Publications

Displaying 401 - 500 of 634
  • Perlman, M., & Salmi, R. (2017). Gorillas may use their laryngeal air sacs for whinny-type vocalizations and male display. Journal of Language Evolution, 2(2), 126-140. doi:10.1093/jole/lzx012.

    Abstract

    Great apes and siamangs—but not humans—possess laryngeal air sacs, suggesting that they were lost over hominin evolution. The absence of air sacs in humans may hold clues to speech evolution, but little is known about their functions in extant apes. We investigated whether gorillas use their air sacs to produce the staccato ‘growling’ of the silverback chest beat display. This hypothesis was formulated after viewing a nature documentary showing a display by a silverback western gorilla (Kingo). As Kingo growls, the video shows distinctive vibrations in his chest and throat under which the air sacs extend. We also investigated whether other similarly staccato vocalizations—the whinny, sex whinny, and copulation grunt—might also involve the air sacs. To examine these hypotheses, we collected an opportunistic sample of video and audio evidence from research records and another documentary of Kingo’s group, and from videos of other gorillas found on YouTube. Analysis shows that the four vocalizations are each emitted in rapid pulses of a similar frequency (8–16 pulses per second), and limited visual evidence indicates that they may all occur with upper torso vibrations. Future research should determine how consistently the vibrations co-occur with the vocalizations, whether they are synchronized, and their precise location and timing. Our findings fit with the hypothesis that apes—especially, but not exclusively males—use their air sacs for vocalizations and displays related to size exaggeration for sex and territory. Thus changes in social structure, mating, and sexual dimorphism might have led to the obsolescence of the air sacs and their loss in hominin evolution.
  • Petersson, K. M., Elfgren, C., & Ingvar, M. (1997). A dynamic role of the medial temporal lobe during retrieval of declarative memory in man. NeuroImage, 6, 1-11.

    Abstract

    Understanding the role of the medial temporal lobe (MTL) in learning and memory is an important problem in cognitive neuroscience. Memory and learning processes that depend on the function of the MTL and related diencephalic structures (e.g., the anterior and mediodorsal thalamic nuclei) are defined as declarative. We have studied the MTL activity as indicated by regional cerebral blood flow with positron emission tomography and statistical parametric mapping during recall of abstract designs in a less practiced memory state as well as in a well-practiced (well-encoded) memory state. The results showed an increased activity of the MTL bilaterally (including parahippocampal gyrus extending into hippocampus proper, as well as anterior lingual and anterior fusiform gyri) during retrieval in the less practiced memory state compared to the well-practiced memory state, indicating a dynamic role of the MTL in retrieval during the learning processes. The results also showed that the activation of the MTL decreases as the subjects learn to draw abstract designs from memory, indicating a changing role of the MTL during recall in the earlier stages of acquisition compared to the well-encoded declarative memory state.
  • Piai, V., Roelofs, A., Jensen, O., Schoffelen, J.-M., & Bonnefond, M. (2014). Distinct patterns of brain activity characterise lexical activation and competition in spoken word production. PLoS One, 9(2): e88674. doi:10.1371/journal.pone.0088674.

    Abstract

    According to a prominent theory of language production, concepts activate multiple associated words in memory, which enter into competition for selection. However, only a few electrophysiological studies have identified brain responses reflecting competition. Here, we report a magnetoencephalography study in which the activation of competing words was manipulated by presenting pictures (e.g., dog) with distractor words. The distractor and picture name were semantically related (cat), unrelated (pin), or identical (dog). Related distractors are stronger competitors to the picture name because they receive additional activation from the picture relative to other distractors. Picture naming times were longer with related than unrelated and identical distractors. Phase-locked and non-phase-locked activity were distinct but temporally related. Phase-locked activity in left temporal cortex, peaking at 400 ms, was larger on unrelated than related and identical trials, suggesting differential activation of alternative words by the picture-word stimuli. Non-phase-locked activity between roughly 350–650 ms (4–10 Hz) in left superior frontal gyrus was larger on related than unrelated and identical trials, suggesting differential resolution of the competition among the alternatives, as reflected in the naming times. These findings characterise distinct patterns of activity associated with lexical activation and competition, supporting the theory that words are selected by competition.
  • Piai, V., Roelofs, A., & Schriefers, H. (2014). Locus of semantic interference in picture naming: Evidence from dual-task performance. Journal of Experimental Psychology: Learning, Memory, and Cognition, 40(1), 147-165. doi:10.1037/a0033745.

    Abstract

    Disagreement exists regarding the functional locus of semantic interference of distractor words in picture naming. This effect is a cornerstone of modern psycholinguistic models of word production, which assume that it arises in lexical response-selection. However, recent evidence from studies of dual-task performance suggests a locus in perceptual or conceptual processing, prior to lexical response-selection. In these studies, participants manually responded to a tone and named a picture while ignoring a written distractor word. The stimulus onset asynchrony (SOA) between tone and picture–word stimulus was manipulated. Semantic interference in naming latencies was present at long tone pre-exposure SOAs, but reduced or absent at short SOAs. Under the prevailing structural or strategic response-selection bottleneck and central capacity sharing models of dual-task performance, the underadditivity of the effects of SOA and stimulus type suggests that semantic interference emerges before lexical response-selection. However, in more recent studies, additive effects of SOA and stimulus type were obtained. Here, we examined the discrepancy in results between these studies in 6 experiments in which we systematically manipulated various dimensions on which these earlier studies differed, including tasks, materials, stimulus types, and SOAs. In all our experiments, additive effects of SOA and stimulus type on naming latencies were obtained. These results strongly suggest that the semantic interference effect arises after perceptual and conceptual processing, during lexical response-selection or later. We discuss several theoretical alternatives with respect to their potential to account for the discrepancy between the present results and other studies showing underadditivity.
  • Piai, V., Roelofs, A., & Maris, E. (2014). Oscillatory brain responses in spoken word production reflect lexical frequency and sentential constraint. Neuropsychologia, 53, 146-156. doi:10.1016/j.neuropsychologia.2013.11.014.

    Abstract

    Two fundamental factors affecting the speed of spoken word production are lexical frequency and sentential constraint, but little is known about their timing and electrophysiological basis. In the present study, we investigated event-related potentials (ERPs) and oscillatory brain responses induced by these factors, using a task in which participants named pictures after reading sentences. Sentence contexts were either constraining or nonconstraining towards the final word, which was presented as a picture. Picture names varied in their frequency of occurrence in the language. Naming latencies and electrophysiological responses were examined as a function of context and lexical frequency. Lexical frequency is an index of our cumulative learning experience with words, so lexical-frequency effects most likely reflect access to memory representations for words. Pictures were named faster with constraining than nonconstraining contexts. Associated with this effect, starting around 400 ms pre-picture presentation, oscillatory power between 8 and 30 Hz was lower for constraining relative to nonconstraining contexts. Furthermore, pictures were named faster with high-frequency than low-frequency names, but only for nonconstraining contexts, suggesting differential ease of memory access as a function of sentential context. Associated with the lexical-frequency effect, starting around 500 ms pre-picture presentation, oscillatory power between 4 and 10 Hz was higher for high-frequency than for low-frequency names, but only for constraining contexts. Our results characterise electrophysiological responses associated with lexical frequency and sentential constraint in spoken word production, and point to new avenues for studying these fundamental factors in language production.
  • Pine, J. M., Lieven, E. V., & Rowland, C. F. (1997). Stylistic variation at the “single-word” stage: Relations between maternal speech characteristics and children's vocabulary composition and usage. Child Development, 68(5), 807-819. doi:10.1111/j.1467-8624.1997.tb01963.x.

    Abstract

    In this study we test a number of different claims about the nature of stylistic variation at the “single-word” stage by examining the relation between variation in early vocabulary composition, variation in early language use, and variation in the structural and functional propreties of mothers' child-directed speech. Maternal-report and observational data were collected for 26 children at 10, 50, and 100 words, These were then correlated with a variety of different measures of maternal speech at 10 words, The results show substantial variation in the percentage of common nouns and unanalyzed phrases in children's vocabularies, and singficant relations between this variation and the way in which language is used by the child. They also reveal singficant relations between the way in whch mothers use language at 10 words and the way in chich their children use language at 50 words and between certain formal properties of mothers speech at 10 words and the percentage of common nouns and unanalyzed phrases in children's early vocabularies, However, most of these relations desappear when an attempt is made to control for ossible effects of the child on the mother at Time 1. The exception is a singficant negative correlation between mothers tendency to produce speech that illustrates word boundaries and the percentage of unanalyzed phrases at 50 and 100 words. This suggests that mothers whose sprech provides the child with information about where new words begin and end tend to have children with few unanalyzed. phrases in their early vocabularies.
  • Pinget, A.-F., Bosker, H. R., Quené, H., & de Jong, N. H. (2014). Native speakers' perceptions of fluency and accent in L2 speech. Language Testing, 31, 349-365. doi:10.1177/0265532214526177.

    Abstract

    Oral fluency and foreign accent distinguish L2 from L1 speech production. In language testing practices, both fluency and accent are usually assessed by raters. This study investigates what exactly native raters of fluency and accent take into account when judging L2. Our aim is to explore the relationship between objectively measured temporal, segmental and suprasegmental properties of speech on the one hand, and fluency and accent as rated by native raters on the other hand. For 90 speech fragments from Turkish and English L2 learners of Dutch, several acoustic measures of fluency and accent were calculated. In Experiment 1, 20 native speakers of Dutch rated the L2 Dutch samples on fluency. In Experiment 2, 20 different untrained native speakers of Dutch judged the L2 Dutch samples on accentedness. Regression analyses revealed that acoustic measures of fluency were good predictors of fluency ratings. Secondly, segmental and suprasegmental measures of accent could predict some variance of accent ratings. Thirdly, perceived fluency and perceived accent were only weakly related. In conclusion, this study shows that fluency and perceived foreign accent can be judged as separate constructs.
  • Pippucci, T., Magi, A., Gialluisi, A., & Romeo, G. (2014). Detection of runs of homozygosity from whole exome sequencing data: State of the art and perspectives for clinical, population and epidemiological studies. Human Heredity, 77, 63-72. doi:10.1159/000362412.

    Abstract

    Runs of homozygosity (ROH) are sizeable stretches of homozygous genotypes at consecutive polymorphic DNA marker positions, traditionally captured by means of genome-wide single nucleotide polymorphism (SNP) genotyping. With the advent of next-generation sequencing (NGS) technologies, a number of methods initially devised for the analysis of SNP array data (those based on sliding-window algorithms such as PLINK or GERMLINE and graphical tools like HomozygosityMapper) or specifically conceived for NGS data have been adopted for the detection of ROH from whole exome sequencing (WES) data. In the latter group, algorithms for both graphical representation (AgileVariantMapper, HomSI) and computational detection (H3M2) of WES-derived ROH have been proposed. Here we examine these different approaches and discuss available strategies to implement ROH detection in WES analysis. Among sliding-window algorithms, PLINK appears to be well-suited for the detection of ROH, especially of the long ones. As a method specifically tailored for WES data, H3M2 outperforms existing algorithms especially on short and medium ROH. We conclude that, notwithstanding the irregular distribution of exons, WES data can be used with some approximation for unbiased genome-wide analysis of ROH features, with promising applications to homozygosity mapping of disease genes, comparative analysis of populations and epidemiological studies based on consanguinity
  • Poellmann, K., Bosker, H. R., McQueen, J. M., & Mitterer, H. (2014). Perceptual adaptation to segmental and syllabic reductions in continuous spoken Dutch. Journal of Phonetics, 46, 101-127. doi:10.1016/j.wocn.2014.06.004.

