Publications

Displaying 401 - 500 of 593
  • Perniss, P. M., Ozyurek, A., & Morgan, G. (2015). The Influence of the visual modality on language structure and conventionalization: Insights from sign language and gesture. Topics in Cognitive Science, 7(1), 2-11. doi:10.1111/tops.12127.

    Abstract

    For humans, the ability to communicate and use language is instantiated not only in the vocal modality but also in the visual modality. The main examples of this are sign languages and (co-speech) gestures. Sign languages, the natural languages of Deaf communities, use systematic and conventionalized movements of the hands, face, and body for linguistic expression. Co-speech gestures, though non-linguistic, are produced in tight semantic and temporal integration with speech and constitute an integral part of language together with speech. The articles in this issue explore and document how gestures and sign languages are similar or different and how communicative expression in the visual modality can change from being gestural to grammatical in nature through processes of conventionalization. As such, this issue contributes to our understanding of how the visual modality shapes language and the emergence of linguistic structure in newly developing systems. Studying the relationship between signs and gestures provides a new window onto the human ability to recruit multiple levels of representation (e.g., categorical, gradient, iconic, abstract) in the service of using or creating conventionalized communicative systems.
  • Perniss, P. M., Ozyurek, A., & Morgan, G. (Eds.). (2015). The influence of the visual modality on language structure and conventionalization: Insights from sign language and gesture [Special Issue]. Topics in Cognitive Science, 7(1). doi:10.1111/tops.12113.
  • Perniss, P. M., & Ozyurek, A. (2015). Visible cohesion: A comparison of reference tracking in sign, speech, and co-speech gesture. Topics in Cognitive Science, 7(1), 36-60. doi:10.1111/tops.12122.

    Abstract

    Establishing and maintaining reference is a crucial part of discourse. In spoken languages, differential linguistic devices mark referents occurring in different referential contexts, that is, introduction, maintenance, and re-introduction contexts. Speakers using gestures as well as users of sign languages have also been shown to mark referents differentially depending on the referential context. This article investigates the modality-specific contribution of the visual modality in marking referential context by providing a direct comparison between sign language (German Sign Language; DGS) and co-speech gesture with speech (German) in elicited narratives. Across all forms of expression, we find that referents in subject position are referred to with more marking material in re-introduction contexts compared to maintenance contexts. Furthermore, we find that spatial modification is used as a modality-specific strategy in both DGS and German co-speech gesture, and that the configuration of referent locations in sign space and gesture space corresponds in an iconic and consistent way to the locations of referents in the narrated event. However, we find that spatial modification is used in different ways for marking re-introduction and maintenance contexts in DGS and German co-speech gesture. The findings are discussed in relation to the unique contribution of the visual modality to reference tracking in discourse when it is used in a unimodal system with full linguistic structure (i.e., as in sign) versus in a bimodal system that is a composite of speech and gesture
  • Perry, L. K., Perlman, M., & Lupyan, G. (2015). Iconicity in English and Spanish and Its Relation to Lexical Category and Age of Acquisition. PLoS One, 10(9): e0137147. doi:10.1371/journal.pone.0137147.

    Abstract

    Signed languages exhibit iconicity (resemblance between form and meaning) across their vocabulary, and many non-Indo-European spoken languages feature sizable classes of iconic words known as ideophones. In comparison, Indo-European languages like English and Spanish are believed to be arbitrary outside of a small number of onomatopoeic words. In three experiments with English and two with Spanish, we asked native speakers to rate the iconicity of ~600 words from the English and Spanish MacArthur-Bates Communicative Developmental Inventories. We found that iconicity in the words of both languages varied in a theoretically meaningful way with lexical category. In both languages, adjectives were rated as more iconic than nouns and function words, and corresponding to typological differences between English and Spanish in verb semantics, English verbs were rated as relatively iconic compared to Spanish verbs. We also found that both languages exhibited a negative relationship between iconicity ratings and age of acquisition. Words learned earlier tended to be more iconic, suggesting that iconicity in early vocabulary may aid word learning. Altogether these findings show that iconicity is a graded quality that pervades vocabularies of even the most “arbitrary” spoken languages. The findings provide compelling evidence that iconicity is an important property of all languages, signed and spoken, including Indo-European languages.

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  • Perry, L., Perlman, M., & Lupyan, G. (2015). Iconicity in English vocabulary and its relation to toddlers’ word learning. In D. C. Noelle, R. Dale, A. S. Warlaumont, J. Yoshimi, T. Matlock, C. D. Jennings, & P. R. Maglio (Eds.), Proceedings of the 37th Annual Cognitive Science Society Meeting (CogSci 2015) (pp. 315-320). Austin, TX: Cognitive Science Society.

    Abstract

    Scholars have documented substantial classes of iconic vocabulary in many non-Indo-European languages. In comparison, Indo-European languages like English are assumed to be arbitrary outside of a small number of onomatopoeic words. In three experiments, we asked English speakers to rate the iconicity of words from the MacArthur-Bates Communicative Developmental Inventory. We found English—contrary to common belief—exhibits iconicity that correlates with age of acquisition and differs across lexical classes. Words judged as most iconic are learned earlier, in accord with findings that iconic words are easier to learn. We also find that adjectives and verbs are more iconic than nouns, supporting the idea that iconicity provides an extra cue in learning more difficult abstract meanings. Our results provide new evidence for a relationship between iconicity and word learning and suggest iconicity may be a more pervasive property of spoken languages than previously thought.
  • Peter, M., Chang, F., Pine, J. M., Blything, R., & Rowland, C. F. (2015). When and how do children develop knowledge of verb argument structure? Evidence from verb bias effects in a structural priming task. Journal of Memory and Language, 81, 1-15. doi:10.1016/j.jml.2014.12.002.

    Abstract

    In this study, we investigated when children develop adult-like verb–structure links, and examined two mechanisms, associative and error-based learning, that might explain how these verb–structure links are learned. Using structural priming, we tested children’s and adults’ ability to use verb–structure links in production in three ways; by manipulating: (1) verb overlap between prime and target, (2) target verb bias, and (3) prime verb bias. Children (aged 3–4 and 5–6 years old) and adults heard and produced double object dative (DOD) and prepositional object dative (PD) primes with DOD- and PD-biased verbs. Although all age groups showed significant evidence of structural priming, only adults showed increased priming when there was verb overlap between prime and target sentences (the lexical boost). The effect of target verb bias also grew with development. Critically, however, the effect of prime verb bias on the size of the priming effect (prime surprisal) was larger in children than in adults, suggesting that verb–structure links are present at the earliest age tested. Taken as a whole, the results suggest that children begin to acquire knowledge about verb-argument structure preferences early in acquisition, but that the ability to use adult-like verb bias in production gradually improves over development. We also argue that this pattern of results is best explained by a learning model that uses an error-based learning mechanism.
  • Petersson, K. M., Reis, A., Askelöf, S., Castro-Caldas, A., & Ingvar, M. (2000). Language processing modulated by literacy: A network analysis of verbal repetition in literate and illiterate subjects. Journal of Cognitive Neuroscience, 12(3), 364-382. doi:10.1162/089892900562147.
  • Petrovic, P., Petersson, K. M., Ghatan, P., Stone-Elander, S., & Ingvar, M. (2000). Pain related cerebral activation is altered by a distracting cognitive task. Pain, 85, 19-30.

    Abstract

    It has previously been suggested that the activity in sensory regions of the brain can be modulated by attentional mechanisms during parallel cognitive processing. To investigate whether such attention-related modulations are present in the processing of pain, the regional cerebral blood ¯ow was measured using [15O]butanol and positron emission tomography in conditions involving both pain and parallel cognitive demands. The painful stimulus consisted of the standard cold pressor test and the cognitive task was a computerised perceptual maze test. The activations during the maze test reproduced findings in previous studies of the same cognitive task. The cold pressor test evoked signi®cant activity in the contralateral S1, and bilaterally in the somatosensory association areas (including S2), the ACC and the mid-insula. The activity in the somatosensory association areas and periaqueductal gray/midbrain were significantly modified, i.e. relatively decreased, when the subjects also were performing the maze task. The altered activity was accompanied with significantly lower ratings of pain during the cognitive task. In contrast, lateral orbitofrontal regions showed a relative increase of activity during pain combined with the maze task as compared to only pain, which suggests the possibility of the involvement of frontal cortex in modulation of regions processing pain
  • Pettigrew, K. A., Fajutrao Valles, S. F., Moll, K., Northstone, K., Ring, S., Pennell, C., Wang, C., Leavett, R., Hayiou-Thomas, M. E., Thompson, P., Simpson, N. H., Fisher, S. E., The SLI Consortium, Whitehouse, A. J., Snowling, M. J., Newbury, D. F., & Paracchini, S. (2015). Lack of replication for the myosin-18B association with mathematical ability in independent cohorts. Genes, Brain and Behavior, 14(4), 369-376. doi:10.1111/gbb.12213.

    Abstract

    Twin studies indicate that dyscalculia (or mathematical disability) is caused partly by a genetic component, which is yet to be understood at the molecular level. Recently, a coding variant (rs133885) in the myosin-18B gene was shown to be associated with mathematical abilities with a specific effect among children with dyslexia. This association represents one of the most significant genetic associations reported to date for mathematical abilities and the only one reaching genome-wide statistical significance.

    We conducted a replication study in different cohorts to assess the effect of rs133885 maths-related measures. The study was conducted primarily using the Avon Longitudinal Study of Parents and Children (ALSPAC), (N = 3819). We tested additional cohorts including the York Cohort, the Specific Language Impairment Consortium (SLIC) cohort and the Raine Cohort, and stratified them for a definition of dyslexia whenever possible.

    We did not observe any associations between rs133885 in myosin-18B and mathematical abilities among individuals with dyslexia or in the general population. Our results suggest that the myosin-18B variant is unlikely to be a main factor contributing to mathematical abilities.
  • Piai, V., Roelofs, A., Rommers, J., & Maris, E. (2015). Beta oscillations reflect memory and motor aspects of spoken word production. Human brain mapping, 36(7), 2767-2780. doi:10.1002/hbm.22806.

