, and morphological family size all contribute to the dynamics of the auditory comprehension of prefixed words. Three entropy measures calculated for different positions in the stem of Dutch prefixed words revealed facilitation for higher entropies, except at the point of disambiguation, where we observed inhibition. Morphological family size was also facilitatory, but only for prefixed words in which the conditional root uniqueness point coincided with the conventional uniqueness point. For words with early conditional disambiguation, in contrast, only the morphologically related words that were onset-aligned with the target word facilitated lexical decision.
  • Zeshan, U. (2006). Sign language of the world. In K. Brown (Ed.), Encyclopedia of language and linguistics (vol. 11) (pp. 358-365). Amsterdam: Elsevier.

    Abstract

    Although sign language-using communities exist in all areas of the world, few sign languages have been documented in detail. Sign languages occur in a variety of sociocultural contexts, ranging from sign languages used in closed village communities to officially recognized national sign languages. They may be grouped into language families on historical grounds or may participate in various language contact situations. Systematic cross-linguistic comparison reveals both significant structural similarities and important typological differences between sign languages. Focusing on information from non-Western countries, this article provides an overview of the sign languages of the world.
  • Zeshan, U. (2005). Sign languages. In M. Haspelmath, M. S. Dryer, D. Gil, & B. Comrie (Eds.), The world atlas of language structures (pp. 558-559). Oxford: Oxford University Press.
  • Zeshan, U. (2005). Question particles in sign languages. In M. Haspelmath, M. S. Dryer, D. Gil, & B. Comrie (Eds.), The world atlas of language structures (pp. 564-567). Oxford: Oxford University Press.
  • Zeshan, U., & Panda, S. (2005). Professional course in Indian sign language. Mumbai: Ali Yavar Jung National Institute for the Hearing Handicapped.
  • Zeshan, U., Pfau, R., & Aboh, E. (2005). When a wh-word is not a wh-word: the case of Indian sign language. In B. Tanmoy (Ed.), Yearbook of South Asian languages and linguistics 2005 (pp. 11-43). Berlin: Mouton de Gruyter.
  • Zeshan, U. (Ed.). (2006). Interrogative and negative constructions in sign languages. Nijmegen: Ishara Press.
  • Zeshan, U., Vasishta, M. N., & Sethna, M. (2005). Implementation of Indian Sign Language in educational settings. Asia Pacific Disability Rehabilitation Journal, 16(1), 16-40.

    Abstract

    This article reports on several sub-projects of research and development related to the use of Indian Sign Language in educational settings. In many countries around the world, sign languages are now recognised as the legitimate, full-fledged languages of the deaf communities that use them. In India, the development of sign language resources and their application in educational contexts, is still in its initial stages. The work reported on here, is the first principled and comprehensive effort of establishing educational programmes in Indian Sign Language at a national level. Programmes are of several types: a) Indian Sign Language instruction for hearing people; b) sign language teacher training programmes for deaf people; and c) educational materials for use in schools for the Deaf. The conceptual approach used in the programmes for deaf students is known as bilingual education, which emphasises the acquisition of a first language, Indian Sign Language, alongside the acquisition of spoken languages, primarily in their written form.
  • Zeshan, U. (2005). Irregular negatives in sign languages. In M. Haspelmath, M. S. Dryer, D. Gil, & B. Comrie (Eds.), The world atlas of language structures (pp. 560-563). Oxford: Oxford University Press.
  • Zhang, J., Bao, S., Furumai, R., Kucera, K. S., Ali, A., Dean, N. M., & Wang, X.-F. (2005). Protein phosphatase 5 is required for ATR-mediated checkpoint activation. Molecular and Cellular Biology, 25, 9910-9919. doi:10.1128/​MCB.25.22.9910-9919.2005.

    Abstract

    In response to DNA damage or replication stress, the protein kinase ATR is activated and subsequently transduces genotoxic signals to cell cycle control and DNA repair machinery through phosphorylation of a number of downstream substrates. Very little is known about the molecular mechanism by which ATR is activated in response to genotoxic insults. In this report, we demonstrate that protein phosphatase 5 (PP5) is required for the ATR-mediated checkpoint activation. PP5 forms a complex with ATR in a genotoxic stress-inducible manner. Interference with the expression or the activity of PP5 leads to impairment of the ATR-mediated phosphorylation of hRad17 and Chk1 after UV or hydroxyurea treatment. Similar results are obtained in ATM-deficient cells, suggesting that the observed defect in checkpoint signaling is the consequence of impaired functional interaction between ATR and PP5. In cells exposed to UV irradiation, PP5 is required to elicit an appropriate S-phase checkpoint response. In addition, loss of PP5 leads to premature mitosis after hydroxyurea treatment. Interestingly, reduced PP5 activity exerts differential effects on the formation of intranuclear foci by ATR and replication protein A, implicating a functional role for PP5 in a specific stage of the checkpoint signaling pathway. Taken together, our results suggest that PP5 plays a critical role in the ATR-mediated checkpoint activation.
  • Zwitserlood, I., & Van Gijn, I. (2006). Agreement phenomena in Sign Language of the Netherlands. In P. Ackema (Ed.), Arguments and Agreement (pp. 195-229). Oxford: Oxford University Press.

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