    Abstract

    This study investigates if and how listeners adapt to reductions in casual continuous speech. In a perceptual-learning variant of the visual-world paradigm, two groups of Dutch participants were exposed to either segmental (/b/ → [ʋ]) or syllabic (ver- → [fː]) reductions in spoken Dutch sentences. In the test phase, both groups heard both kinds of reductions, but now applied to different words. In one of two experiments, the segmental reduction exposure group was better than the syllabic reduction exposure group in recognizing new reduced /b/-words. In both experiments, the syllabic reduction group showed a greater target preference for new reduced ver-words. Learning about reductions was thus applied to previously unheard words. This lexical generalization suggests that mechanisms compensating for segmental and syllabic reductions take place at a prelexical level, and hence that lexical access involves an abstractionist mode of processing. Existing abstractionist models need to be revised, however, as they do not include representations of sequences of segments (corresponding e.g. to ver-) at the prelexical level.
  • Poellmann, K., Mitterer, H., & McQueen, J. M. (2014). Use what you can: Storage, abstraction processes and perceptual adjustments help listeners recognize reduced forms. Frontiers in Psychology, 5: 437. doi:10.3389/fpsyg.2014.00437.

    Abstract

    Three eye-tracking experiments tested whether native listeners recognized reduced Dutch words better after having heard the same reduced words, or different reduced words of the same reduction type and whether familiarization with one reduction type helps listeners to deal with another reduction type. In the exposure phase, a segmental reduction group was exposed to /b/-reductions (e.g., "minderij" instead of "binderij", 'book binder') and a syllabic reduction group was exposed to full-vowel deletions (e.g., "p'raat" instead of "paraat", 'ready'), while a control group did not hear any reductions. In the test phase, all three groups heard the same speaker producing reduced-/b/ and deleted-vowel words that were either repeated (Experiments 1 & 2) or new (Experiment 3), but that now appeared as targets in semantically neutral sentences. Word-specific learning effects were found for vowel-deletions but not for /b/-reductions. Generalization of learning to new words of the same reduction type occurred only if the exposure words showed a phonologically consistent reduction pattern (/b/-reductions). In contrast, generalization of learning to words of another reduction type occurred only if the exposure words showed a phonologically inconsistent reduction pattern (the vowel deletions; learning about them generalized to recognition of the /b/-reductions). In order to deal with reductions, listeners thus use various means. They store reduced variants (e.g., for the inconsistent vowel-deleted words) and they abstract over incoming information to build up and apply mapping rules (e.g., for the consistent /b/-reductions). Experience with inconsistent pronunciations leads to greater perceptual flexibility in dealing with other forms of reduction uttered by the same speaker than experience with consistent pronunciations.
  • Poletiek, F. H. (1997). De wet 'bijzondere opnemingen in psychiatrische ziekenhuizen' aan de cijfers getoetst. Maandblad voor Geestelijke Volksgezondheid, 4, 349-361.
  • Poletiek, F. H. (in preparation). Inside the juror: The psychology of juror decision-making [Bespreking van De geest van de jury (1997)].
  • Poort, E. D., & Rodd, J. M. (2017). The cognate facilitation effect in bilingual lexical decision is influenced by stimulus list composition. Acta Psychologica, 180, 52-63. doi:10.1016/j.actpsy.2017.08.008.

    Abstract

    Cognates share their form and meaning across languages: “winter” in English means the same as “winter” in Dutch. Research has shown that bilinguals process cognates more quickly than words that exist in one language only (e.g. “ant” in English). This finding is taken as strong evidence for the claim that bilinguals have one integrated lexicon and that lexical access is language non-selective. Two English lexical decision experiments with Dutch–English bilinguals investigated whether the cognate facilitation effect is influenced by stimulus list composition. In Experiment 1, the ‘standard’ version, which included only cognates, English control words and regular non-words, showed significant cognate facilitation (31 ms). In contrast, the ‘mixed’ version, which also included interlingual homographs, pseudohomophones (instead of regular non-words) and Dutch-only words, showed a significantly different profile: a non-significant disadvantage for the cognates (8 ms). Experiment 2 examined the specific impact of these three additional stimuli types and found that only the inclusion of Dutch words significantly reduced the cognate facilitation effect. Additional exploratory analyses revealed that, when the preceding trial was a Dutch word, cognates were recognised up to 50 ms more slowly than English controls. We suggest that when participants must respond ‘no’ to non-target language words, competition arises between the ‘yes’- and ‘no’-responses associated with the two interpretations of a cognate, which (partially) cancels out the facilitation that is a result of the cognate's shared form and meaning. We conclude that the cognate facilitation effect is a real effect that originates in the lexicon, but that cognates can be subject to competition effects outside the lexicon.

    Additional information

    supplementary materials
  • St Pourcain, B., Cents, R. A., Whitehouse, A. J., Haworth, C. M., Davis, O. S., O’Reilly, P. F., Roulstone, S., Wren, Y., Ang, Q. W., Velders, F. P., Evans, D. M., Kemp, J. P., Warrington, N. M., Miller, L., Timpson, N. J., Ring, S. M., Verhulst, F. C., Hofman, A., Rivadeneira, F., Meaburn, E. L. and 12 moreSt Pourcain, B., Cents, R. A., Whitehouse, A. J., Haworth, C. M., Davis, O. S., O’Reilly, P. F., Roulstone, S., Wren, Y., Ang, Q. W., Velders, F. P., Evans, D. M., Kemp, J. P., Warrington, N. M., Miller, L., Timpson, N. J., Ring, S. M., Verhulst, F. C., Hofman, A., Rivadeneira, F., Meaburn, E. L., Price, T. S., Dale, P. S., Pillas, D., Yliherva, A., Rodriguez, A., Golding, J., Jaddoe, V. W., Jarvelin, M.-R., Plomin, R., Pennell, C. E., Tiemeier, H., & Davey Smith, G. (2014). Common variation near ROBO2 is associated with expressive vocabulary in infancy. Nature Communications, 5: 4831. doi:10.1038/ncomms5831.
  • St Pourcain, B., Skuse, D. H., Mandy, W. P., Wang, K., Hakonarson, H., Timpson, N. J., Evans, D. M., Kemp, J. P., Ring, S. M., McArdle, W. L., Golding, J., & Smith, G. D. (2014). Variability in the common genetic architecture of social-communication spectrum phenotypes during childhood and adolescence. Molecular Autism, 5: 18. doi:10.1186/2040-2392-5-18.

    Abstract

    Background Social-communication abilities are heritable traits, and their impairments overlap with the autism continuum. To characterise the genetic architecture of social-communication difficulties developmentally and identify genetic links with the autistic dimension, we conducted a genome-wide screen of social-communication problems at multiple time-points during childhood and adolescence. Methods Social-communication difficulties were ascertained at ages 8, 11, 14 and 17 years in a UK population-based birth cohort (Avon Longitudinal Study of Parents and Children; N ≤ 5,628) using mother-reported Social Communication Disorder Checklist scores. Genome-wide Complex Trait Analysis (GCTA) was conducted for all phenotypes. The time-points with the highest GCTA heritability were subsequently analysed for single SNP association genome-wide. Type I error in the presence of measurement relatedness and the likelihood of observing SNP signals near known autism susceptibility loci (co-location) were assessed via large-scale, genome-wide permutations. Association signals (P ≤ 10−5) were also followed up in Autism Genetic Resource Exchange pedigrees (N = 793) and the Autism Case Control cohort (Ncases/Ncontrols = 1,204/6,491). Results GCTA heritability was strongest in childhood (h2(8 years) = 0.24) and especially in later adolescence (h2(17 years) = 0.45), with a marked drop during early to middle adolescence (h2(11 years) = 0.16 and h2(14 years) = 0.08). Genome-wide screens at ages 8 and 17 years identified for the latter time-point evidence for association at 3p22.2 near SCN11A (rs4453791, P = 9.3 × 10−9; genome-wide empirical P = 0.011) and suggestive evidence at 20p12.3 at PLCB1 (rs3761168, P = 7.9 × 10−8; genome-wide empirical P = 0.085). None of these signals contributed to risk for autism. However, the co-location of population-based signals and autism susceptibility loci harbouring rare mutations, such as PLCB1, is unlikely to be due to chance (genome-wide empirical Pco-location = 0.007). Conclusions Our findings suggest that measurable common genetic effects for social-communication difficulties vary developmentally and that these changes may affect detectable overlaps with the autism spectrum.

    Additional information

    13229_2013_113_MOESM1_ESM.docx
  • Pouw, W., Van Gog, T., & Paas, F. (2014). An embedded and embodied cognition review of instructional manipulatives. Educational Psychology Review, 26, 51-72. doi:10.1007/s10648-014-9255-5.

    Abstract

    Recent literature on learning with instructional manipulatives seems to call for a moderate view on the effects of perceptual and interactive richness of instructional manipulatives on learning. This “moderate view” holds that manipulatives’ perceptual and interactive richness may compromise learning in two ways: (1) by imposing a very high cognitive load on the learner, and (2) by hindering drawing of symbolic inferences that are supposed to play a key role in transfer (i.e., application of knowledge to new situations in the absence of instructional manipulatives). This paper presents a contrasting view. Drawing on recent insights from Embedded Embodied perspectives on cognition, it is argued that (1) perceptual and interactive richness may provide opportunities for alleviating cognitive load (Embedded Cognition), and (2) transfer of learning is not reliant on decontextualized knowledge but may draw on previous sensorimotor experiences of the kind afforded by perceptual and interactive richness of manipulatives (Embodied Cognition). By negotiating the Embedded Embodied Cognition view with the moderate view, implications for research are derived.
  • Pouw, W., van Gog, T., Zwaan, R. A., & Paas, F. (2017). Are gesture and speech mismatches produced by an integrated gesture-speech system? A more dynamically embodied perspective is needed for understanding gesture-related learning. Behavioral and Brain Sciences, 40: e68. doi:10.1017/S0140525X15003039.

    Abstract

    We observe a tension in the target article as it stresses an integrated gesture-speech system that can nevertheless consist of contradictory representational states, which are reflected by mismatches in gesture and speech or sign. Beyond problems of coherence, this prevents furthering our understanding of gesture-related learning. As a possible antidote, we invite a more dynamically embodied perspective to the stage.
  • Pouw, W., De Nooijer, J. A., Van Gog, T., Zwaan, R. A., & Paas, F. (2014). Toward a more embedded/extended perspective on the cognitive function of gestures. Frontiers in Psychology, 5: 359. doi:10.3389/fpsyg.2014.00359.