    Abstract

    Two major components form the basis of spoken word production: the access of conceptual and lexical/phonological information in long-term memory, and motor preparation and execution of an articulatory program. Whereas the motor aspects of word production have been well characterized as reflected in alpha-beta desynchronization, the memory aspects have remained poorly understood. Using magnetoencephalography, we investigated the neurophysiological signature of not only motor but also memory aspects of spoken-word production. Participants named or judged pictures after reading sentences. To probe the involvement of the memory component, we manipulated sentence context. Sentence contexts were either constraining or nonconstraining toward the final word, presented as a picture. In the judgment task, participants indicated with a left-hand button press whether the picture was expected given the sentence. In the naming task, they named the picture. Naming and judgment were faster with constraining than nonconstraining contexts. Alpha-beta desynchronization was found for constraining relative to nonconstraining contexts pre-picture presentation. For the judgment task, beta desynchronization was observed in left posterior brain areas associated with conceptual processing and in right motor cortex. For the naming task, in addition to the same left posterior brain areas, beta desynchronization was found in left anterior and posterior temporal cortex (associated with memory aspects), left inferior frontal cortex, and bilateral ventral premotor cortex (associated with motor aspects). These results suggest that memory and motor components of spoken word production are reflected in overlapping brain oscillations in the beta band.

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  • Piai, V., Roelofs, A., & Roete, I. (2015). Semantic interference in picture naming during dual-task performance does not vary with reading ability. Quarterly Journal of Experimental Psychology, 68(9), 1758-68. doi:10.1080/17470218.2014.985689.

    Abstract

    Previous dual-task studies examining the locus of semantic interference of distractor words in picture naming have obtained diverging results. In these studies, participants manually responded to tones and named pictures while ignoring distractor words (picture-word interference, PWI) with varying stimulus onset asynchrony (SOA) between tone and PWI stimulus. Whereas some studies observed no semantic interference at short SOAs, other studies observed effects of similar magnitude at short and long SOAs. The absence of semantic interference in some studies may perhaps be due to better reading skill of participants in these than in the other studies. According to such a reading-ability account, participants' reading skill should be predictive of the magnitude of their interference effect at short SOAs. To test this account, we conducted a dual-task study with tone discrimination and PWI tasks and measured participants' reading ability. The semantic interference effect was of similar magnitude at both short and long SOAs. Participants' reading ability was predictive of their naming speed but not of their semantic interference effect, contrary to the reading ability account. We conclude that the magnitude of semantic interference in picture naming during dual-task performance does not depend on reading skill.
  • Plomp, G., Hervais-Adelman, A., Astolfi, L., & Michel, C. M. (2015). Early recurrence and ongoing parietal driving during elementary visual processing. Scientific Reports, 5: 18733. doi:10.1038/srep18733.

    Abstract

    Visual stimuli quickly activate a broad network of brain areas that often show reciprocal structural connections between them. Activity at short latencies (<100 ms) is thought to represent a feed-forward activation of widespread cortical areas, but fast activation combined with reciprocal connectivity between areas in principle allows for two-way, recurrent interactions to occur at short latencies after stimulus onset. Here we combined EEG source-imaging and Granger-causal modeling with high temporal resolution to investigate whether recurrent and top-down interactions between visual and attentional brain areas can be identified and distinguished at short latencies in humans. We investigated the directed interactions between widespread occipital, parietal and frontal areas that we localized within participants using fMRI. The connectivity results showed two-way interactions between area MT and V1 already at short latencies. In addition, the results suggested a large role for lateral parietal cortex in coordinating visual activity that may be understood as an ongoing top-down allocation of attentional resources. Our results support the notion that indirect pathways allow early, evoked driving from MT to V1 to highlight spatial locations of motion transients, while influence from parietal areas is continuously exerted around stimulus onset, presumably reflecting task-related attentional processes.
  • Poletiek, F. H. (2000). De beoordelaar dobbelt niet - denkt hij. Nederlands Tijdschrift voor de Psychologie en haar Grensgebieden, 55(5), 246-249.
  • Poletiek, F. H., & Berndsen, M. (2000). Hypothesis testing as risk behaviour with regard to beliefs. Journal of Behavioral Decision Making, 13(1), 107-123. doi:10.1002/(SICI)1099-0771(200001/03)13:1<107:AID-BDM349>3.0.CO;2-P.

    Abstract

    In this paper hypothesis‐testing behaviour is compared to risk‐taking behaviour. It is proposed that choosing a suitable test for a given hypothesis requires making a preposterior analysis of two aspects of such a test: the probability of obtaining supporting evidence and the evidential value of this evidence. This consideration resembles the one a gambler makes when choosing among bets, each having a probability of winning and an amount to be won. A confirmatory testing strategy can be defined within this framework as a strategy directed at maximizing either the probability or the value of a confirming outcome. Previous theories on testing behaviour have focused on the human tendency to maximize the probability of a confirming outcome. In this paper, two experiments are presented in which participants tend to maximize the confirming value of the test outcome. Motivational factors enhance this tendency dependent on the context of the testing situation. Both this result and the framework are discussed in relation to other studies in the field of testing behaviour.
  • St Pourcain, B., Haworth, C. M. A., Davis, O. S. P., Wang, K., Timpson, N. J., Evans, D. M., Kemp, J. P., Ronald, A., Price, T., Meaburn, E., Ring, S. M., Golding, J., Hakonarson, H., Plomin, R., & Davey Smith, G. (2015). Heritability and genome-wide analyses of problematic peer relationships during childhood and adolescence. Human Genetics, 134(6), 539-551. doi:10.1007/s00439-014-1514-5.

    Abstract

    Peer behaviour plays an important role in the development of social adjustment, though little is known about its genetic architecture. We conducted a twin study combined with a genome-wide complex trait analysis (GCTA) and a genome-wide screen to characterise genetic influences on problematic peer behaviour during childhood and adolescence. This included a series of longitudinal measures (parent-reported Strengths-and-Difficulties Questionnaire) from a UK population-based birth-cohort (ALSPAC, 4–17 years), and a UK twin sample (TEDS, 4–11 years). Longitudinal twin analysis (TEDS; N ≤ 7,366 twin pairs) showed that peer problems in childhood are heritable (4–11 years, 0.60 < twin-h 2 ≤ 0.71) but genetically heterogeneous from age to age (4–11 years, twin-r g = 0.30). GCTA (ALSPAC: N ≤ 5,608, TEDS: N ≤ 2,691) provided furthermore little support for the contribution of measured common genetic variants during childhood (4–12 years, 0.02 < GCTA-h 2(Meta) ≤ 0.11) though these influences become stronger in adolescence (13–17 years, 0.14 < GCTA-h 2(ALSPAC) ≤ 0.27). A subsequent cross-sectional genome-wide screen in ALSPAC (N ≤ 6,000) focussed on peer problems with the highest GCTA-heritability (10, 13 and 17 years, 0.0002 < GCTA-P ≤ 0.03). Single variant signals (P ≤ 10−5) were followed up in TEDS (N ≤ 2835, 9 and 11 years) and, in search for autism quantitative trait loci, explored within two autism samples (AGRE: N Pedigrees = 793; ACC: N Cases = 1,453/N Controls = 7,070). There was, however, no evidence for association in TEDS and little evidence for an overlap with the autistic continuum. In summary, our findings suggest that problematic peer relationships are heritable but genetically complex and heterogeneous from age to age, with an increase in common measurable genetic variation during adolescence.
  • Pouw, W., & Looren de Jong, H. (2015). Rethinking situated and embodied social psychology. Theory and Psychology, 25(4), 411-433. doi:10.1177/0959354315585661.

    Abstract

    This article aims to explore the scope of a Situated and Embodied Social Psychology (ESP). At first sight, social cognition seems embodied cognition par excellence. Social cognition is first and foremost a supra-individual, interactive, and dynamic process (Semin & Smith, 2013). Radical approaches in Situated/Embodied Cognitive Science (Enactivism) claim that social cognition consists in an emergent pattern of interaction between a continuously coupled organism and the (social) environment; it rejects representationalist accounts of cognition (Hutto & Myin, 2013). However, mainstream ESP (Barsalou, 1999, 2008) still takes a rather representation-friendly approach that construes embodiment in terms of specific bodily formatted representations used (activated) in social cognition. We argue that mainstream ESP suffers from vestiges of theoretical solipsism, which may be resolved by going beyond internalistic spirit that haunts mainstream ESP today.
  • Ravignani, A., & Sonnweber, R. (2015). Measuring teaching through hormones and time series analysis: Towards a comparative framework. Behavioral and Brain Sciences, 38, 40-41. doi:10.1017/S0140525X14000806.

    Abstract


    In response to: How to learn about teaching: An evolutionary framework for the study of teaching behavior in humans and other animals

    Arguments about the nature of teaching have depended principally on naturalistic observation and some experimental work. Additional measurement tools, and physiological variations and manipulations can provide insights on the intrinsic structure and state of the participants better than verbal descriptions alone: namely, time-series analysis, and examination of the role of hormones and neuromodulators on the behaviors of teacher and pupil.
  • Ravignani, A., Westphal-Fitch, G., Aust, U., Schlumpp, M. M., & Fitch, W. T. (2015). More than one way to see it: Individual heuristics in avian visual computation. Cognition, 143, 13-24. doi:10.1016/j.cognition.2015.05.021.

    Abstract

    Comparative pattern learning experiments investigate how different species find regularities in sensory input, providing insights into cognitive processing in humans and other animals. Past research has focused either on one species’ ability to process pattern classes or different species’ performance in recognizing the same pattern, with little attention to individual and species-specific heuristics and decision strategies. We trained and tested two bird species, pigeons (Columba livia) and kea (Nestor notabilis, a parrot species), on visual patterns using touch-screen technology. Patterns were composed of several abstract elements and had varying degrees of structural complexity. We developed a model selection paradigm, based on regular expressions, that allowed us to reconstruct the specific decision strategies and cognitive heuristics adopted by a given individual in our task. Individual birds showed considerable differences in the number, type and heterogeneity of heuristic strategies adopted. Birds’ choices also exhibited consistent species-level differences. Kea adopted effective heuristic strategies, based on matching learned bigrams to stimulus edges. Individual pigeons, in contrast, adopted an idiosyncratic mix of strategies that included local transition probabilities and global string similarity. Although performance was above chance and quite high for kea, no individual of either species provided clear evidence of learning exactly the rule used to generate the training stimuli. Our results show that similar behavioral outcomes can be achieved using dramatically different strategies and highlight the dangers of combining multiple individuals in a group analysis. These findings, and our general approach, have implications for the design of future pattern learning experiments, and the interpretation of comparative cognition research more generally.