    Abstract

    Gestures are often considered to be demonstrative of the embodied nature of the mind (Hostetter and Alibali, 2008). In this article, we review current theories and research targeted at the intra-cognitive role of gestures. We ask the question how can gestures support internal cognitive processes of the gesturer? We suggest that extant theories are in a sense disembodied, because they focus solely on embodiment in terms of the sensorimotor neural precursors of gestures. As a result, current theories on the intra-cognitive role of gestures are lacking in explanatory scope to address how gestures-as-bodily-acts fulfill a cognitive function. On the basis of recent theoretical appeals that focus on the possibly embedded/extended cognitive role of gestures (Clark, 2013), we suggest that gestures are external physical tools of the cognitive system that replace and support otherwise solely internal cognitive processes. That is gestures provide the cognitive system with a stable external physical and visual presence that can provide means to think with. We show that there is a considerable amount of overlap between the way the human cognitive system has been found to use its environment, and how gestures are used during cognitive processes. Lastly, we provide several suggestions of how to investigate the embedded/extended perspective of the cognitive function of gestures.
  • Praamstra, P., Meyer, A. S., & Levelt, W. J. M. (1994). Neurophysiological manifestations of auditory phonological processing: Latency variation of a negative ERP component timelocked to phonological mismatch. Journal of Cognitive Neuroscience, 6(3), 204-219. doi:10.1162/jocn.1994.6.3.204.

    Abstract

    Two experiments examined phonological priming effects on reaction times, error rates, and event-related brain potential (ERP) measures in an auditory lexical decision task. In Experiment 1 related prime-target pairs rhymed, and in Experiment 2 they alliterated (i.e., shared the consonantal onset and vowel). Event-related potentials were recorded in a delayed response task. Reaction times and error rates were obtained both for the delayed and an immediate response task. The behavioral data of Experiment 1 provided evidence for phonological facilitation of word, but not of nonword decisions. The brain potentials were more negative to unrelated than to rhyming word-word pairs between 450 and 700 msec after target onset. This negative enhancement was not present for word-nonword pairs. Thus, the ERP results match the behavioral data. The behavioral data of Experiment 2 provided no evidence for phonological Facilitation. However, between 250 and 450 msec after target onset, i.e., considerably earlier than in Experiment 1, brain potentials were more negative for unrelated than for alliterating word and word-nonword pairs. It is argued that the ERP effects in the two experiments could be modulations of the same underlying component, possibly the N400. The difference in the timing of the effects is likely to be due to the fact that the shared segments in related stimulus pairs appeared in different word positions in the two experiments.
  • Presciuttini, S., Gialluisi, A., Barbuti, S., Curcio, M., Scatena, F., Carli, G., & Santarcangelo, E. L. (2014). Hypnotizability and Catechol-O-Methyltransferase (COMT) polymorphysms in Italians. Frontiers in Human Neuroscience, 7: 929. doi:10.3389/fnhum.2013.00929.

    Abstract

    Higher brain dopamine content depending on lower activity of Catechol-O-Methyltransferase (COMT) in subjects with high hypnotizability scores (highs) has been considered responsible for their attentional characteristics. However, the results of the previous genetic studies on association between hypnotizability and the COMT single nucleotide polymorphism (SNP) rs4680 (Val158Met) were inconsistent. Here, we used a selective genotyping approach to re-evaluate the association between hypnotizability and COMT in the context of a two-SNP haplotype analysis, considering not only the Val158Met polymorphism, but also the closely located rs4818 SNP. An Italian sample of 53 highs, 49 low hypnotizable subjects (lows), and 57 controls, were genotyped for a segment of 805 bp of the COMT gene, including Val158Met and the closely located rs4818 SNP. Our selective genotyping approach had 97.1% power to detect the previously reported strongest association at the significance level of 5%. We found no evidence of association at the SNP, haplotype, and diplotype levels. Thus, our results challenge the dopamine-based theory of hypnosis and indirectly support recent neuropsychological and neurophysiological findings reporting the lack of any association between hypnotizability and focused attention abilities.
  • Rahmany, R., Marefat, H., & Kidd, E. (2014). Resumptive elements aid comprehension of object relative clauses: evidence from Persian. Journal of Child Language, 41(4), 937-48. doi:10.1017/s0305000913000147.
  • Ravignani, A., & Thompson, B. (2017). A note on ‘Noam Chomsky – What kind of creatures are we? Language in Society, 46(3), 446-447. doi:10.1017/S0047404517000288.
  • Ravignani, A., Honing, H., & Kotz, S. A. (2017). Editorial: The evolution of rhythm cognition: Timing in music and speech. Frontiers in Human Neuroscience, 11: 303. doi:10.3389/fnhum.2017.00303.

    Abstract

    This editorial serves a number of purposes. First, it aims at summarizing and discussing 33 accepted contributions to the special issue “The evolution of rhythm cognition: Timing in music and speech.” The major focus of the issue is the cognitive neuroscience of rhythm, intended as a neurobehavioral trait undergoing an evolutionary process. Second, this editorial provides the interested reader with a guide to navigate the interdisciplinary contributions to this special issue. For this purpose, we have compiled Table 1, where methods, topics, and study species are summarized and related across contributions. Third, we also briefly highlight research relevant to the evolution of rhythm that has appeared in other journals while this special issue was compiled. Altogether, this editorial constitutes a summary of rhythm research in music and speech spanning two years, from mid-2015 until mid-2017
  • Ravignani, A., & Sonnweber, R. (2017). Chimpanzees process structural isomorphisms across sensory modalities. Cognition, 161, 74-79. doi:10.1016/j.cognition.2017.01.005.
  • Ravignani, A., Bowling, D. L., & Fitch, W. T. (2014). Chorusing, synchrony, and the evolutionary functions of rhythm. Frontiers in Psychology, 5: 1118. doi:10.3389/fpsyg.2014.01118.

    Abstract

    A central goal of biomusicology is to understand the biological basis of human musicality. One approach to this problem has been to compare core components of human musicality (relative pitch perception, entrainment, etc.) with similar capacities in other animal species. Here we extend and clarify this comparative approach with respect to rhythm. First, whereas most comparisons between human music and animal acoustic behavior have focused on spectral properties (melody and harmony), we argue for the central importance of temporal properties, and propose that this domain is ripe for further comparative research. Second, whereas most rhythm research in non-human animals has examined animal timing in isolation, we consider how chorusing dynamics can shape individual timing, as in human music and dance, arguing that group behavior is key to understanding the adaptive functions of rhythm. To illustrate the interdependence between individual and chorusing dynamics, we present a computational model of chorusing agents relating individual call timing with synchronous group behavior. Third, we distinguish and clarify mechanistic and functional explanations of rhythmic phenomena, often conflated in the literature, arguing that this distinction is key for understanding the evolution of musicality. Fourth, we expand biomusicological discussions beyond the species typically considered, providing an overview of chorusing and rhythmic behavior across a broad range of taxa (orthopterans, fireflies, frogs, birds, and primates). Finally, we propose an “Evolving Signal Timing” hypothesis, suggesting that similarities between timing abilities in biological species will be based on comparable chorusing behaviors. We conclude that the comparative study of chorusing species can provide important insights into the adaptive function(s) of rhythmic behavior in our “proto-musical” primate ancestors, and thus inform our understanding of the biology and evolution of rhythm in human music and language.
  • Ravignani, A. (2014). Chronometry for the chorusing herd: Hamilton's legacy on context-dependent acoustic signalling—a comment on Herbers (2013). Biology Letters, 10(1): 20131018. doi:10.1098/rsbl.2013.1018.
  • Ravignani, A., Gross, S., Garcia, M., Rubio-Garcia, A., & De Boer, B. (2017). How small could a pup sound? The physical bases of signaling body size in harbor seals. Current Zoology, 63(4), 457-465. doi:10.1093/cz/zox026.

    Abstract

    Vocal communication is a crucial aspect of animal behavior. The mechanism which most mammals use to vocalize relies on three anatomical components. First, air overpressure is generated inside the lower vocal tract. Second, as the airstream goes through the glottis, sound is produced via vocal fold vibration. Third, this sound is further filtered by the geometry and length of the upper vocal tract. Evidence from mammalian anatomy and bioacoustics suggests that some of these three components may covary with an animal’s body size. The framework provided by acoustic allometry suggests that, because vocal tract length (VTL) is more strongly constrained by the growth of the body than vocal fold length (VFL), VTL generates more reliable acoustic cues to an animal’s size. This hypothesis is often tested acoustically but rarely anatomically, especially in pinnipeds. Here, we test the anatomical bases of the acoustic allometry hypothesis in harbor seal pups Phoca vitulina. We dissected and measured vocal tract, vocal folds, and other anatomical features of 15 harbor seals post-mortem. We found that, while VTL correlates with body size, VFL does not. This suggests that, while body growth puts anatomical constraints on how vocalizations are filtered by harbor seals’ vocal tract, no such constraints appear to exist on vocal folds, at least during puppyhood. It is particularly interesting to find anatomical constraints on harbor seals’ vocal tracts, the same anatomical region partially enabling pups to produce individually distinctive vocalizations.
  • Ravignani, A., & Norton, P. (2017). Measuring rhythmic complexity: A primer to quantify and compare temporal structure in speech, movement, and animal vocalizations. Journal of Language Evolution, 2(1), 4-19. doi:10.1093/jole/lzx002.

    Abstract

    Research on the evolution of human speech and phonology benefits from the comparative approach: structural, spectral, and temporal features can be extracted and compared across species in an attempt to reconstruct the evolutionary history of human speech. Here we focus on analytical tools to measure and compare temporal structure in human speech and animal vocalizations. We introduce the reader to a range of statistical methods usable, on the one hand, to quantify rhythmic complexity in single vocalizations, and on the other hand, to compare rhythmic structure between multiple vocalizations. These methods include: time series analysis, distributional measures, variability metrics, Fourier transform, auto- and cross-correlation, phase portraits, and circular statistics. Using computer-generated data, we apply a range of techniques, walking the reader through the necessary software and its functions. We describe which techniques are most appropriate to test particular hypotheses on rhythmic structure, and provide possible interpretations of the tests. These techniques can be equally well applied to find rhythmic structure in gesture, movement, and any other behavior developing over time, when the research focus lies on its temporal structure. This introduction to quantitative techniques for rhythm and timing analysis will hopefully spur additional comparative research, and will produce comparable results across all disciplines working on the evolution of speech, ultimately advancing the field.

    Additional information

    lzx002_Supp.docx
  • Ravignani, A. (2017). Interdisciplinary debate: Agree on definitions of synchrony [Correspondence]. Nature, 545, 158. doi:10.1038/545158c.
  • Ravignani, A., & Madison, G. (2017). The paradox of isochrony in the evolution of human rhythm. Frontiers in Psychology, 8: 1820. doi:10.3389/fpsyg.2017.01820.

    Abstract

    Isochrony is crucial to the rhythm of human music. Some neural, behavioral and anatomical traits underlying rhythm perception and production are shared with a broad range of species. These may either have a common evolutionary origin, or have evolved into similar traits under different evolutionary pressures. Other traits underlying rhythm are rare across species, only found in humans and few other animals. Isochrony, or stable periodicity, is common to most human music, but isochronous behaviors are also found in many species. It appears paradoxical that humans are particularly good at producing and perceiving isochronous patterns, although this ability does not conceivably confer any evolutionary advantage to modern humans. This article will attempt to solve this conundrum. To this end, we define the concept of isochrony from the present functional perspective of physiology, cognitive neuroscience, signal processing, and interactive behavior, and review available evidence on isochrony in the signals of humans and other animals. We then attempt to resolve the paradox of isochrony by expanding an evolutionary hypothesis about the function that isochronous behavior may have had in early hominids. Finally, we propose avenues for empirical research to examine this hypothesis and to understand the evolutionary origin of isochrony in general.
  • Ravignani, A. (2017). Visualizing and interpreting rhythmic patterns using phase space plots. Music Perception, 34(5), 557-568. doi:10.1525/MP.2017.34.5.557.

    Abstract

    STRUCTURE IN MUSICAL RHYTHM CAN BE MEASURED using a number of analytical techniques. While some techniques—like circular statistics or grammar induction—rely on strong top-down assumptions, assumption-free techniques can only provide limited insights on higher-order rhythmic structure. I suggest that research in music perception and performance can benefit from systematically adopting phase space plots, a visualization technique originally developed in mathematical physics that overcomes the aforementioned limitations. By jointly plotting adjacent interonset intervals (IOI), the motivic rhythmic structure of musical phrases, if present, is visualized geometrically without making any a priori assumptions concerning isochrony, beat induction, or metrical hierarchies. I provide visual examples and describe how particular features of rhythmic patterns correspond to geometrical shapes in phase space plots. I argue that research on music perception and systematic musicology stands to benefit from this descriptive tool, particularly in comparative analyses of rhythm production. Phase space plots can be employed as an initial assumption-free diagnostic to find higher order structures (i.e., beyond distributional regularities) before proceeding to more specific, theory-driven analyses.
  • Ravignani, A., Martins, M., & Fitch, W. T. (2014). Vocal learning, prosody, and basal ganglia: Don't underestimate their complexity. Behavioral and Brain Sciences, 37(6), 570-571. doi:10.1017/S0140525X13004184.

    Abstract

    In response to: Brain mechanisms of acoustic communication in humans and nonhuman primates: An evolutionary perspective

    Abstract:
    Ackermann et al.'s arguments in the target article need sharpening and rethinking at both mechanistic and evolutionary levels. First, the authors' evolutionary arguments are inconsistent with recent evidence concerning nonhuman animal rhythmic abilities. Second, prosodic intonation conveys much more complex linguistic information than mere emotional expression. Finally, human adults' basal ganglia have a considerably wider role in speech modulation than Ackermann et al. surmise.
  • Redmann, A., FitzPatrick, I., Hellwig, F. M., & Indefrey, P. (2014). The use of conceptual components in language production: an ERP study. Frontiers in Psychology, 5: 363. doi:10.3389/fpsyg.2014.00363.

    Abstract

    According to frame-theory, concepts can be represented as structured frames that contain conceptual attributes (e.g., "color") and their values (e.g., "red"). A particular color value can be seen as a core conceptual component for (high color-diagnostic; HCD) objects (e.g., bananas) which are strongly associated with a typical color, but less so for (low color-diagnostic; LCD) objects (e.g., bicycles) that exist in many different colors. To investigate whether the availability of a core conceptual component (color) affects lexical access in language production, we conducted two experiments on the naming of visually presented HCD and LCD objects. Experiment 1 showed that, when naming latencies were matched for colored HCD and LCD objects, achromatic HCD objects were named more slowly than achromatic LCD objects. In Experiment 2 we recorded ERPs while participants performed a picture-naming task, in which achromatic target pictures were either preceded by an appropriately colored box (primed condition) or a black and white checkerboard (unprimed condition). We focused on the P2 component, which has been shown to reflect difficulty of lexical access in language production. Results showed that HCD resulted in slower object-naming and a more pronounced P2. Priming also yielded a more positive P2 but did not result in an RT difference. ERP waveforms on the P1, P2 and N300 components showed a priming by color-diagnosticity interaction, the effect of color priming being stronger for HCD objects than for LCD objects. The effect of color-diagnosticity on the P2 component suggests that the slower naming of achromatic HCD objects is (at least in part) due to more difficult lexical retrieval. Hence, the color attribute seems to affect lexical retrieval in HCD words. The interaction between priming and color-diagnosticity indicates that priming with a feature hinders lexical access, especially if the feature is a core feature of the target object.
  • Reifegerste, J., Meyer, A. S., & Zwitserlood, P. (2017). Inflectional complexity and experience affect plural processing in younger and older readers of Dutch and German. Language, Cognition and Neuroscience, 32(4), 471-487. doi:10.1080/23273798.2016.1247213.

    Abstract

    According to dual-route models of morphological processing, regular inflected words can be retrieved as whole-word forms or decomposed into morphemes. Baayen, Dijkstra, and Schreuder [(1997). Singulars and plurals in Dutch: Evidence for a parallel dual-route model. Journal of AQ2 Memory and Language, 37, 94–117. doi:10.1006/jmla.1997.2509] proposed a ¶ dual-route model according to which plurals of singular-dominant words (e.g. “brides”) are decomposed, while plurals of plural-dominant words (e.g. “peas”) are accessed as whole-word units. We report two lexical-decision experiments investigating how plural processing is influenced by participants’ age (a proxy for experience with word forms) and morphological complexity of the language (German versus Dutch). For both Dutch participant groups and older German participants, we replicated the interaction between number and dominance reported by Baayen and colleagues. Younger German participants showed a main effect of number, indicating access of all plurals via decomposition. Access to stored forms seems to depend on morphological richness and experience with word forms. The data pattern fits neither full-decomposition nor full-storage models, but is compatible with dual-route models

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  • Roberts, S. G., & Levinson, S. C. (2017). Conversation, cognition and cultural evolution: A model of the cultural evolution of word order through pressures imposed from turn taking in conversation. Interaction studies, 18(3), 402-429. doi:10.1075/is.18.3.06rob.

    Abstract

    This paper outlines a first attempt to model the special constraints that arise in language processing in conversation, and to explore the implications such functional considerations may have on language typology and language change. In particular, we focus on processing pressures imposed by conversational turn-taking and their consequences for the cultural evolution of the structural properties of language. We present an agent-based model of cultural evolution where agents take turns at talk in conversation. When the start of planning for the next turn is constrained by the position of the verb, the stable distribution of dominant word orders across languages evolves to match the actual distribution reasonably well. We suggest that the interface of cognition and interaction should be a more central part of the story of language evolution.
  • Roberts, S. G., Dediu, D., & Moisik, S. R. (2014). How to speak Neanderthal. New Scientist, 222(2969), 40-41. doi:10.1016/S0262-4079(14)60970-2.
  • Rodenas-Cuadrado, P., Ho, J., & Vernes, S. C. (2014). Shining a light on CNTNAP2: Complex functions to complex disorders. European Journal of Human Genetics, 22(2), 171-178. doi:10.1038/ejhg.2013.100.

    Abstract

    The genetic basis of complex neurological disorders involving language are poorly understood, partly due to the multiple additive genetic risk factors that are thought to be responsible. Furthermore, these conditions are often syndromic in that they have a range of endophenotypes that may be associated with the disorder and that may be present in different combinations in patients. However, the emergence of individual genes implicated across multiple disorders has suggested that they might share similar underlying genetic mechanisms. The CNTNAP2 gene is an excellent example of this, as it has recently been implicated in a broad range of phenotypes including autism spectrum disorder (ASD), schizophrenia, intellectual disability, dyslexia and language impairment. This review considers the evidence implicating CNTNAP2 in these conditions, the genetic risk factors and mutations that have been identified in patient and population studies and how these relate to patient phenotypes. The role of CNTNAP2 is examined in the context of larger neurogenetic networks during development and disorder, given what is known regarding the regulation and function of this gene. Understanding the role of CNTNAP2 in diverse neurological disorders will further our understanding of how combinations of individual genetic risk factors can contribute to complex conditions
  • De Roeck, A., Van den Bossche, T., Van der Zee, J., Verheijen, J., De Coster, W., Van Dongen, J., Dillen, L., Baradaran-Heravi, Y., Heeman, B., Sanchez-Valle, R., Lladó, A., Nacmias, B., Sorbi, S., Gelpi, E., Grau-Rivera, O., Gómez-Tortosa, E., Pastor, P., Ortega-Cubero, S., Pastor, M. A., Graff, C. and 25 moreDe Roeck, A., Van den Bossche, T., Van der Zee, J., Verheijen, J., De Coster, W., Van Dongen, J., Dillen, L., Baradaran-Heravi, Y., Heeman, B., Sanchez-Valle, R., Lladó, A., Nacmias, B., Sorbi, S., Gelpi, E., Grau-Rivera, O., Gómez-Tortosa, E., Pastor, P., Ortega-Cubero, S., Pastor, M. A., Graff, C., Thonberg, H., Benussi, L., Ghidoni, R., Binetti, G., de Mendonça, A., Martins, M., Borroni, B., Padovani, A., Almeida, M. R., Santana, I., Diehl-Schmid, J., Alexopoulos, P., Clarimon, J., Lleó, A., Fortea, J., Tsolaki, M., Koutroumani, M., Matěj, R., Rohan, Z., De Deyn, P., Engelborghs, S., Cras, P., Van Broeckhoven, C., Sleegers, K., & European Early-Onset Dementia (EU EOD) consortium (2017). Deleterious ABCA7 mutations and transcript rescue mechanisms in early onset Alzheimer’s disease. Acta Neuropathologica, 134, 475-487. doi:10.1007/s00401-017-1714-x.

    Abstract

    Premature termination codon (PTC) mutations in the ATP-Binding Cassette, Sub-Family A, Member 7 gene (ABCA7) have recently been identified as intermediate-to-high penetrant risk factor for late-onset Alzheimer’s disease (LOAD). High variability, however, is observed in downstream ABCA7 mRNA and protein expression, disease penetrance, and onset age, indicative of unknown modifying factors. Here, we investigated the prevalence and disease penetrance of ABCA7 PTC mutations in a large early onset AD (EOAD)—control cohort, and examined the effect on transcript level with comprehensive third-generation long-read sequencing. We characterized the ABCA7 coding sequence with next-generation sequencing in 928 EOAD patients and 980 matched control individuals. With MetaSKAT rare variant association analysis, we observed a fivefold enrichment (p = 0.0004) of PTC mutations in EOAD patients (3%) versus controls (0.6%). Ten novel PTC mutations were only observed in patients, and PTC mutation carriers in general had an increased familial AD load. In addition, we observed nominal risk reducing trends for three common coding variants. Seven PTC mutations were further analyzed using targeted long-read cDNA sequencing on an Oxford Nanopore MinION platform. PTC-containing transcripts for each investigated PTC mutation were observed at varying proportion (5–41% of the total read count), implying incomplete nonsense-mediated mRNA decay (NMD). Furthermore, we distinguished and phased several previously unknown alternative splicing events (up to 30% of transcripts). In conjunction with PTC mutations, several of these novel ABCA7 isoforms have the potential to rescue deleterious PTC effects. In conclusion, ABCA7 PTC mutations play a substantial role in EOAD, warranting genetic screening of ABCA7 in genetically unexplained patients. Long-read cDNA sequencing revealed both varying degrees of NMD and transcript-modifying events, which may influence ABCA7 dosage, disease severity, and may create opportunities for therapeutic interventions in AD. © 2017, The Author(s).

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  • Roelofs, A., & Shitova, N. (2017). Importance of response time in assessing the cerebral dynamics of spoken word production: Comment on Munding et al. Language, Cognition and Neuroscience, 32(8), 1064-1067. doi:10.1080/23273798.2016.1274415.
  • Roelofs, A. (1997). The WEAVER model of word-form encoding in speech production. Cognition, 64, 249-284. doi:10.1016/S0010-0277(97)00027-9.