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  • Ravignani, A. (2015). Evolving perceptual biases for antisynchrony: A form of temporal coordination beyond synchrony. Frontiers in Neuroscience, 9: 339. doi:10.3389/fnins.2015.00339.
  • Rivero, O., Selten, M. M., Sich, S., Popp, S., Bacmeister, L., Amendola, E., Negwer, M., Schubert, D., Proft, F., Kiser, D., Schmitt, A. G., Gross, C., Kolk, S. M., Strekalova, T., van den Hove, D., Resink, T. J., Nadif Kasri, N., & Lesch, K. P. (2015). Cadherin-13, a risk gene for ADHD and comorbid disorders, impacts GABAergic function in hippocampus and cognition. Translational Psychiatry, 5: e655. doi:10.1038/tp.2015.152.

    Abstract

    Cadherin-13 (CDH13), a unique glycosylphosphatidylinositol-anchored member of the cadherin family of cell adhesion molecules, has been identified as a risk gene for attention-deficit/hyperactivity disorder (ADHD) and various comorbid neurodevelopmental and psychiatric conditions, including depression, substance abuse, autism spectrum disorder and violent behavior, while the mechanism whereby CDH13 dysfunction influences pathogenesis of neuropsychiatric disorders remains elusive. Here we explored the potential role of CDH13 in the inhibitory modulation of brain activity by investigating synaptic function of GABAergic interneurons. Cellular and subcellular distribution of CDH13 was analyzed in the murine hippocampus and a mouse model with a targeted inactivation of Cdh13 was generated to evaluate how CDH13 modulates synaptic activity of hippocampal interneurons and behavioral domains related to psychopathologic (endo)phenotypes. We show that CDH13 expression in the cornu ammonis (CA) region of the hippocampus is confined to distinct classes of interneurons. Specifically, CDH13 is expressed by numerous parvalbumin and somatostatin-expressing interneurons located in the stratum oriens, where it localizes to both the soma and the presynaptic compartment. Cdh13−/− mice show an increase in basal inhibitory, but not excitatory, synaptic transmission in CA1 pyramidal neurons. Associated with these alterations in hippocampal function, Cdh13−/− mice display deficits in learning and memory. Taken together, our results indicate that CDH13 is a negative regulator of inhibitory synapses in the hippocampus, and provide insights into how CDH13 dysfunction may contribute to the excitatory/inhibitory imbalance observed in neurodevelopmental disorders, such as ADHD and autism.
  • Roberts, S. G. (2015). Commentary: Large-scale psychological differences within China explained by rice vs. wheat agriculture. Frontiers in Psychology, 6: 950. doi:10.3389/fpsyg.2015.00950.

    Abstract

    Talhelm et al. (2014) test the hypothesis that activities which require more intensive collaboration foster more collectivist cultures. They demonstrate that a measure of collectivism correlates with the proportion of cultivated land devoted to rice paddies, which require more work to grow and maintain than other grains. The data come from individual measures of provinces in China. While the data is analyzed carefully, one aspect that is not directly controlled for is the historical relations between these provinces. Spurious correlations can occur between cultural traits that are inherited from ancestor cultures or borrowed through contact, what is commonly known as Galton's problem (Roberts and Winters, 2013). Effectively, Talhelm et al. treat the measures of each province as independent samples, while in reality both farming practices (e.g., Renfrew, 1997; Diamond and Bellwood, 2003; Lee and Hasegawa, 2011) and cultural values (e.g., Currie et al., 2010; Bulbulia et al., 2013) can be inherited or borrowed. This means that the data may be composed of non-independent points, inflating the apparent correlation between rice growing and collectivism. The correlation between farming practices and collectivism may be robust, but this cannot be known without an empirical control for the relatedness of the samples. Talhelm et al. do discuss this problem in the supplementary materials of their paper. They acknowledge that a phylogenetic analysis could be used to control for relatedness, but that at the time of publication there were no genetic or linguistic trees of descent which are detailed enough to suit this purpose. In this commentary I would like to make two points. First, since the original publication, researchers have created new linguistic trees that can provide the needed resolution. For example, the Glottolog phylogeny (Hammarström et al., 2015) has at least three levels of classification for the relevant varieties, though this does not have branch lengths (see also “reference” trees produced in List et al., 2014). Another recently published phylogeny uses lexical data to construct a phylogenetic tree for many language varieties within China (List et al., 2014). In this commentary I use these lexical data to estimate cultural contact between different provinces, and test whether these measures explain variation in rice farming pracices. However, the second point is that Talhelm et al. focus on descent (vertical transmission), while it may be relevant to control for both descent and borrowing (horizontal transmission). In this case, all that is needed is some measure of cultural contact between groups, not necessarily a unified tree of descent. I use a second source of linguistic data to calculate simple distances between languages based directly on the lexicon. These distances reflect borrowing as well as descent.
  • Roberts, S. G., Winters, J., & Chen, K. (2015). Future tense and economic decisions: Controlling for cultural evolution. PLoS One, 10(7): e0132145. doi:10.1371/journal.pone.0132145.

    Abstract

    A previous study by Chen demonstrates a correlation between languages that grammatically mark future events and their speakers' propensity to save, even after controlling for numerous economic and demographic factors. The implication is that languages which grammatically distinguish the present and the future may bias their speakers to distinguish them psychologically, leading to less future-oriented decision making. However, Chen's original analysis assumed languages are independent. This neglects the fact that languages are related, causing correlations to appear stronger than is warranted (Galton's problem). In this paper, we test the robustness of Chen's correlations to corrections for the geographic and historical relatedness of languages. While the question seems simple, the answer is complex. In general, the statistical correlation between the two variables is weaker when controlling for relatedness. When applying the strictest tests for relatedness, and when data is not aggregated across individuals, the correlation is not significant. However, the correlation did remain reasonably robust under a number of tests. We argue that any claims of synchronic patterns between cultural variables should be tested for spurious correlations, with the kinds of approaches used in this paper. However, experiments or case-studies would be more fruitful avenues for future research on this specific topic, rather than further large-scale cross-cultural correlational studies.
  • Roberts, S. G., Everett, C., & Blasi, D. (2015). Exploring potential climate effects on the evolution of human sound systems. In H. Little (Ed.), Proceedings of the 18th International Congress of Phonetic Sciences [ICPhS 2015] Satellite Event: The Evolution of Phonetic Capabilities: Causes constraints, consequences (pp. 14-19). Glasgow: ICPHS.

    Abstract

    We suggest that it is now possible to conduct research on a topic which might be called evolutionary geophonetics. The main question is how the climate influences the evolution of language. This involves biological adaptations to the climate that may affect biases in production and perception; cultural evolutionary adaptations of the sounds of a language to climatic conditions; and influences of the climate on language diversity and contact. We discuss these ideas with special reference to a recent hypothesis that lexical tone is not adaptive in dry climates (Everett, Blasi & Roberts, 2015).
  • Roberts, S. G., Torreira, F., & Levinson, S. C. (2015). The effects of processing and sequence organisation on the timing of turn taking: A corpus study. Frontiers in Psychology, 6: 509. doi:10.3389/fpsyg.2015.00509.

    Abstract

    The timing of turn taking in conversation is extremely rapid given the cognitive demands on speakers to comprehend, plan and execute turns in real time. Findings from psycholinguistics predict that the timing of turn taking is influenced by demands on processing, such as word frequency or syntactic complexity. An alternative view comes from the field of conversation analysis, which predicts that the rules of turn-taking and sequence organization may dictate the variation in gap durations (e.g. the functional role of each turn in communication). In this paper, we estimate the role of these two different kinds of factors in determining the speed of turn-taking in conversation. We use the Switchboard corpus of English telephone conversation, already richly annotated for syntactic structure speech act sequences, and segmental alignment. To this we add further information including Floor Transfer Offset (the amount of time between the end of one turn and the beginning of the next), word frequency, concreteness, and surprisal values. We then apply a novel statistical framework ('random forests') to show that these two dimensions are interwoven together with indexical properties of the speakers as explanatory factors determining the speed of response. We conclude that an explanation of the of the timing of turn taking will require insights from both processing and sequence organisation.
  • Rodenas-Cuadrado, P., Chen, X. S., Wiegrebe, L., Firzlaff, U., & Vernes, S. C. (2015). A novel approach identifies the first transcriptome networks in bats: A new genetic model for vocal communication. BMC Genomics, 16: 836. doi:10.1186/s12864-015-2068-1.

    Abstract

    Background Bats are able to employ an astonishingly complex vocal repertoire for navigating their environment and conveying social information. A handful of species also show evidence for vocal learning, an extremely rare ability shared only with humans and few other animals. However, despite their potential for the study of vocal communication, bats remain severely understudied at a molecular level. To address this fundamental gap we performed the first transcriptome profiling and genetic interrogation of molecular networks in the brain of a highly vocal bat species, Phyllostomus discolor. Results Gene network analysis typically needs large sample sizes for correct clustering, this can be prohibitive where samples are limited, such as in this study. To overcome this, we developed a novel bioinformatics methodology for identifying robust co-expression gene networks using few samples (N=6). Using this approach, we identified tissue-specific functional gene networks from the bat PAG, a brain region fundamental for mammalian vocalisation. The most highly connected network identified represented a cluster of genes involved in glutamatergic synaptic transmission. Glutamatergic receptors play a significant role in vocalisation from the PAG, suggesting that this gene network may be mechanistically important for vocal-motor control in mammals. Conclusion We have developed an innovative approach to cluster co-expressing gene networks and show that it is highly effective in detecting robust functional gene networks with limited sample sizes. Moreover, this work represents the first gene network analysis performed in a bat brain and establishes bats as a novel, tractable model system for understanding the genetics of vocal mammalian communication.
  • Rojas-Berscia, L. M. (2015). Mayna, the lost Kawapanan language. LIAMES, 15, 393-407. Retrieved from http://revistas.iel.unicamp.br/index.php/liames/article/view/4549.