    Abstract

    Lexical access in speaking consists of two major steps: lemma retrieval and word-form encoding. In Roelofs (Roelofs, A. 1992a. Cognition 42. 107-142; Roelofs. A. 1993. Cognition 47, 59-87.), I described a model of lemma retrieval. The present paper extends this work by presenting a comprehensive model of the second access step, word-form encoding. The model is called WEAVER (Word-form Encoding by Activation and VERification). Unlike other models of word-form generation, WEAVER is able to provide accounts of response time data, particularly from the picture-word interference paradigm and the implicit priming paradigm. Its key features are (1) retrieval by spreading activation, (2) verification of activated information by a production rule, (3) a rightward incremental construction of phonological representations using a principle of active syllabification, syllables are constructed on the fly rather than stored with lexical items, (4) active competitive selection of syllabic motor programs using a mathematical formalism that generates response times and (5) the association of phonological speech errors with the selection of syllabic motor programs due to the failure of verification.
  • Rojas-Berscia, L. M., & Bourdeau, C. (2017). Optional or syntactic ergativity in Shawi? Distribution and possible origins. Linguistic discovery, 15(1), 50-65. doi:10.1349/PS1.1537-0852.A.481.

    Abstract

    In this article we provide a preliminary description and analysis of the most common ergative
    constructions in Shawi, a Kawapanan language spoken in Northwestern Amazonia. We offer a
    comparison with its sister language, Shiwilu, for which an optional ergativity-marking pattern has
    been claimed (Valenzuela, 2008, 2011). There is not enough evidence, however, to claim the exact
    same for Shawi. Ergativity in the language is driven by mere syntactic motivations. One of the
    most common constituent orders in the language where the ergative marker is obligatory is OAV.
    We close the article with a tentative proposal on the passive origins of OAV ergative constructions
    in the language, via a by-phrase-like incorporation, and eventual grammaticalisation, resorting
    to the formal syntactic theory known as Semantic Syntax (Seuren, 1996).
  • Rojas-Berscia, L. M. (2014). Towards an ontological theory of language: Radical minimalism, memetic linguistics and linguistic engineering, prolegomena. Ianua: Revista Philologica Romanica, 14(2), 69-81.

    Abstract

    In contrast to what has happened in other sciences, the establishment of what is the study object of linguistics as an autonomous discipline has not been resolved yet. Ranging from external explanations of language as a system (Saussure 1916), the existence of a mental innate language capacity or UG (Chomsky 1965, 1981, 1995), the cognitive complexity of the mental language capacity and the acquisition of languages in use (Langacker 1987, 1991, 2008; Croft & Cruse 2004; Evans & Levinson 2009) most, if not all, theoretical approaches have provided explanations that somehow isolated our discipline from developments in other major sciences, such as physics and evolutionary biology. In the present article I will present some of the basic issues regarding the current debate in the discipline, in order to identify some problems regarding the modern assumptions on language. Furthermore, a new proposal on how to approach linguistic phenomena will be given, regarding what I call «the main three» basic problems our discipline has to face ulteriorly. Finally, some preliminary ideas on a new paradigm of Linguistics which tries to answer these three basic problems will be presented, mainly based in the recently-born formal theory called Radical Minimalism (Krivochen 2011a, 2011b) and what I dub Memetic Linguistics and Linguistic Engineering
  • Rommers, J., Dickson, D. S., Norton, J. J. S., Wlotko, E. W., & Federmeier, K. D. (2017). Alpha and theta band dynamics related to sentential constraint and word expectancy. Language, Cognition and Neuroscience, 32(5), 576-589. doi:10.1080/23273798.2016.1183799.

    Abstract

    Despite strong evidence for prediction during language comprehension, the underlying
    mechanisms, and the extent to which they are specific to language, remain unclear. Re-analysing
    an event-related potentials study, we examined responses in the time-frequency domain to
    expected and unexpected (but plausible) words in strongly and weakly constraining sentences,
    and found results similar to those reported in nonverbal domains. Relative to expected words,
    unexpected words elicited an increase in the theta band (4–7 Hz) in strongly constraining
    contexts, suggesting the involvement of control processes to deal with the consequences of
    having a prediction disconfirmed. Prior to critical word onset, strongly constraining sentences
    exhibited a decrease in the alpha band (8–12 Hz) relative to weakly constraining sentences,
    suggesting that comprehenders can take advantage of predictive sentence contexts to prepare
    for the input. The results suggest that the brain recruits domain-general preparation and control
    mechanisms when making and assessing predictions during sentence comprehension
  • Rommers, J., Meyer, A. S., & Praamstra, P. (2017). Lateralized electrical brain activity reveals covert attention allocation during speaking. Neuropsychologia, 95, 101-110. doi:10.1016/j.neuropsychologia.2016.12.013.

    Abstract

    Speakers usually begin to speak while only part of the utterance has been planned. Earlier work has shown that speech planning processes are reflected in speakers’ eye movements as they describe visually presented objects. However, to-be-named objects can be processed to some extent before they have been fixated upon, presumably because attention can be allocated to objects covertly, without moving the eyes. The present study investigated whether EEG could track speakers’ covert attention allocation as they produced short utterances to describe pairs of objects (e.g., “dog and chair”). The processing difficulty of each object was varied by presenting it in upright orientation (easy) or in upside down orientation (difficult). Background squares flickered at different frequencies in order to elicit steady-state visual evoked potentials (SSVEPs). The N2pc component, associated with the focusing of attention on an item, was detectable not only prior to speech onset, but also during speaking. The time course of the N2pc showed that attention shifted to each object in the order of mention prior to speech onset. Furthermore, greater processing difficulty increased the time speakers spent attending to each object. This demonstrates that the N2pc can track covert attention allocation in a naming task. In addition, an effect of processing difficulty at around 200–350 ms after stimulus onset revealed early attention allocation to the second to-be-named object. The flickering backgrounds elicited SSVEPs, but SSVEP amplitude was not influenced by processing difficulty. These results help complete the picture of the coordination of visual information uptake and motor output during speaking.
  • Roorda, D., Kalkman, G., Naaijer, M., & Van Cranenburgh, A. (2014). LAF-Fabric: A data analysis tool for linguistic annotation framework with an application to the Hebrew Bible. Computational linguistics in the Netherlands, 4, 105-120.

    Abstract

    The Linguistic Annotation Framework (LAF) provides a general, extensible stand-o markup system for corpora. This paper discusses LAF-Fabric, a new tool to analyse LAF resources in general with an extension to process the Hebrew Bible in particular. We rst walk through the history of the Hebrew Bible as text database in decennium-wide steps. Then we describe how LAF-Fabric may serve as an analysis tool for this corpus. Finally, we describe three analytic projects/work ows that benet from the new LAF representation: 1) the study of linguistic variation: extract cooccurrence data of common nouns between the books of the Bible (Martijn Naaijer); 2) the study of the grammar of Hebrew poetry in the Psalms: extract clause typology (Gino Kalkman); 3) construction of a parser of classical Hebrew by Data Oriented Parsing: generate tree structures from the database (Andreas van Cranenburgh).
  • Rose, M. L., Mok, Z., & Sekine, K. (2017). Communicative effectiveness of pantomime gesture in people with aphasia. International Journal of Language & Communication disorders, 52(2), 227-237. doi:10.1111/1460-6984.12268.

    Abstract

    Background: Human communication occurs through both verbal and visual/motoric modalities. Simultaneous
    conversational speech and gesture occurs across all cultures and age groups. When verbal communication is
    compromised, more of the communicative load can be transferred to the gesture modality. Although people with
    aphasia produce meaning-laden gestures, the communicative value of these has not been adequately investigated.
    Aims: To investigate the communicative effectiveness of pantomime gesture produced spontaneously by individuals
    with aphasia during conversational discourse.
    Methods & Procedures: Sixty-seven undergraduate students wrote down the messages conveyed by 11 people with
    aphasia that produced pantomime while engaged in conversational discourse. Students were presented with a
    speech-only, a gesture-only and a combined speech and gesture condition and guessed messages in both a free
    description and a multiple-choice task.
    Outcomes & Results: As hypothesized, listener comprehension was more accurate in the combined pantomime
    gesture and speech condition as compared with the gesture- or speech-only conditions. Participants achieved
    greater accuracy in the multiple-choice task as compared with the free-description task, but only in the gestureonly
    condition. The communicative effectiveness of the pantomime gestures increased as the fluency of the
    participants with aphasia decreased.
    Conclusions&Implications: These results indicate that when pantomime gesture was presented with aphasic speech,
    the combination had strong communicative effectiveness. Future studies could investigate how pantomimes can
    be integrated into interventions for people with aphasia, particularly emphasizing elicitation of pantomimes in as
    natural a context as possible and highlighting the opportunity for efficient message repair.
  • Roswandowitz, C., Mathias, S. R., Hintz, F., Kreitewolf, J., Schelinski, S., & von Kriegstein, K. (2014). Two cases of selective developmental voice-recognition impairments. Current Biology, 24(19), 2348-2353. doi:10.1016/j.cub.2014.08.048.

    Abstract

    Recognizing other individuals is an essential skill in humans and in other species [1, 2 and 3]. Over the last decade, it has become increasingly clear that person-identity recognition abilities are highly variable. Roughly 2% of the population has developmental prosopagnosia, a congenital deficit in recognizing others by their faces [4]. It is currently unclear whether developmental phonagnosia, a deficit in recognizing others by their voices [5], is equally prevalent, or even whether it actually exists. Here, we aimed to identify cases of developmental phonagnosia. We collected more than 1,000 data sets from self-selected German individuals by using a web-based screening test that was designed to assess their voice-recognition abilities. We then examined potentially phonagnosic individuals by using a comprehensive laboratory test battery. We found two novel cases of phonagnosia: AS, a 32-year-old female, and SP, a 32-year-old male; both are otherwise healthy academics, have normal hearing, and show no pathological abnormalities in brain structure. The two cases have comparable patterns of impairments: both performed at least 2 SDs below the level of matched controls on tests that required learning new voices, judging the familiarity of famous voices, and discriminating pitch differences between voices. In both cases, only voice-identity processing per se was affected: face recognition, speech intelligibility, emotion recognition, and musical ability were all comparable to controls. The findings confirm the existence of developmental phonagnosia as a modality-specific impairment and allow a first rough prevalence estimate.

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  • Rougier​, N. P., Hinsen, K., Alexandre, F., Arildsen, T., Barba, L. A., Benureau, F. C. Y., Brown, C. T., De Buyl, P., Caglayan, O., Davison, A. P., Delsuc, M.-A., Detorakis, G., Diem, A. K., Drix, D., Enel, P., Girard, B., Guest, O., Hall, M. G., Henriques, R. N., Hinaut, X. and 25 moreRougier​, N. P., Hinsen, K., Alexandre, F., Arildsen, T., Barba, L. A., Benureau, F. C. Y., Brown, C. T., De Buyl, P., Caglayan, O., Davison, A. P., Delsuc, M.-A., Detorakis, G., Diem, A. K., Drix, D., Enel, P., Girard, B., Guest, O., Hall, M. G., Henriques, R. N., Hinaut, X., Jaron, K. S., Khamassi, M., Klein, A., Manninen, T., Marchesi, P., McGlinn, D., Metzner, C., Petchey, O., Plesser, H. E., Poisot, T., Ram, K., Ram, Y., Roesch, E., Rossant, C., Rostami, V., Shifman, A., Stachelek, J., Stimberg, M., Stollmeier, F., Vaggi, F., Viejo, G., Vitay, J., Vostinar, A. E., Yurchak, R., & Zito, T. (2017). Sustainable computational science. PeerJ Computer Science, 3: e142. doi:10.7717/peerj-cs.142.

    Abstract

    Computer science offers a large set of tools for prototyping, writing, running, testing, validating, sharing and reproducing results; however, computational science lags behind. In the best case, authors may provide their source code as a compressed archive and they may feel confident their research is reproducible. But this is not exactly true. James Buckheit and David Donoho proposed more than two decades ago that an article about computational results is advertising, not scholarship. The actual scholarship is the full software environment, code, and data that produced the result. This implies new workflows, in particular in peer-reviews. Existing journals have been slow to adapt: source codes are rarely requested and are hardly ever actually executed to check that they produce the results advertised in the article. ReScience is a peer-reviewed journal that targets computational research and encourages the explicit replication of already published research, promoting new and open-source implementations in order to ensure that the original research can be replicated from its description. To achieve this goal, the whole publishing chain is radically different from other traditional scientific journals. ReScience resides on GitHub where each new implementation of a computational study is made available together with comments, explanations, and software tests.
  • Rowbotham, S., Wardy, A. J., Lloyd, D. M., Wearden, A., & Holler, J. (2014). Increased pain intensity is associated with greater verbal communication difficulty and increased production of speech and co-speech gestures. PLoS One, 9(10): e110779. doi:10.1371/journal.pone.0110779.

    Abstract

    Effective pain communication is essential if adequate treatment and support are to be provided. Pain communication is often multimodal, with sufferers utilising speech, nonverbal behaviours (such as facial expressions), and co-speech gestures (bodily movements, primarily of the hands and arms that accompany speech and can convey semantic information) to communicate their experience. Research suggests that the production of nonverbal pain behaviours is positively associated with pain intensity, but it is not known whether this is also the case for speech and co-speech gestures. The present study explored whether increased pain intensity is associated with greater speech and gesture production during face-to-face communication about acute, experimental pain. Participants (N = 26) were exposed to experimentally elicited pressure pain to the fingernail bed at high and low intensities and took part in video-recorded semi-structured interviews. Despite rating more intense pain as more difficult to communicate (t(25) = 2.21, p = .037), participants produced significantly longer verbal pain descriptions and more co-speech gestures in the high intensity pain condition (Words: t(25) = 3.57, p = .001; Gestures: t(25) = 3.66, p = .001). This suggests that spoken and gestural communication about pain is enhanced when pain is more intense. Thus, in addition to conveying detailed semantic information about pain, speech and co-speech gestures may provide a cue to pain intensity, with implications for the treatment and support received by pain sufferers. Future work should consider whether these findings are applicable within the context of clinical interactions about pain.
  • Rowbotham, S., Holler, J., Lloyd, D., & Wearden, A. (2014). Handling pain: The semantic interplay of speech and co-speech hand gestures in the description of pain sensations. Speech Communication, 57, 244-256. doi:10.1016/j.specom.2013.04.002.

    Abstract

    Pain is a private and subjective experience about which effective communication is vital, particularly in medical settings. Speakers often represent information about pain sensation in both speech and co-speech hand gestures simultaneously, but it is not known whether gestures merely replicate spoken information or complement it in some way. We examined the representational contribution
    of gestures in a range of consecutive analyses. Firstly, we found that 78% of speech units containing pain sensation were accompanied by gestures, with 53% of these gestures representing pain sensation. Secondly, in 43% of these instances, gestures represented pain sensation information that was not contained in speech, contributing additional, complementary information to the pain sensation message.
    Finally, when applying a specificity analysis, we found that in contrast with research in different domains of talk, gestures did not make the pain sensation information in speech more specific. Rather, they complemented the verbal pain message by representing different
    aspects of pain sensation, contributing to a fuller representation of pain sensation than speech alone. These findings highlight the importance of gestures in communicating about pain sensation and suggest that this modality provides additional information to supplement and clarify the often ambiguous verbal pain message

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  • Rowland, C. F., & Monaghan, P. (2017). Developmental psycholinguistics teaches us that we need multi-method, not single-method, approaches to the study of linguistic representation. Commentary on Branigan and Pickering "An experimental approach to linguistic representation". Behavioral and Brain Sciences, 40: e308. doi:10.1017/S0140525X17000565.

    Abstract

    In developmental psycholinguistics, we have, for many years,
    been generating and testing theories that propose both descriptions of
    adult representations and explanations of how those representations
    develop. We have learnt that restricting ourselves to any one
    methodology yields only incomplete data about the nature of linguistic
    representations. We argue that we need a multi-method approach to the
    study of representation.
  • Rubio-Fernández, P. (2017). Can we forget what we know in a false‐belief task? An investigation of the true‐belief default. Cognitive Science: a multidisciplinary journal, 41, 218-241. doi:10.1111/cogs.12331.

    Abstract

    It has been generally assumed in the Theory of Mind literature of the past 30 years that young children fail standard false-belief tasks because they attribute their own knowledge to the protagonist (what Leslie and colleagues called a “true-belief default”). Contrary to the traditional view, we have recently proposed that the children's bias is task induced. This alternative view was supported by studies showing that 3 year olds are able to pass a false-belief task that allows them to focus on the protagonist, without drawing their attention to the target object in the test phase. For a more accurate comparison of these two accounts, the present study tested the true-belief default with adults. Four experiments measuring eye movements and response inhibition revealed that (a) adults do not have an automatic tendency to respond to the false-belief question according to their own knowledge and (b) the true-belief response need not be inhibited in order to correctly predict the protagonist's actions. The positive results observed in the control conditions confirm the accuracy of the various measures used. I conclude that the results of this study undermine the true-belief default view and those models that posit mechanisms of response inhibition in false-belief reasoning. Alternatively, the present study with adults and recent studies with children suggest that participants' focus of attention in false-belief tasks may be key to their performance.
  • Rubio-Fernández, P. (2017). Why are bilinguals better than monolinguals at false-belief tasks? Psychonomic Bulletin & Review, 24, 987-998. doi:10.3758/s13423-016-1143-1.

    Abstract

    In standard Theory of Mind tasks, such as the Sally-Anne, children have to predict the behaviour of a mistaken character, which requires attributing the character a false belief. Hundreds of developmental studies in the last 30 years have shown that children under 4 fail standard false-belief tasks. However, recent studies have revealed that bilingual children and adults outperform their monolingual peers in this type of tasks. Bilinguals’ better performance in false-belief tasks has generally been interpreted as a result of their better inhibitory control; that is, bilinguals are allegedly better than monolinguals at inhibiting the erroneous response to the false-belief question. In this review, I challenge the received view and argue instead that bilinguals’ better false-belief performance results from more effective attention management. This challenge ties in with two independent lines of research: on the one hand, recent studies on the role of attentional processes in false-belief tasks with monolingual children and adults; and on the other, current research on bilinguals’ performance in different Executive Function tasks. The review closes with an exploratory discussion of further benefits of bilingual cognition to Theory of Mind development and pragmatics, which may be independent from Executive Function.
  • Rubio-Fernández, P., Geurts, B., & Cummins, C. (2017). Is an apple like a fruit? A study on comparison and categorisation statements. Review of Philosophy and Psychology, 8, 367-390. doi:10.1007/s13164-016-0305-4.

    Abstract

    Categorisation models of metaphor interpretation are based on the premiss that categorisation statements (e.g., ‘Wilma is a nurse’) and comparison statements (e.g., ‘Betty is like a nurse’) are fundamentally different types of assertion. Against this assumption, we argue that the difference is merely a quantitative one: ‘x is a y’ unilaterally entails ‘x is like a y’, and therefore the latter is merely weaker than the former. Moreover, if ‘x is like a y’ licenses the inference that x is not a y, then that inference is a scalar implicature. We defend these claims partly on theoretical grounds and partly on the basis of experimental evidence. A suite of experiments indicates both that ‘x is a y’ unilaterally entails that x is like a y, and that in several respects the non-y inference behaves exactly as one should expect from a scalar implicature. We discuss the implications of our view of categorisation and comparison statements for categorisation models of metaphor interpretation.
  • Rubio-Fernández, P. (2017). The director task: A test of Theory-of-Mind use or selective attention? Psychonomic Bulletin & Review, 24, 1121-1128. doi:10.3758/s13423-016-1190-7.

    Abstract

    Over two decades, the director task has increasingly been employed as a test of the use of Theory of Mind in communication, first in psycholinguistics and more recently in social cognition research. A new version of this task was designed to test two independent hypotheses. First, optimal performance in the director task, as established by the standard metrics of interference, is possible by using selective attention alone, and not necessarily Theory of Mind. Second, pragmatic measures of Theory-of-Mind use can reveal that people actively represent the director’s mental states, contrary to recent claims that they only use domain-general cognitive processes to perform this task. The results of this study support both hypotheses and provide a new interactive paradigm to reliably test Theory-of-Mind use in referential communication.
  • Rubio-Fernández, P., Jara-Ettinger, J., & Gibson, E. (2017). Can processing demands explain toddlers’ performance in false-belief tasks? [Response to Setoh et al. (2016, PNAS)]. Proceedings of the National Academy of Sciences of the United States of America, 114(19): E3750. doi:10.1073/pnas.1701286114.
  • Sadakata, M., & McQueen, J. M. (2014). Individual aptitude in Mandarin lexical tone perception predicts effectiveness of high-variability training. Frontiers in Psychology, 5: 1318. doi:10.3389/fpsyg.2014.01318.

    Abstract

    Although the high-variability training method can enhance learning of non-native speech categories, this can depend on individuals’ aptitude. The current study asked how general the effects of perceptual aptitude are by testing whether they occur with training materials spoken by native speakers and whether they depend on the nature of the to-be-learned material. Forty-five native Dutch listeners took part in a five-day training procedure in which they identified bisyllabic Mandarin pseudowords (e.g., asa) pronounced with different lexical tone combinations. The training materials were presented to different groups of listeners at three levels of variability: low (many repetitions of a limited set of words recorded by a single speaker), medium (fewer repetitions of a more variable set of words recorded by 3 speakers) and high (similar to medium but with 5 speakers). Overall, variability did not influence learning performance, but this was due to an interaction with individuals’ perceptual aptitude: increasing variability hindered improvements in performance for low-aptitude perceivers while it helped improvements in performance for high-aptitude perceivers. These results show that the previously observed interaction between individuals’ aptitude and effects of degree of variability extends to natural tokens of Mandarin speech. This interaction was not found, however, in a closely-matched study in which native Dutch listeners were trained on the Japanese geminate/singleton consonant contrast. This may indicate that the effectiveness of high-variability training depends not only on individuals’ aptitude in speech perception but also on the nature of the categories being acquired.
  • San Roque, L., Floyd, S., & Norcliffe, E. (2017). Evidentiality and interrogativity. Lingua, 186-187, 120-143. doi:10.1016/j.lingua.2014.11.003.

    Abstract

    Understanding of evidentials is incomplete without consideration of their behaviour in interrogative contexts. We discuss key formal, semantic, and pragmatic features of cross-linguistic variation concerning the use of evidential markers in interrogative clauses. Cross-linguistic data suggest that an exclusively speaker-centric view of evidentiality is not sufficient to explain the semantics of information source marking, as in many languages it is typical for evidentials in questions to represent addressee perspective. Comparison of evidentiality and the related phenomenon of egophoricity emphasises how knowledge-based linguistic systems reflect attention to the way knowledge is distributed among participants in the speech situation
  • Sanchis-Trilles, G., Alabau, V., Buck, C., Carl, M., Casacuberta, F., García Martínez, M., Germann, U., González Rubio, J., Hill, R. L., Koehn, P., Leiva, L. A., Mesa-Lao, B., Ortiz Martínez, D., Saint-Amand, H., Tsoukala, C., & Vidal, E. (2014). Interactive translation prediction versus conventional post-editing in practice: a study with the CasMaCat workbench. Machine Translation, 28(3-4), 217-235. doi:10.1007/s10590-014-9157-9.