    Abstract

    The origins of the Mayna language, formerly spoken in northwest Peruvian Amazonia, remain a mystery for most scholars. Several discussions on it took place in the end of the 19th century and the beginning of the 20th; however, none arrived at a consensus. Apart from an article written by Taylor & Descola (1981), suggesting a relationship with the Jivaroan language family, little to nothing has been said about it for the last half of the 20th century and the last decades. In the present article, a summary of the principal accounts on the language and its people between the 19th and the 20th century will be given, followed by a corpus analysis in which the materials available in Mayna and Kawapanan, mainly prayers collected by Hervás (1787) and Teza (1868), will be analysed and compared for the first time in light of recent analyses in the new-born field called Kawapanan linguistics (Barraza de García 2005a,b; Valenzuela-Bismarck 2011a,b , Valenzuela 2013; Rojas-Berscia 2013, 2014; Madalengoitia-Barúa 2013; Farfán-Reto 2012), in order to test its affiliation to the Kawapanan language family, as claimed by Beuchat & Rivet (1909) and account for its place in the dialectology of this language family.
  • Rojas-Berscia, L. M., & Ghavami Dicker, S. (2015). Teonimia en el Alto Amazonas, el caso de Kanpunama. Escritura y Pensamiento, 18(36), 117-146.
  • Rommers, J., Meyer, A. S., & Huettig, F. (2015). Verbal and nonverbal predictors of language-mediated anticipatory eye movements. Attention, Perception & Psychophysics, 77(3), 720-730. doi:10.3758/s13414-015-0873-x.

    Abstract

    During language comprehension, listeners often anticipate upcoming information. This can draw listeners’ overt attention to visually presented objects before the objects are referred to. We investigated to what extent the anticipatory mechanisms involved in such language-mediated attention rely on specific verbal factors and on processes shared with other domains of cognition. Participants listened to sentences ending in a highly predictable word (e.g., “In 1969 Neil Armstrong was the first man to set foot on the moon”) while viewing displays containing three unrelated distractor objects and a critical object, which was either the target object (e.g., a moon), or an object with a similar shape (e.g., a tomato), or an unrelated control object (e.g., rice). Language-mediated anticipatory eye movements to targets and shape competitors were observed. Importantly, looks to the shape competitor were systematically related to individual differences in anticipatory attention, as indexed by a spatial cueing task: Participants whose responses were most strongly facilitated by predictive arrow cues also showed the strongest effects of predictive language input on their eye movements. By contrast, looks to the target were related to individual differences in vocabulary size and verbal fluency. The results suggest that verbal and nonverbal factors contribute to different types of language-mediated eye movement. The findings are consistent with multiple-mechanism accounts of predictive language processing.
  • Romøren, A. S. H., & Chen, A. (2015). Quiet is the new loud: Pausing and focus in child and adult Dutch. Language and Speech, 58, 8-23. doi:10.1177/0023830914563589.

    Abstract

    In a number of languages, prosody is used to highlight new information (or focus). In Dutch, focus is marked by accentuation, whereby focal constituents are accented and post-focal constituents are de-accented. Even if pausing is not traditionally seen as a cue to focus in Dutch, several previous studies have pointed to a possible relationship between pausing and information structure. Considering that Dutch-speaking 4 to 5 year olds are not yet completely proficient in using accentuation for focus and that children generally pause more than adults, we asked whether pausing might be an available parameter for children to manipulate for focus. Sentences with varying focus structure were elicited from 10 Dutch-speaking 4 to 5 year olds and 9 Dutch-speaking adults by means of a picture-matching game. Comparing pause durations before focal and non-focal targets showed pre-target pauses to be significantly longer when the targets were focal than when they were not. Notably, the use of pausing was more robust in the children than in the adults, suggesting that children exploit pausing to mark focus more generally than adults do, at a stage where their mastery of the canonical cues to focus is still developing. © The Author(s) 2015

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  • Rossi, G. (2015). Other-initiated repair in Italian. Open Linguistics, 1(1), 256-282. doi:10.1515/opli-2015-0002.

    Abstract

    This article describes the interactional patterns and linguistic structures associated with other-initiated repair, as observed in a corpus of video recorded conversation in the Italian language (Romance). The article reports findings specific to the Italian language from the comparative project that is the topic of this special issue. While giving an overview of all the major practices for other-initiation of repair found in this language, special attention is given to (i) the functional distinctions between different open strategies (interjection, question words, formulaic), and (ii) the role of intonation in discriminating alternative restricted strategies, with a focus on different contour types used to produce repetitions.
  • Rossi, G. (2015). Responding to pre-requests: The organization of hai x ‘do you have x’ sequences in Italian. Journal of Pragmatics, 82, 5-22. doi:10.1016/j.pragma.2015.03.008.

    Abstract

    Among the strategies used by people to request others to do things, there is a particular family defined as pre-requests. The typical function of a pre-request is to check whether some precondition obtains for a request to be successfully made. A form like the Italian interrogative hai x ‘do you have x’, for example, is used to ask if an object is available — a requirement for the object to be transferred or manipulated. But what does it mean exactly to make a pre-request? What difference does it make compared to issuing a request proper? In this article, I address these questions by examining the use of hai x ‘do you have x’ interrogatives in a corpus of informal Italian interaction. Drawing on methods from conversation analysis and linguistics, I show that the status of hai x as a pre-request is reflected in particular properties in the domains of preference and sequence organisation, specifically in the design of blocking responses to the pre-request, and in the use of go-ahead responses, which lead to the expansion of the request sequence. This study contributes to current research on requesting as well as on sequence organisation by demonstrating the response affordances of pre-requests and by furthering our understanding of the processes of sequence expansion.
  • Rossi, G. (2015). The request system in Italian interaction. PhD Thesis, Radboud University, Nijmegen.

    Abstract

    People across the world make requests every day. We constantly rely on others to get by in the small and big practicalities of everyday life, be it getting the salt, moving a sofa, or cooking a meal. It has long been noticed that when we ask others for help we use a wide range of forms drawing on various resources afforded by our language and body. To get another to pass the salt, for example, we may say ‘Pass the salt’, or ask ‘Can you pass me the salt?’, or simply point to the salt. What do different forms of requesting give us? The short answer is that they allow us to manage different social relations. But what kind of relations? While prior research has mostly emphasised the role of long-term asymmetries like people’s social distance and relative power, this thesis puts at centre stage social relations and dimensions emerging in the moment-by-moment flow of everyday interaction. These include how easy or hard the action requested is to anticipate for the requestee, whether the action requested contributes to a joint project or serves an individual one, whether the requestee may be unwilling to do it, and how obvious or equivocal it is that a certain person or another should be involved in the action. The study focuses on requests made in everyday informal interactions among speakers of Italian. It involves over 500 instances of requests sampled from a diverse corpus of video recordings, and draws on methods from conversation analysis, linguistics and multimodal analysis. A qualitative analysis of the data is supported by quantitative measures of the distribution of linguistic and interactional features, and by the use of inferential statistics to test the generalizability of some of the patterns observed. The thesis aims to contribute to our understanding of both language and social interaction by showing that forms of requesting constitute a system, organised by a set of recurrent social-interactional concerns.

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  • Rowbotham, S., Lloyd, D. M., Holler, J., & Wearden, A. (2015). Externalizing the private experience of pain: A role for co-speech gestures in pain communication? Health Communication, 30(1), 70-80. doi:10.1080/10410236.2013.836070.

    Abstract

    Despite the importance of effective pain communication, talking about pain represents a major challenge for patients and clinicians because pain is a private and subjective experience. Focusing primarily on acute pain, this article considers the limitations of current methods of obtaining information about the sensory characteristics of pain and suggests that spontaneously produced “co-speech hand gestures” may constitute an important source of information here. Although this is a relatively new area of research, we present recent empirical evidence that reveals that co-speech gestures contain important information about pain that can both add to and clarify speech. Following this, we discuss how these findings might eventually lead to a greater understanding of the sensory characteristics of pain, and to improvements in treatment and support for pain sufferers. We hope that this article will stimulate further research and discussion of this previously overlooked dimension of pain communication
  • Rowland, C. F., & Pine, J. M. (2000). Subject-auxiliary inversion errors and wh-question acquisition: what children do know? Journal of Child Language, 27(1), 157-181.

    Abstract

    The present paper reports an analysis of correct wh-question production and subject–auxiliary inversion errors in one child's early wh-question data (age 2; 3.4 to 4; 10.23). It is argued that two current movement rule accounts (DeVilliers, 1991; Valian, Lasser & Mandelbaum, 1992) cannot explain the patterning of early wh-questions. However, the data can be explained in terms of the child's knowledge of particular lexically-specific wh-word+auxiliary combinations, and the pattern of inversion and uninversion predicted from the relative frequencies of these combinations in the mother's speech. The results support the claim that correctly inverted wh-questions can be produced without access to a subject–auxiliary inversion rule and are consistent with the constructivist claim that a distributional learning mechanism that learns and reproduces lexically-specific formulae heard in the input can explain much of the early multi-word speech data. The implications of these results for movement rule-based and constructivist theories of grammatical development are discussed.
  • Rowland, C. F. (2000). The grammatical acquisition of wh-questions in early English multi-word speech. PhD Thesis, University of Nottingham, UK.

    Abstract

    Recent studies of wh-question acquisition have tended to come from the nativist side of the language acquisition debate with little input from a constructivist perspective. The present work was designed to redress the balance, first by presenting a detailed description of young children's wh-question acquisition data, second, by providing detailed critiques of two nativist theories of wh- question acquisition, and third, by presenting a preliminary account of young children's wh-question development from a constructivist perspective. Analyses of the data from twelve 2 to 3 year old children collected over a year and of data from an older child (Adam from the Brown corpus, 1973) are described and three conclusions are drawn. First it is argued that the data suggest that children's knowledge of how to form wh-questions builds up gradually as they learn how to combine lexical items such as wh-words and auxiliaries in specific ways. Second, it is concluded that two nativist theories of grammatical development (Radford, 1990, 1992, 1995, 1996, Valian, Lasser & Mandelbaum, 1992) fail to account successfully for the wh-question data produced by the children. Third, it is asserted that the lexically-specific nature of children's early wh-questions is compatible with a lexical constructivist view of development, which proposes that the language learning mechanism learns by picking up high frequency lexical patterns from the input. The implications of these conclusions for theories of language development and future research are discussed.
  • Rowland, C. F., & Peter, M. (2015). Up to speed? Nursery World Magazine, 15-28 June 2015, 18-20.
  • Rubio-Fernández, P., Wearing, C., & Carston, R. (2015). Metaphor and hyperbole: Testing the continuity hypothesis. Metaphor and Symbol, 30(1), 24-40. doi:10.1080/10926488.2015.980699.