    Abstract

    We conducted a field trial in computer-assisted professional translation to compare interactive translation prediction (ITP) against conventional post-editing (PE) of machine translation (MT) output. In contrast to the conventional PE set-up, where an MT system first produces a static translation hypothesis that is then edited by a professional (hence “post-editing”), ITP constantly updates the translation hypothesis in real time in response to user edits. Our study involved nine professional translators and four reviewers working with the web-based CasMaCat workbench. Various new interactive features aiming to assist the post-editor/translator were also tested in this trial. Our results show that even with little training, ITP can be as productive as conventional PE in terms of the total time required to produce the final translation. Moreover, translation editors working with ITP require fewer key strokes to arrive at the final version of their translation.

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  • Sauppe, S. (2017). Symmetrical and asymmetrical voice systems and processing load: Pupillometric evidence from sentence production in Tagalog and German. Language, 93(2), 288-313. doi:10.1353/lan.2017.0015.

    Abstract

    The voice system of Tagalog has been proposed to be symmetrical in the sense that there are no morphologically unmarked voice forms. This stands in contrast to asymmetrical voice systems which exhibit unmarked and marked voices (e.g., active and passive in German). This paper investigates the psycholinguistic processing consequences of the symmetrical and asymmetrical nature of the Tagalog and German voice systems by analyzing changes in cognitive load during sentence production. Tagalog and German native speakers' pupil diameters were recorded while they produced sentences with different voice markings. Growth curve analyses of the shape of task-evoked pupillary responses revealed that processing load changes were similar for different voices in the symmetrical voice system of Tagalog. By contrast, actives and passives in the asymmetrical voice system of German exhibited different patterns of processing load changes during sentence production. This is interpreted as supporting the notion of symmetry in the Tagalog voice system. Mental effort during sentence planning changes in different ways in the two languages because the grammatical architecture of their voice systems is different. Additionally, an anti-Patient bias in sentence production was found in Tagalog: cognitive load increased at the same time and at the same rate but was maintained for a longer time when the patient argument was the subject, as compared to agent subjects. This indicates that while both voices in Tagalog afford similar planning operations, linking patients to the subject function is more effortful. This anti-Patient bias in production adds converging evidence to “subject preferences” reported in the sentence comprehension literature.
  • Sauppe, S. (2017). Word order and voice influence the timing of verb planning in German sentence production. Frontiers in Psychology, 8: 1648. doi:10.3389/fpsyg.2017.01648.

    Abstract

    Theories of incremental sentence production make different assumptions about when speakers encode information about described events and when verbs are selected, accordingly. An eye tracking experiment on German testing the predictions from linear and hierarchical incrementality about the timing of event encoding and verb planning is reported. In the experiment, participants described depictions of two-participant events with sentences that differed in voice and word order. Verb-medial active sentences and actives and passives with sentence-final verbs were compared. Linear incrementality predicts that sentences with verbs placed early differ from verb-final sentences because verbs are assumed to only be planned shortly before they are articulated. By contrast, hierarchical incrementality assumes that speakers start planning with relational encoding of the event. A weak version of hierarchical incrementality assumes that only the action is encoded at the outset of formulation and selection of lexical verbs only occurs shortly before they are articulated, leading to the prediction of different fixation patterns for verb-medial and verb-final sentences. A strong version of hierarchical incrementality predicts no differences between verb-medial and verb-final sentences because it assumes that verbs are always lexically selected early in the formulation process. Based on growth curve analyses of fixations to agent and patient characters in the described pictures, and the influence of character humanness and the lack of an influence of the visual salience of characters on speakers' choice of active or passive voice, the current results suggest that while verb planning does not necessarily occur early during formulation, speakers of German always create an event representation early
  • Schertz, J., & Ernestus, M. (2014). Variability in the pronunciation of non-native English the: Effects of frequency and disfluencies. Corpus Linguistics and Linguistic Theory, 10, 329-345. doi:10.1515/cllt-2014-0024.

    Abstract

    This study examines how lexical frequency and planning problems can predict phonetic variability in the function word ‘the’ in conversational speech produced by non-native speakers of English. We examined 3180 tokens of ‘the’ drawn from English conversations between native speakers of Czech or Norwegian. Using regression models, we investigated the effect of following word frequency and disfluencies on three phonetic parameters: vowel duration, vowel quality, and consonant quality. Overall, the non-native speakers showed variation that is very similar to the variation displayed by native speakers of English. Like native speakers, Czech speakers showed an effect of frequency on vowel durations, which were shorter in more frequent word sequences. Both groups of speakers showed an effect of frequency on consonant quality: the substitution of another consonant for /ð/ occurred more often in the context of more frequent words. The speakers in this study also showed a native-like allophonic distinction in vowel quality, in which /ði/ occurs more often before vowels and /ðə/ before consonants. Vowel durations were longer in the presence of following disfluencies, again mirroring patterns in native speakers, and the consonant quality was more likely to be the target /ð/ before disfluencies, as opposed to a different consonant. The fact that non-native speakers show native-like sensitivity to lexical frequency and disfluencies suggests that these effects are consequences of a general, non-language-specific production mechanism governing language planning. On the other hand, the non-native speakers in this study did not show native-like patterns of vowel quality in the presence of disfluencies, suggesting that the pattern attested in native speakers of English may result from language-specific processes separate from the general production mechanisms
  • Schijven, D., Sousa, V. C., Roelofs, J., Olivier, B., & Olivier, J. D. A. (2014). Serotonin 1A receptors and sexual behavior in a genetic model of depression. Pharmacology, Biochemistry and Behavior, 121, 82-87. doi:10.1016/j.pbb.2013.12.012.

    Abstract

    The Flinder Sensitive Line (FSL) is a rat strain that displays distinct behavioral and neurochemical features of major depression. Chronic selective serotonin reuptake inhibitors (SSRIs) are able to reverse these symptoms in FSL rats. It is well known that several abnormalities in the serotonergic system have been found in FSL rats, including increased 5-HT brain tissue levels and reduced 5-HT synthesis. SSRIs are known to exert (part of) their effects by desensitization of the 5-HT1A receptor and FSL rats appear to have lower 5-HT1A receptor densities compared with Flinder Resistant Line (FRL) rats. We therefore studied the sensitivity of this receptor on the sexual behavior performance in both FRL and FSL rats. First, basal sexual performance was studied after saline treatment followed by treatment of two different doses of the 5-HT1A receptor agonist ±8-OH-DPAT. Finally we measured the effect of a 5-HT1A receptor antagonist to check for specificity of the 5-HT1A receptor activation. Our results show that FSL rats have higher ejaculation frequencies compared with FRL rats which do not fit with a more depressive-like phenotype. Moreover FRL rats are more sensitive to effects of ±8-OH-DPAT upon EL and IF than FSL rats. The blunted response of FSL rats to the effects of ±8-OH-DPAT may be due to lower densities of 5-HT1A receptors.
  • Schiller, N. O., Meyer, A. S., & Levelt, W. J. M. (1997). The syllabic structure of spoken words: Evidence from the syllabification of intervocalic consonants. Language and Speech, 40(2), 103-140.

    Abstract

    A series of experiments was carried out to investigate the syllable affiliation of intervocalic consonants following short vowels, long vowels, and schwa in Dutch. Special interest was paid to words such as letter ['leter] ''id.,'' where a short vowel is followed by a single consonant. On phonological grounds one may predict that the first syllable should always be closed, but earlier psycholinguistic research had shown that speakers tend to leave these syllables open. In our experiments, bisyllabic word forms were presented aurally, and participants produced their syllables in reversed order (Experiments 1 through 5), or repeated the words inserting a pause between the syllables (Experiment 6). The results showed that participants generally closed syllables with a short vowel. However, in a significant number of the cases they produced open short vowel syllables. Syllables containing schwa, like syllables with a long vowel, were hardly ever closed. Word stress, the phonetic quality of the vowel in the first syllable, and the experimental context influenced syllabification. Taken together, the experiments show that native speakers syllabify bisyllabic Dutch nouns in accordance with a small set of prosodic output constraints. To account for the variability of the results, we propose that these constraints differ in their probabilities of being applied.
  • Schoffelen, J.-M., Hulten, A., Lam, N. H. L., Marquand, A. F., Udden, J., & Hagoort, P. (2017). Frequency-specific directed interactions in the human brain network for language. Proceedings of the National Academy of Sciences of the United States of America, 114(30), 8083-8088. doi:10.1073/pnas.1703155114.

    Abstract

    The brain’s remarkable capacity for language requires bidirectional interactions between functionally specialized brain regions. We used magnetoencephalography to investigate interregional interactions in the brain network for language while 102 participants were reading sentences. Using Granger causality analysis, we identified inferior frontal cortex and anterior temporal regions to receive widespread input and middle temporal regions to send widespread output. This fits well with the notion that these regions play a central role in language processing. Characterization of the functional topology of this network, using data-driven matrix factorization, which allowed for partitioning into a set of subnetworks, revealed directed connections at distinct frequencies of interaction. Connections originating from temporal regions peaked at alpha frequency, whereas connections originating from frontal and parietal regions peaked at beta frequency. These findings indicate that the information flow between language-relevant brain areas, which is required for linguistic processing, may depend on the contributions of distinct brain rhythms

    Additional information

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  • Schoot, L., Menenti, L., Hagoort, P., & Segaert, K. (2014). A little more conversation - The influence of communicative context on syntactic priming in brain and behavior. Frontiers in Psychology, 5: 208. doi:10.3389/fpsyg.2014.00208.

    Abstract

    We report on an fMRI syntactic priming experiment in which we measure brain activity for participants who communicate with another participant outside the scanner. We investigated whether syntactic processing during overt language production and comprehension is influenced by having a (shared) goal to communicate. Although theory suggests this is true, the nature of this influence remains unclear. Two hypotheses are tested: i. syntactic priming effects (fMRI and RT) are stronger for participants in the communicative context than for participants doing the same experiment in a non-communicative context, and ii. syntactic priming magnitude (RT) is correlated with the syntactic priming magnitude of the speaker’s communicative partner. Results showed that across conditions, participants were faster to produce sentences with repeated syntax, relative to novel syntax. This behavioral result converged with the fMRI data: we found repetition suppression effects in the left insula extending into left inferior frontal gyrus (BA 47/45), left middle temporal gyrus (BA 21), left inferior parietal cortex (BA 40), left precentral gyrus (BA 6), bilateral precuneus (BA 7), bilateral supplementary motor cortex (BA 32/8) and right insula (BA 47). We did not find support for the first hypothesis: having a communicative intention does not increase the magnitude of syntactic priming effects (either in the brain or in behavior) per se. We did find support for the second hypothesis: if speaker A is strongly/weakly primed by speaker B, then speaker B is primed by speaker A to a similar extent. We conclude that syntactic processing is influenced by being in a communicative context, and that the nature of this influence is bi-directional: speakers are influenced by each other.
  • Schreiweis, C., Bornschein, U., Burguière, E., Kerimoglu, C., Schreiter, S., Dannemann, M., Goyal, S., Rea, E., French, C. A., Puliyadi, R., Groszer, M., Fisher, S. E., Mundry, R., Winter, C., Hevers, W., Pääbo, S., Enard, W., & Graybiel, A. M. (2014). Humanized Foxp2 accelerates learning by enhancing transitions from declarative to procedural performance. Proceedings of the National Academy of Sciences of the United States of America, 111, 14253-14258. doi:10.1073/pnas.1414542111.