    Abstract

    In standard Relevance Theory, hyperbole and metaphor are categorized together as loose uses of language, on a continuum with approximations, category extensions and other cases of loosening/broadening of meaning. Specifically, it is claimed that there are no interesting differences (in either interpretation or processing) between hyperbolic and metaphorical uses (Sperber & Wilson, 2008). In recent work, we have set out to provide a more fine-grained articulation of the similarities and differences between hyperbolic and metaphorical uses and their relation to literal uses (Carston & Wearing, 2011, 2014). We have defended the view that hyperbolic use involves a shift of magnitude along a dimension which is intrinsic to the encoded meaning of the hyperbole vehicle, while metaphor involves a multi-dimensional qualitative shift away from the encoded meaning of the metaphor vehicle. In this article, we present three experiments designed to test the predictions of this analysis, using a variety of tasks (paraphrase elicitation, self-paced reading and sentence verification). The results of the study support the view that hyperbolic and metaphorical interpretations, despite their commonalities as loose uses of language, are significantly different.
  • De Ruiter, L. E. (2015). Information status marking in spontaneous vs. read speech in story-telling tasks – Evidence from intonation analysis using GToBI. Journal of Phonetics, 48, 29-44. doi:10.1016/j.wocn.2014.10.008.

    Abstract

    Two studies investigated whether speaking mode influences the way German speakers mark the information status of discourse referents in nuclear position. In Study 1, speakers produced narrations spontaneously on the basis of picture stories in which the information status of referents (new, accessible and given) was systematically varied. In Study 2, speakers saw the same pictures, but this time accompanied by text to be read out. Clear differences were found depending on speaking mode: In spontaneous speech, speakers always accented new referents. They did not use different pitch accent types to differentiate between new and accessible referents, nor did they always deaccent given referents. In addition, speakers often made use of low pitch accents in combination with high boundary tones to indicate continuity. In contrast to this, read speech was characterized by low boundary tones, consistent deaccentuation of given referents and the use of H+L* and H+!H* accents, for both new and accessible referents. The results are discussed in terms of the function of intonational features in communication. It is argued that reading intonation is not comparable to intonation in spontaneous speech, and that this has important consequences also for our choice of methodology in child language acquisition research
  • Samur, D., Lai, V. T., Hagoort, P., & Willems, R. M. (2015). Emotional context modulates embodied metaphor comprehension. Neuropsychologia, 78, 108-114. doi:10.1016/j.neuropsychologia.2015.10.003.

    Abstract

    Emotions are often expressed metaphorically, and both emotion and metaphor are ways through which abstract meaning can be grounded in language. Here we investigate specifically whether motion-related verbs when used metaphorically are differentially sensitive to a preceding emotional context, as compared to when they are used in a literal manner. Participants read stories that ended with ambiguous action/motion sentences (e.g., he got it), in which the action/motion could be interpreted metaphorically (he understood the idea) or literally (he caught the ball) depending on the preceding story. Orthogonal to the metaphorical manipulation, the stories were high or low in emotional content. The results showed that emotional context modulated the neural response in visual motion areas to the metaphorical interpretation of the sentences, but not to their literal interpretations. In addition, literal interpretations of the target sentences led to stronger activation in the visual motion areas as compared to metaphorical readings of the sentences. We interpret our results as suggesting that emotional context specifically modulates mental simulation during metaphor processing
  • San Roque, L., & Bergvist, H. (Eds.). (2015). Epistemic marking in typological perspective [Special Issue]. STUF -Language typology and universals, 68(2).
  • San Roque, L. (2015). Using you to get to me: Addressee perspective and speaker stance in Duna evidential marking. STUF: Language typology and universals, 68(2), 187-210. doi:10.1515/stuf-2015-0010.

    Abstract

    Languages have complex and varied means for representing points of view, including constructions that can express multiple perspectives on the same event. This paper presents data on two evidential constructions in the language Duna (Papua New Guinea) that imply features of both speaker and addressee knowledge simultaneously. I discuss how talking about an addressee’s knowledge can occur in contexts of both coercion and co-operation, and, while apparently empathetic, can provide a covert way to both manipulate the addressee’s attention and express speaker stance. I speculate that ultimately, however, these multiple perspective constructions may play a pro-social role in building or repairing the interlocutors’ common ground.
  • San Roque, L., Kendrick, K. H., Norcliffe, E., Brown, P., Defina, R., Dingemanse, M., Dirksmeyer, T., Enfield, N. J., Floyd, S., Hammond, J., Rossi, G., Tufvesson, S., Van Putten, S., & Majid, A. (2015). Vision verbs dominate in conversation across cultures, but the ranking of non-visual verbs varies. Cognitive Linguistics, 26, 31-60. doi:10.1515/cog-2014-0089.

    Abstract

    To what extent does perceptual language reflect universals of experience and cognition, and to what extent is it shaped by particular cultural preoccupations? This paper investigates the universality~relativity of perceptual language by examining the use of basic perception terms in spontaneous conversation across 13 diverse languages and cultures. We analyze the frequency of perception words to test two universalist hypotheses: that sight is always a dominant sense, and that the relative ranking of the senses will be the same across different cultures. We find that references to sight outstrip references to the other senses, suggesting a pan-human preoccupation with visual phenomena. However, the relative frequency of the other senses was found to vary cross-linguistically. Cultural relativity was conspicuous as exemplified by the high ranking of smell in Semai, an Aslian language. Together these results suggest a place for both universal constraints and cultural shaping of the language of perception.
  • Sandberg, A., Lansner, A., Petersson, K. M., & Ekeberg, Ö. (2000). A palimpsest memory based on an incremental Bayesian learning rule. Neurocomputing, 32(33), 987-994. doi:10.1016/S0925-2312(00)00270-8.

    Abstract

    Capacity limited memory systems need to gradually forget old information in order to avoid catastrophic forgetting where all stored information is lost. This can be achieved by allowing new information to overwrite old, as in the so-called palimpsest memory. This paper describes a new such learning rule employed in an attractor neural network. The network does not exhibit catastrophic forgetting, has a capacity dependent on the learning time constant and exhibits recency e!ects in retrieval
  • Sandberg, A., Lansner, A., Petersson, K. M., & Ekeberg, Ö. (2000). A palimpsest memory based on an incremental Bayesian learning rule. In J. M. Bower (Ed.), Computational Neuroscience: Trends in Research 2000 (pp. 987-994). Amsterdam: Elsevier.
  • Schaefer, M., Haun, D. B., & Tomasello, M. (2015). Fair is not fair everywhere. Psychological Science, 26(8), 1252-1260. doi:10.1177/0956797615586188.

    Abstract

    Distributing the spoils of a joint enterprise on the basis of work contribution or relative productivity seems natural to the modern Western mind. But such notions of merit-based distributive justice may be culturally constructed norms that vary with the social and economic structure of a group. In the present research, we showed that children from three different cultures have very different ideas about distributive justice. Whereas children from a modern Western society distributed the spoils of a joint enterprise precisely in proportion to productivity, children from a gerontocratic pastoralist society in Africa did not take merit into account at all. Children from a partially hunter-gatherer, egalitarian African culture distributed the spoils more equally than did the other two cultures, with merit playing only a limited role. This pattern of results suggests that some basic notions of distributive justice are not universal intuitions of the human species but rather culturally constructed behavioral norms.
  • Scharenborg, O., Weber, A., & Janse, E. (2015). Age and hearing loss and the use of acoustic cues in fricative categorization. The Journal of the Acoustical Society of America, 138(3), 1408-1417. doi:10.1121/1.4927728.

    Abstract

    This study examined the use of fricative noise information and coarticulatory cues for categorization of word-final fricatives [s] and [f] by younger and older Dutch listeners alike. Particularly, the effect of information loss in the higher frequencies on the use of these two cues for fricative categorization was investigated. If information in the higher frequencies is less strongly available, fricative identification may be impaired or listeners may learn to focus more on coarticulatory information. The present study investigates this second possibility. Phonetic categorization results showed that both younger and older Dutch listeners use the primary cue fricative noise and the secondary cue coarticulatory information to distinguish
    word-final [f] from [s]. Individual hearing sensitivity in the older listeners modified the use of fricative noise information, but did not modify the use of coarticulatory information. When high-frequency information was filtered out from the speech signal, fricative noise could no longer be used by the younger and older adults. Crucially, they also did not learn to rely more on coarticulatory information as a compensatory cue for fricative categorization. This suggests that listeners do not readily show compensatory use of this secondary cue to fricative identity when fricative categorization becomes difficult.
  • Scharenborg, O., Bouwman, G., & Boves, L. (2000). Connected digit recognition with class specific word models. In Proceedings of the COST249 Workshop on Voice Operated Telecom Services workshop (pp. 71-74).

    Abstract

    This work focuses on efficient use of the training material by selecting the optimal set of model topologies. We do this by training multiple word models of each word class, based on a subclassification according to a priori knowledge of the training material. We will examine classification criteria with respect to duration of the word, gender of the speaker, position of the word in the utterance, pauses in the vicinity of the word, and combinations of these. Comparative experiments were carried out on a corpus consisting of Dutch spoken connected digit strings and isolated digits, which are recorded in a wide variety of acoustic conditions. The results show, that classification based on gender of the speaker, position of the digit in the string, pauses in the vicinity of the training tokens, and models based on a combination of these criteria perform significantly better than the set with single models per digit.
  • Scharenborg, O., Weber, A., & Janse, E. (2015). The role of attentional abilities in lexically guided perceptual learning by older listeners. Attention, Perception & Psychophysics, 77(2), 493-507. doi:10.3758/s13414-014-0792-2.

    Abstract

    This study investigates two variables that may modify lexically-guided perceptual learning: individual hearing sensitivity and attentional abilities. Older Dutch listeners (aged 60+, varying from good hearing to mild-to-moderate high-frequency hearing loss) were tested on a lexically-guided perceptual learning task using the contrast [f]-[s]. This contrast mainly differentiates between the two consonants in the higher frequencies, and thus is supposedly challenging for listeners with hearing loss. The analyses showed that older listeners generally engage in lexically-guided perceptual learning. Hearing loss and selective attention did not modify perceptual learning in our participant sample, while attention-switching control did: listeners with poorer attention-switching control showed a stronger perceptual learning effect. We postulate that listeners with better attention-switching control may, in general, rely more strongly on bottom-up acoustic information compared to listeners with poorer attention-switching control, making them in turn less susceptible to lexically-guided perceptual learning effects. Our results, moreover, clearly show that lexically-guided perceptual learning is not lost when acoustic processing is less accurate.
  • Schepens, J. (2015). Bridging linguistic gaps: The effects of linguistic distance on adult learnability of Dutch as an additional language. PhD Thesis, Radboud University Nijmegen, Nijmegen.
  • Schiller, N. O., & Verdonschot, R. G. (2015). Accessing words from the mental lexicon. In J. Taylor (Ed.), The Oxford handbook of the word (pp. 481-492). Oxford: Oxford University Press.

    Abstract

    This chapter describes how speakers access words from the mental lexicon. Lexical access is a crucial
    component in the process of transforming thoughts into speech. Some theories consider lexical access to be
    strictly serial and discrete, while others view this process as being cascading or even interactive, i.e. the different
    sub-levels influence each other. We discuss some of the evidence in favour and against these viewpoints, and
    also present arguments regarding the ongoing debate on how words are selected for production. Another important
    issue concerns the access to morphologically complex words such as derived and inflected words, as well as
    compounds. Are these accessed as whole entities from the mental lexicon or are the parts assembled online? This
    chapter tries to provide an answer to that question as well.
  • Schluessel, V., & Düngen, D. (2015). Irrespective of size, scales, color or body shape, all fish are just fish: object categorization in the gray bamboo shark Chiloscyllium griseum. Animal Cognition, 18, 497-507. doi:10.1007/s10071-014-0818-0.

    Abstract

    Object categorization is an important cognitive adaptation, quickly providing an animal with relevant and potentially life-saving information. It can be defined as the process whereby objects that are not the same, are nonetheless grouped together according to some defining feature(s) and responded to as if they were the same. In this way, knowledge about one object, behavior or situation can be extrapolated onto another without much cost and effort. Many vertebrates including humans, monkeys, birds and teleosts have been shown to be able to categorize, with abilities varying between species and tasks. This study assessed object categorization skills in the gray bamboo shark Chiloscyllium griseum. Sharks learned to distinguish between the two categories, 'fish' versus 'snail' independently of image features and image type, i.e., black and white drawings, photographs, comics or negative images. Transfer tests indicated that sharks predominantly focused on and categorized the positive stimulus, while disregarding the negative stimulus.
  • Schmidt, J., Scharenborg, O., & Janse, E. (2015). Semantic processing of spoken words under cognitive load in older listeners. In M. Wolters, J. Livingstone, B. Beattie, R. Smith, M. MacMahon, J. Stuart-Smith, & J. Scobbie (Eds.), Proceedings of the 18th International Congress of Phonetic Sciences (ICPhS 2015). London: International Phonetic Association.

    Abstract

    Processing of semantic information in language comprehension has been suggested to be modulated by attentional resources. Consequently, cognitive load would be expected to reduce semantic priming, but studies have yielded inconsistent results. This study investigated whether cognitive load affects semantic activation in speech processing in older adults, and whether this is modulated by individual differences in cognitive and hearing abilities. Older adults participated in an auditory continuous lexical decision task in a low-load and high-load condition. The group analysis showed only a marginally significant reduction of semantic priming in the high-load condition compared to the low-load condition. The individual differences analysis showed that semantic priming was significantly reduced under increased load in participants with poorer attention-switching control. Hence, a resource-demanding secondary task may affect the integration of spoken words into a coherent semantic representation for listeners with poorer attentional skills.
  • Schriefers, H., & Vigliocco, G. (2015). Speech Production, Psychology of [Repr.]. In J. D. Wright (Ed.), International Encyclopedia of the Social & Behavioral Sciences (2nd ed) Vol. 23 (pp. 255-258). Amsterdam: Elsevier. doi:10.1016/B978-0-08-097086-8.52022-4.

    Abstract

    This article is reproduced from the previous edition, volume 22, pp. 14879–14882, © 2001, Elsevier Ltd.
  • Schubotz, L., Holler, J., & Ozyurek, A. (2015). Age-related differences in multi-modal audience design: Young, but not old speakers, adapt speech and gestures to their addressee's knowledge. In G. Ferré, & M. Tutton (Eds.), Proceedings of the 4th GESPIN - Gesture & Speech in Interaction Conference (pp. 211-216). Nantes: Université of Nantes.

    Abstract

    Speakers can adapt their speech and co-speech gestures for
    addressees. Here, we investigate whether this ability is
    modulated by age. Younger and older adults participated in a
    comic narration task in which one participant (the speaker)
    narrated six short comic stories to another participant (the
    addressee). One half of each story was known to both participants, the other half only to the speaker. Younger but
    not older speakers used more words and gestures when narrating novel story content as opposed to known content.
    We discuss cognitive and pragmatic explanations of these findings and relate them to theories of gesture production.
  • Schubotz, L., Oostdijk, N., & Ernestus, M. (2015). Y’know vs. you know: What phonetic reduction can tell us about pragmatic function. In S. Lestrade, P. De Swart, & L. Hogeweg (Eds.), Addenda: Artikelen voor Ad Foolen (pp. 361-380). Njimegen: Radboud University.
  • Schuerman, W. L., Nagarajan, S., & Houde, J. (2015). Changes in consonant perception driven by adaptation of vowel production to altered auditory feedback. In M. Wolters, J. Livingstone, B. Beattie, R. Smith, M. MacMahon, J. Stuart-Smith, & J. Scobbie (Eds.), Proceedings of the 18th International Congresses of Phonetic Sciences (ICPhS 2015). London: International Phonetic Association.

    Abstract

    Adaptation to altered auditory feedback has been shown to induce subsequent shifts in perception. However, it is uncertain whether these perceptual changes may generalize to other speech sounds. In this experiment, we tested whether exposing the production of a vowel to altered auditory feedback affects perceptual categorization of a consonant distinction. In two sessions, participants produced CVC words containing the vowel /i/, while intermittently categorizing stimuli drawn from a continuum between "see" and "she." In the first session feedback was unaltered, while in the second session the formants of the vowel were shifted 20% towards /u/. Adaptation to the altered vowel was found to reduce the proportion of perceived /S/ stimuli. We suggest that this reflects an alteration to the sensorimotor mapping that is shared between vowels and consonants.
  • Schuerman, W. L., Meyer, A. S., & McQueen, J. M. (2015). Do we perceive others better than ourselves? A perceptual benefit for noise-vocoded speech produced by an average speaker. PLoS One, 10(7): e0129731. doi:10.1371/journal.pone.0129731.

    Abstract

    In different tasks involving action perception, performance has been found to be facilitated
    when the presented stimuli were produced by the participants themselves rather than by
    another participant. These results suggest that the same mental representations are
    accessed during both production and perception. However, with regard to spoken word perception,
    evidence also suggests that listeners’ representations for speech reflect the input
    from their surrounding linguistic community rather than their own idiosyncratic productions.
    Furthermore, speech perception is heavily influenced by indexical cues that may lead listeners
    to frame their interpretations of incoming speech signals with regard to speaker identity.
    In order to determine whether word recognition evinces similar self-advantages as found in
    action perception, it was necessary to eliminate indexical cues from the speech signal. We therefore asked participants to identify noise-vocoded versions of Dutch words that were based on either their own recordings or those of a statistically average speaker. The majority of participants were more accurate for the average speaker than for themselves, even after taking into account differences in intelligibility. These results suggest that the speech
    representations accessed during perception of noise-vocoded speech are more reflective
    of the input of the speech community, and hence that speech perception is not necessarily based on representations of one’s own speech.
  • Schultze-Berndt, E. (2000). Simple and complex verbs in Jaminjung: A study of event categorisation in an Australian language. PhD Thesis, Radboud University Nijmegen, Nijmegen. doi:10.17617/2.2057716.
  • Sekine, K., Stam, G., Yoshioka, K., Tellier, M., & Capirci, O. (2015). Cross-linguistic views of gesture usage. Vigo International Journal of Applied linguistics VIAL, (12), 91-105.

    Abstract

    People have stereotypes about gesture usage. For instance, speakers in East Asia are not supposed to gesticulate, and it is believed that Italians gesticulate more than the British. Despite the prevalence of such views, studies that investigate these stereotypes are scarce. The present study examined peopleÕs views on spontaneous gestures by collecting data from five different countries. A total of 363 undergraduate students from five countries (France, Italy, Japan, the Netherlands and USA) participated in this study. Data were collected through a two-part questionnaire. Part 1 asked participants to rate two characteristics of gesture: frequency and size of gesture for 13 different languages. Part 2 asked them about their views on factors that might affect the production of gestures. The results showed that most participants in this study believe that Italian, Spanish, and American English speakers produce larger gestures more frequently than other language speakers. They also showed that each culture group, even within Europe, put weight on a slightly different aspect of gestures.
  • Sekine, K., & Kita, S. (2015). Development of multimodal discourse comprehension: Cohesive use of space by gestures. Language, Cognition and Neuroscience, 30(10), 1245-1258. doi:10.1080/23273798.2015.1053814.

    Abstract

    This study examined how well 5-, 6-, 10-year-olds and adults integrated information from spoken discourse with cohesive use of space in gesture, in comprehension. In Experiment 1, participants were presented with a combination of spoken discourse and a sequence of cohesive gestures, which consistently located each of the two protagonists in two distinct locations in gesture space. Participants were asked to select an interpretation of the final sentence that best matched the preceding spoken and gestural contexts. Adults and 10-year-olds performed better than 5-year-olds, who were at chance level. In Experiment 2, another group of 5-year-olds was presented with the same stimuli as in Experiment 1, except that the actor showed hand-held pictures, instead of producing cohesive gestures. Unlike cohesive gestures, one set of pictures was self-explanatory and did not require integration with the concurrent speech to derive the referent. With these pictures, 5-year-olds performed nearly perfectly and their performance in the identifiable pictures was significantly better than those in the unidentifiable pictures. These results suggest that young children failed to integrate spoken discourse and cohesive use of space in gestures, because they cannot derive a referent of cohesive gestures from the local speech context.
  • Sekine, K., Snowden, H., & Kita, S. (2015). The development of the ability to semantically integrate information in speech and iconic gesture in comprehension. Cognitive Science. doi:10.1111/cogs.12221.

    Abstract

    We examined whether children's ability to integrate speech and gesture follows the pattern of a broader developmental shift between 3- and 5-year-old children (Ramscar & Gitcho, 2007) regarding the ability to process two pieces of information simultaneously. In Experiment 1, 3-year-olds, 5-year-olds, and adults were presented with either an iconic gesture or a spoken sentence or a combination of the two on a computer screen, and they were instructed to select a photograph that best matched the message. The 3-year-olds did not integrate information in speech and gesture, but 5-year-olds and adults did. In Experiment 2, 3-year-old children were presented with the same speech and gesture as in Experiment 1 that were produced live by an experimenter. When presented live, 3-year-olds could integrate speech and gesture. We concluded that development of the integration ability is a part of the broader developmental shift; however, live-presentation facilitates the nascent integration ability in 3-year-olds.
  • Sekine, K., & Kita, S. (2015). The parallel development of the form and meaning of two-handed gestures and linguistic information packaging within a clause in narrative. Open Linguistics, 1(1), 490-502. doi:10.1515/opli-2015-0015.

    Abstract

    We examined how two-handed gestures and speech with equivalent contents that are used in narrative develop during childhood. The participants were 40 native speakers of English consisting of four different age groups: 3-, 5-, 9-year-olds, and adults. A set of 10 video clips depicting motion events were used to elicit speech and gesture. There are two findings. First, two types of two-handed gestures showed different developmental changes: those with a single-handed stroke with a simultaneous hold increased with age, while those with a two handed-stroke decreased with age. Second, representational gesture and speech developed in parallel at the discourse level. More specifically, the ways in which information is packaged in a gesture and in a clause are similar for a given age group; that is, gesture and speech develop hand-in-hand.
  • Senft, G. (2000). COME and GO in Kilivila. In B. Palmer, & P. Geraghty (Eds.), SICOL. Proceedings of the second international conference on Oceanic linguistics: Volume 2, Historical and descriptive studies (pp. 105-136). Canberra: Pacific Linguistics.
  • Senft, G. (2000). [Review of the book Language, identity, and marginality in Indonesia: The changing nature of ritual speech on the island of Sumba by Joel C. Kuipers]. Linguistics, 38, 435-441. doi:10.1515/ling.38.2.435.
  • Senft, G., & Smits, R. (Eds.). (2000). Max-Planck-Institute for Psycholinguistics: Annual report 2000. Nijmegen: MPI for Psycholinguistics.
  • Senft, G. (2000). Introduction. In G. Senft (Ed.), Systems of nominal classification (pp. 1-10). Cambridge University Press.
  • Senft, G. (2015). Tales from the Trobriand Islands of Papua New Guinea: Psycholinguistic and anthropological linguistic analyses of tales told by Trobriand children and adults. Amsterdam: John Benjamins.

    Abstract

    This volume presents 22 tales from the Trobriand Islands told by children (boys between the age of 5 and 9 years) and adults. The monograph is motivated not only by the anthropological linguistic aim to present a broad and quite unique collection of tales with the thematic approach to illustrate which topics and themes constitute the content of the stories, but also by the psycholinguistic and textlinguistic questions of how children acquire linearization and other narrative strategies, how they develop them and how they use them to structure these texts in an adult-like way. The tales are presented in morpheme-interlinear transcriptions with first textlinguistic analyses and cultural background information necessary to fully understand them. A summarizing comparative analysis of the texts from a psycholinguistic, anthropological linguistic and philological point of view discusses the underlying schemata of the stories, the means narrators use to structure them, their structural complexity and their cultural specificity. The e-book is made available under a CC BY-NC-ND 4.0 license.
  • Senft, G. (Ed.). (2000). Systems of nominal classification. Cambridge: Cambridge University Press.
  • Senft, G. (2000). What do we really know about nominal classification systems? In Conference handbook. The 18th national conference of the English Linguistic Society of Japan. 18-19 November, 2000, Konan University (pp. 225-230). Kobe: English Linguistic Society of Japan.
  • Senft, G. (2000). What do we really know about nominal classification systems? In G. Senft (Ed.), Systems of nominal classification (pp. 11-49). Cambridge University Press.
  • Senft, G. (2015). The Trobriand Islanders' concept of karewaga. In S. Lestrade, P. de Swart, & L. Hogeweg (Eds.), Addenda. Artikelen voor Ad Foolen (pp. 381-390). Nijmegen: Radboud University.
  • Seuren, P. A. M. (1983). Auxiliary system in Sranan. In F. Heny, & B. Richards (Eds.), Linguistic categories: Auxiliaries and related puzzles / Vol. two, The scope, order, and distribution of English auxiliary verbs (pp. 219-251). Dordrecht: Reidel.
  • Seuren, P. A. M. (2000). Bewustzijn en taal. Splijtstof, 28(4), 111-123.
  • Seuren, P. A. M. (2000). A discourse-semantic account of topic and comment. In N. Nicolov, & R. Mitkov (Eds.), Recent advances in natural language processing II. Selected papers from RANLP '97 (pp. 179-190). Amsterdam: Benjamins.
  • Seuren, P. A. M. (1973). [Review of the book A comprehensive etymological dictionary of the English language by Ernst Klein]. Neophilologus, 57(4), 423-426. doi:10.1007/BF01515518.
  • Seuren, P. A. M. (1973). [Review of the book Philosophy of language by Robert J. Clack and Bertrand Russell]. Foundations of Language, 9(3), 440-441.
  • Seuren, P. A. M. (1973). [Review of the book Semantics. An interdisciplinary reader in philosophy, linguistics and psychology ed. by Danny D. Steinberg and Leon A. Jakobovits]. Neophilologus, 57(2), 198-213. doi:10.1007/BF01514332.
  • 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. (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. (1973). Generative Semantik: Semantische syntax. Düsseldorf: Schwann Verlag.
  • Seuren, P. A. M. (1983). In memoriam Jan Voorhoeve. Bijdragen tot de Taal-, Land- en Volkenkunde, 139(4), 403-406.
  • Seuren, P. A. M. (1963). Naar aanleiding van Dr. F. Balk-Smit Duyzentkunst "De Grammatische Functie". Levende Talen, 219, 179-186.
  • Seuren, P. A. M. (1983). Overwegingen bij de spelling van het Sranan en een spellingsvoorstel. OSO, 2(1), 67-81.
  • Seuren, P. A. M. (2015). Prestructuralist and structuralist approaches to syntax. In T. Kiss, & A. Alexiadou (Eds.), Syntax--theory and analysis: An international handbook (pp. 134-157). Berlin: Mouton de Gruyter.
  • Seuren, P. A. M. (2000). Presupposition, negation and trivalence. Journal of Linguistics, 36(2), 261-297.
  • Seuren, P. A. M. (2000). Pseudocomplementen. In H. Den Besten, E. Elffers, & J. Luif (Eds.), Samengevoegde woorden. Voor Wim Klooster bij zijn afscheid als hoogleraar (pp. 231-237). Amsterdam: Leerstoelgroep Nederlandse Taalkunde, Universiteit van Amsterdam.
  • Seuren, P. A. M. (1973). The comparative. In F. Kiefer, & N. Ruwet (Eds.), Generative grammar in Europe (pp. 528-564). Reidel: Dordrecht.

    Abstract

    No idea is older in the history of linguistics than the thought that there is, somehow hidden underneath the surface of sentences, a form or a structure which provides a semantic analysis and lays bare their logical structure. In Plato’s Cratylus the theory was proposed, deriving from Heraclitus’ theory of explanatory underlying structure in physical nature, that words contain within themselves bits of syntactic structure giving their meanings. The Stoics held the same view and maintained moreover that every sentence has an underlying logical structure, which for them was the Aristotelian subject- predicate form. They even proposed transformational processes to derive the surface from the deep structure. The idea of a semantically analytic logical form underlying the sentences of every language kept reappearing in various guises at various times. Quite recently it re-emerged under the name of generative semantics.
  • Seuren, P. A. M. (2015). Taal is complexer dan je denkt - recursief. In S. Lestrade, P. De Swart, & L. Hogeweg (Eds.), Addenda. Artikelen voor Ad Foolen (pp. 393-400). Nijmegen: Radboud University.
  • Seuren, P. A. M. (1973). Predicate raising and dative in French and Sundry languages. Trier: L.A.U.T. (Linguistic Agency University of Trier).
  • Seuren, P. A. M. (1973). The new approach to the study of language. In B. Douglas (Ed.), Linguistics and the mind (pp. 11-20). Sydney: Sydney University Extension Board.
  • Seuren, P. A. M. (1973). Zero-output rules. Foundations of Language, 10(2), 317-328.
  • Seuren, P. A. M. (2015). Unconscious elements in linguistic communication: Language and social reality. Empedocles: European Journal for the Philosophy of Communication, 6, 185-194. doi:10.1386/ejpc.6.2.185_1.

    Abstract

    The message of the present article is, first, that, besides and below the strictly linguistic aspects of communication through language, of which speakers are in principle fully aware, a great deal of knowledge not carried in virtue of the system of the language in question but rather transmitted by the form of the intended message, is imparted to listeners or readers, without either being in the least aware of this happening. For example, listeners quickly register the social status, regional origin or emotional attitude of speakers and they react to those kinds of ‘paralinguistic’ information, mostly totally unawares. When speaker and listener have a positive attitude with regard to each other, the reaction consists, among other things, in mutual alignment or accommodation of pronunciation features, lexical selections and style of speaking. When the mutual attitude is negative, the opposite happens: speakers accentuate their differences. Then, when this happens not between individual interlocutors but between groups of speakers, such accommodation or divergence phenomena may lead to language change. The main theoretical question raised, but not answered, in this article is how and at what point forms of behaviour, including linguistic behaviour, achieve the status of being ‘standard’ or ‘accepted’ in any given community and what it means to say that they are ‘standard’ or ‘accepted’. It is argued that frequency of occurrence is not the main explanatory factor, and that a causal explanation is to be sought rather in the, often unconscious, attitudes of individuals, in particular their desire or need to be integrated members of a community or social group, thus ensuring their safety and asserting their group identity. The question thus belongs to the province of social psychology. Qualms about analyses of this kind being ‘unscientific’ dissipate when it is realized that consciousness phenomena are part of the real world and must therefore be considered to be valid objects of scientific theory formation. Like so many other ill-understood elements in scientific theories, consciousness, though itself unexplained, can be given a place in causal chains of events.
  • Shao, Z., Roelofs, A., Martin, R., & Meyer, A. S. (2015). Selective inhibition and naming performance in semantic blocking, picture-word interference, and color-word stroop tasks. Journal of Experimental Psychology: Learning, Memory, and Cognition, 41, 1806-1820. doi:10.1037/a0039363.

    Abstract

    In two studies, we examined whether explicit distractors are necessary and sufficient toevoke selective inhibition in three naming tasks: the semantic blocking, picture-word interference, and color-word Stroop task. Delta plots were used to quantify the size of the interference effects as a function of reaction time (RT). Selective inhibition was operationalized as the decrease in the size of the interference effect as a function of naming RT. For all naming tasks, mean naming RTs were significantly longer in the interference condition than in a control condition. The slopes of the interference effects for the longest naming RTs correlated with the magnitude of the mean interference effect in both the semantic blocking task and the picture-word interference task, suggesting that selective inhibition was involved to reduce the interference from strong semantic competitors either invoked by a single explicit competitor or strong implicit competitors in picture naming. However, there was no correlation between the slopes and the mean interference effect in the Stroop task, suggesting less importance of selective inhibition in this task despite explicit distractors. Whereas the results of the semantic blocking task suggest that an explicit distractor is not necessary for triggering inhibition, the results of the Stroop task suggest that such a distractor is not sufficient for evoking inhibition either.
  • Sicoli, M. A., Stivers, T., Enfield, N. J., & Levinson, S. C. (2015). Marked initial pitch in questions signals marked communicative function. Language and Speech, 58(2), 204-223. doi:10.1177/0023830914529247.

    Abstract

    In conversation, the initial pitch of an utterance can provide an early phonetic cue of the communicative function, the speech act, or the social action being implemented. We conducted quantitative acoustic measurements and statistical analyses of pitch in over 10,000 utterances, including 2512 questions, their responses, and about 5000 other utterances by 180 total speakers from a corpus of 70 natural conversations in 10 languages. We measured pitch at first prominence in a speaker’s utterance and discriminated utterances by language, speaker, gender, question form, and what social action is achieved by the speaker’s turn. Through applying multivariate logistic regression we found that initial pitch that significantly deviated from the speaker’s median pitch level was predictive of the social action of the question. In questions designed to solicit agreement with an evaluation rather than information, pitch was divergent from a speaker’s median predictably in the top 10% of a speakers range. This latter finding reveals a kind of iconicity in the relationship between prosody and social action in which a marked pitch correlates with a marked social action. Thus, we argue that speakers rely on pitch to provide an early signal for recipients that the question is not to be interpreted through its literal semantics but rather through an inference.
  • Simanova, I., Van Gerven, M. A., Oostenveld, R., & Hagoort, P. (2015). Predicting the semantic category of internally generated words from neuromagnetic recordings. Journal of Cognitive Neuroscience, 27(1), 35-45. doi:10.1162/jocn_a_00690.

    Abstract

    In this study, we explore the possibility to predict the semantic category of words from brain signals in a free word generation task. Participants produced single words from different semantic categories in a modified semantic fluency task. A Bayesian logistic regression classifier was trained to predict the semantic category of words from single-trial MEG data. Significant classification accuracies were achieved using sensor-level MEG time series at the time interval of conceptual preparation. Semantic category prediction was also possible using source-reconstructed time series, based on minimum norm estimates of cortical activity. Brain regions that contributed most to classification on the source level were identified. These were the left inferior frontal gyrus, left middle frontal gyrus, and left posterior middle temporal gyrus. Additionally, the temporal dynamics of brain activity underlying the semantic preparation during word generation was explored. These results provide important insights about central aspects of language production
  • Simpson, N. H., Ceroni, F., Reader, R. H., Covill, L. E., Knight, J. C., the SLI Consortium, Hennessy, E. R., Bolton, P. F., Conti-Ramsden, G., O’Hare, A., Baird, G., Fisher, S. E., & Newbury, D. F. (2015). Genome-wide analysis identifies a role for common copy number variants in specific language impairment. European Journal of Human Genetics, 23, 1370-1377. doi:10.1038/ejhg.2014.296.

    Abstract

    An exploratory genome-wide copy number variant (CNV) study was performed in 127 independent cases with specific language impairment (SLI), their first-degree relatives (385 individuals) and 269 population controls. Language-impaired cases showed an increased CNV burden in terms of the average number of events (11.28 vs 10.01, empirical P=0.003), the total length of CNVs (717 vs 513 Kb, empirical P=0.0001), the average CNV size (63.75 vs 51.6 Kb, empirical P=0.0005) and the number of genes spanned (14.29 vs 10.34, empirical P=0.0007) when compared with population controls, suggesting that CNVs may contribute to SLI risk. A similar trend was observed in first-degree relatives regardless of affection status. The increased burden found in our study was not driven by large or de novo events, which have been described as causative in other neurodevelopmental disorders. Nevertheless, de novo CNVs might be important on a case-by-case basis, as indicated by identification of events affecting relevant genes, such as ACTR2 and CSNK1A1, and small events within known micro-deletion/-duplication syndrome regions, such as chr8p23.1. Pathway analysis of the genes present within the CNVs of the independent cases identified significant overrepresentation of acetylcholine binding, cyclic-nucleotide phosphodiesterase activity and MHC proteins as compared with controls. Taken together, our data suggest that the majority of the risk conferred by CNVs in SLI is via common, inherited events within a ‘common disorder–common variant’ model. Therefore the risk conferred by CNVs will depend upon the combination of events inherited (both CNVs and SNPs), the genetic background of the individual and the environmental factors.

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  • Sjerps, M. J., & Reinisch, E. (2015). Divide and conquer: How perceptual contrast sensitivity and perceptual learning cooperate in reducing input variation in speech perception. Journal of Experimental Psychology: Human Perception and Performance, 41(3), 710-722. doi:10.1037/a0039028.

    Abstract

    Listeners have to overcome variability of the speech signal that can arise, for example, because of differences in room acoustics, differences in speakers’ vocal tract properties, or idiosyncrasies in pronunciation. Two mechanisms that are involved in resolving such variation are perceptually contrastive effects that arise from surrounding acoustic context and lexically guided perceptual learning. Although both processes have been studied in great detail, little attention has been paid to how they operate relative to each other in speech perception. The present study set out to address this issue. The carrier parts of exposure stimuli of a classical perceptual learning experiment were spectrally filtered such that the acoustically ambiguous final fricatives sounded relatively more like the lexically intended sound (Experiment 1) or the alternative (Experiment 2). Perceptual learning was found only in the latter case. The findings show that perceptual contrast effects precede lexically guided perceptual learning, at least in terms of temporal order, and potentially in terms of cognitive processing levels as well
  • Sjerps, M. J., & Meyer, A. S. (2015). Variation in dual-task performance reveals late initiation of speech planning in turn-taking. Cognition, 136, 304-324. doi:10.1016/j.cognition.2014.10.008.

    Abstract

    The smooth transitions between turns in natural conversation suggest that speakers often begin to plan their utterances while listening to their interlocutor. The presented study investigates whether this is indeed the case and, if so, when utterance planning begins. Two hypotheses were contrasted: that speakers begin to plan their turn as soon as possible (in our experiments less than a second after the onset of the interlocutor’s turn), or that they do so close to the end of the interlocutor’s turn. Turn-taking was combined with a finger tapping task to measure variations in cognitive load. We assumed that the onset of speech planning in addition to listening would be accompanied by deterioration in tapping performance. Two picture description experiments were conducted. In both experiments there were three conditions: (1) Tapping and Speaking, where participants tapped a complex pattern while taking over turns from a pre-recorded speaker, (2) Tapping and Listening, where participants carried out the tapping task while overhearing two pre-recorded speakers, and (3) Speaking Only, where participants took over turns as in the Tapping and Speaking condition but without tapping. The experiments differed in the amount of tapping training the participants received at the beginning of the session. In Experiment 2, the participants’ eye-movements were recorded in addition to their speech and tapping. Analyses of the participants’ tapping performance and eye movements showed that they initiated the cognitively demanding aspects of speech planning only shortly before the end of the turn of the preceding speaker. We argue that this is a smart planning strategy, which may be the speakers’ default in many everyday situations.
  • Sleegers, K., Bettens, K., De Roeck, A., Van Cauwenberghe, C., Cuyvers, E., Verheijen, J., Struyfs, H., Van Dongen, J., Vermeulen, S., Engelborghs, S., Vandenbulcke, M., Vandenberghe, R., De Deyn, P., Van Broeckhoven, C., & BELNEU consortium (2015). A 22-single nucleotide polymorphism Alzheimer's disease risk score correlates with family history, onset age, and cerebrospinal fluid Aβ42. Alzheimer's & Dementia, 11(12), 1452-1460. doi:10.1016/j.jalz.2015.02.013.

    Abstract

    Introduction The ability to identify individuals at increased genetic risk for Alzheimer's disease (AD) may streamline biomarker and drug trials and aid clinical and personal decision making. Methods We evaluated the discriminative ability of a genetic risk score (GRS) covering 22 published genetic risk loci for AD in 1162 Flanders-Belgian AD patients and 1019 controls and assessed correlations with family history, onset age, and cerebrospinal fluid (CSF) biomarkers (Aβ1-42, T-Tau, P-Tau181P). Results A GRS including all single nucleotide polymorphisms (SNPs) and age-specific APOE ε4 weights reached area under the curve (AUC) 0.70, which increased to AUC 0.78 for patients with familial predisposition. Risk of AD increased with GRS (odds ratio, 2.32 (95% confidence interval 2.08-2.58 per unit; P < 1.0e-15). Onset age and CSF Aβ1-42 decreased with increasing GRS (Ponset-age = 9.0e-11; PAβ = 8.9e-7). Discussion The discriminative ability of this 22-SNP GRS is still limited, but these data illustrate that incorporation of age-specific weights improves discriminative ability. GRS-phenotype correlations highlight the feasibility of identifying individuals at highest susceptibility. © 2015 The Authors.
  • Slonimska, A., Ozyurek, A., & Campisi, E. (2015). Ostensive signals: markers of communicative relevance of gesture during demonstration to adults and children. In G. Ferré, & M. Tutton (Eds.), Proceedings of the 4th GESPIN - Gesture & Speech in Interaction Conference (pp. 217-222). Nantes: Universite of Nantes.

    Abstract

    Speakers adapt their speech and gestures in various ways for their audience. We investigated further whether they use
    ostensive signals (eye gaze, ostensive speech (e.g. like this, this) or a combination of both) in relation to their gestures
    when talking to different addressees, i.e., to another adult or a child in a multimodal demonstration task. While adults used
    more eye gaze towards their gestures with other adults than with children, they were more likely to use combined
    ostensive signals for children than for adults. Thus speakers mark the communicative relevance of their gestures with different types of ostensive signals and by taking different types of addressees into account.

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