    Abstract

    The acquisition of language and speech is uniquely human, but how genetic changes might have adapted the nervous system to this capacity is not well understood. Two human-specific amino acid substitutions in the transcription factor forkhead box P2 (FOXP2) are outstanding mechanistic candidates, as they could have been positively selected during human evolution and as FOXP2 is the sole gene to date firmly linked to speech and language development. When these two substitutions are introduced into the endogenous Foxp2 gene of mice (Foxp2hum), cortico-basal ganglia circuits are specifically affected. Here we demonstrate marked effects of this humanization of Foxp2 on learning and striatal neuroplasticity. Foxp2hum/hum mice learn stimulus–response associations faster than their WT littermates in situations in which declarative (i.e., place-based) and procedural (i.e., response-based) forms of learning could compete during transitions toward proceduralization of action sequences. Striatal districts known to be differently related to these two modes of learning are affected differently in the Foxp2hum/hum mice, as judged by measures of dopamine levels, gene expression patterns, and synaptic plasticity, including an NMDA receptor-dependent form of long-term depression. These findings raise the possibility that the humanized Foxp2 phenotype reflects a different tuning of corticostriatal systems involved in declarative and procedural learning, a capacity potentially contributing to adapting the human brain for speech and language acquisition.

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  • Schuerman, W. L., Meyer, A. S., & McQueen, J. M. (2017). Mapping the speech code: Cortical responses linking the perception and production of vowels. Frontiers in Human Neuroscience, 11: 161. doi:10.3389/fnhum.2017.00161.

    Abstract

    The acoustic realization of speech is constrained by the physical mechanisms by which it is produced. Yet for speech perception, the degree to which listeners utilize experience derived from speech production has long been debated. In the present study, we examined how sensorimotor adaptation during production may affect perception, and how this relationship may be reflected in early vs. late electrophysiological responses. Participants first performed a baseline speech production task, followed by a vowel categorization task during which EEG responses were recorded. In a subsequent speech production task, half the participants received shifted auditory feedback, leading most to alter their articulations. This was followed by a second, post-training vowel categorization task. We compared changes in vowel production to both behavioral and electrophysiological changes in vowel perception. No differences in phonetic categorization were observed between groups receiving altered or unaltered feedback. However, exploratory analyses revealed correlations between vocal motor behavior and phonetic categorization. EEG analyses revealed correlations between vocal motor behavior and cortical responses in both early and late time windows. These results suggest that participants' recent production behavior influenced subsequent vowel perception. We suggest that the change in perception can be best characterized as a mapping of acoustics onto articulation
  • Schuerman, W. L., Nagarajan, S., McQueen, J. M., & Houde, J. (2017). Sensorimotor adaptation affects perceptual compensation for coarticulation. The Journal of the Acoustical Society of America, 141(4), 2693-2704. doi:10.1121/1.4979791.

    Abstract

    A given speech sound will be realized differently depending on the context in which it is produced. Listeners have been found to compensate perceptually for these coarticulatory effects, yet it is unclear to what extent this effect depends on actual production experience. In this study, whether changes in motor-to-sound mappings induced by adaptation to altered auditory feedback can affect perceptual compensation for coarticulation is investigated. Specifically, whether altering how the vowel [i] is produced can affect the categorization of a stimulus continuum between an alveolar and a palatal fricative whose interpretation is dependent on vocalic context is tested. It was found that participants could be sorted into three groups based on whether they tended to oppose the direction of the shifted auditory feedback, to follow it, or a mixture of the two, and that these articulatory responses, not the shifted feedback the participants heard, correlated with changes in perception. These results indicate that sensorimotor adaptation to altered feedback can affect the perception of unaltered yet coarticulatorily-dependent speech sounds, suggesting a modulatory role of sensorimotor experience on speech perception
  • Scott, D. R., & Cutler, A. (1984). Segmental phonology and the perception of syntactic structure. Journal of Verbal Learning and Verbal Behavior, 23, 450-466. Retrieved from http://www.sciencedirect.com/science//journal/00225371.

    Abstract

    Recent research in speech production has shown that syntactic structure is reflected in segmental phonology--the application of certain phonological rules of English (e.g., palatalization and alveolar flapping) is inhibited across phrase boundaries. We examined whether such segmental effects can be used in speech perception as cues to syntactic structure, and the relation between the use of these segmental features as syntactic markers in production and perception. Speakers of American English (a dialect in which the above segmental effects occur) could indeed use the segmental cues in syntax perception; speakers of British English (in which the effects do not occur) were unable to make use of them, while speakers of British English who were long-term residents of the United States showed intermediate performance.
  • Segaert, K., Weber, K., Cladder-Micus, M., & Hagoort, P. (2014). The influence of verb-bound syntactic preferences on the processing of syntactic structures. Journal of Experimental Psychology: Learning, Memory, and Cognition, 40(5), 1448-1460. doi:10.1037/a0036796.

    Abstract

    Speakers sometimes repeat syntactic structures across sentences, a phenomenon called syntactic priming. We investigated the influence of verb-bound syntactic preferences on syntactic priming effects in response choices and response latencies for German ditransitive sentences. In the response choices we found inverse preference effects: There were stronger syntactic priming effects for primes in the less preferred structure, given the syntactic preference of the prime verb. In the response latencies we found positive preference effects: There were stronger syntactic priming effects for primes in the more preferred structure, given the syntactic preference of the prime verb. These findings provide further support for the idea that syntactic processing is lexically guided.
  • Sekine, K., & Kita, S. (2017). The listener automatically uses spatial story representations from the speaker's cohesive gestures when processing subsequent sentences without gestures. Acta Psychologica, 179, 89-95. doi:10.1016/j.actpsy.2017.07.009.

    Abstract

    This study examined spatial story representations created by speaker's cohesive gestures. Participants were presented with three-sentence discourse with two protagonists. In the first and second sentences, gestures consistently located the two protagonists in the gesture space: one to the right and the other to the left. The third sentence (without gestures) referred to one of the protagonists, and the participants responded with one of the two keys to indicate the relevant protagonist. The response keys were either spatially congruent or incongruent with the gesturally established locations for the two participants. Though the cohesive gestures did not provide any clue for the correct response, they influenced performance: the reaction time in the congruent condition was faster than that in the incongruent condition. Thus, cohesive gestures automatically establish spatial story representations and the spatial story representations remain activated in a subsequent sentence without any gesture.
  • Senft, G. (2017). Absolute frames of spatial reference in Austronesian languages. Russian Journal of Linguistics, 21, 686-705. doi:10.22363/2312-9182-2017-21-4-686-705.

    Abstract

    This paper provides a brief survey on various absolute frames of spatial reference that can be observed in a number of Austronesian languages – with an emphasis on languages of the Oceanic subgroup. It is based on research of conceptions of space and systems of spatial reference that was initiated by the “space project” of the Cognitive Anthropology Research Group (now the Department of Language and Cognition) at the Max Planck Institute for Psycholinguistics and by my anthology “Referring to Space” (Senft 1997a; see Keller 2002: 250). The examples illustrating these different absolute frames of spatial reference reveal once more that earlier generalizations within the domain of “SPACE” were strongly biased by research on Indo-European languages; they also reveal how complex some of these absolute frames of spatial reference found in these languages are. The paper ends with a summary of Wegener’s (2002) preliminary typology of these absolute frames of spatial reference.
  • Senft, G. (2017). Acquiring Kilivila Pragmatics - the Role of the Children's (Play-)Groups in the first 7 Years of their Lives on the Trobriand Islands in Papua New Guinea. Studies in Pragmatics, 19, 40-53.

    Abstract

    Trobriand children are breastfed until they can walk; then they are abruptly weaned and the parents dramatically reduce the pervasive loving care that their children experienced before. The children have to find a place within the children’s groups in their villages. They learn to behave according to their community’s rules and regulations which find their expression in forms of verbal and non-verbal behavior. They acquire their culture specific pragmatics under the control of older members of their groups. The children's “small republic” is the primary institution of verbal and cultural socialization. Attempts of parental education are confined to a minimum.
  • Senft, G. (1994). Ein Vorschlag, wie man standardisiert Daten zum Thema 'Sprache, Kognition und Konzepte des Raumes' in verschiedenen Kulturen erheben kann. Linguistische Berichte, 154, 413-429.
  • Senft, G. (1994). [Review of the book Language, culture and society: An introduction by Zdenek Salzmann]. Man, 29, 756-757.
  • Senft, G. (1997). [Review of the book The design of language: An introduction to descriptive linguistics by Terry Crowley, John Lynch, Jeff Siegel, and Julie Piau]. Linguistics, 35, 781-785.
  • Senft, G. (1997). Magical conversation on the Trobriand Islands. Anthropos, 92, 369-391.
  • Senft, G. (1994). Grammaticalisation of body-part terms in Kilivila. Language and Linguistics in Melanesia, 25, 98-99.
  • Senft, G. (1994). Spatial reference in Kilivila: The Tinkertoy Matching Games - A case study. Language and Linguistics in Melanesia, 25, 55-93.
  • Senft, G. (1994). These 'Procrustean' feelings: Some of my problems in describing Kilivila. Semaian, 11, 86-105.
  • Seuren, P. A. M. (1994). [Review of the Dictionary of St. Lucian Creole, part 1: Kweyol- English', part 2: English-Kweyol compiled by Jones E. Mondesir and ed. by Lawrence D. Carrington]. Linguistics, 32(1), 157-158. doi:10.1515/ling.1991.29.4.719.
  • Seuren, P. A. M. (1997). [Review of the book Schets van de Nederlandse Taal. Grammatica, poëtica en retorica by Adriaen Verwer, Naar de editie van E. van Driel (1783) vertaald door J. Knol. Ed. Th.A.J.M. Janssen & J. Noordegraaf]. Nederlandse Taalkunde, 4, 370-374.
  • Seuren, P. A. M. (1963). Naar aanleiding van Dr. F. Balk-Smit Duyzentkunst "De Grammatische Functie". Levende Talen, 219, 179-186.
  • Seuren, P. A. M., & Jaspers, D. (2014). Logico-cognitive structure in the lexicon. Language, 90(3), 607-643. doi:10.1353/lan.2014.0058.

    Abstract

    This study is a prolegomenon to a formal theory of the natural growth of conceptual and lexical fields. Negation, in the various forms in which it occurs in language, is found to be a powerful indicator. Other than in standard logic, natural language negation selects its complement within universes of discourse that are, for practical and functional reasons, restricted in various ways and to different degrees. It is hypothesized that a system of cognitive principles drives recursive processes of universe restriction, which in turn affects logical relations within the restricted universes. This approach provides a new perspective in which to view the well-known clashes between standard logic and natural logical intuitions. Lexicalization in language, especially the morphological incorporation of negation, is limited to highly restricted universes, which explains, for example, why a dog can be said not to be a Catholic, but also not to be a non-Catholic. Cognition is taken to restrict the universe of discourse to contrary pairs, splitting up one or both of the contraries into further subuniverses as a result of further cognitive activity. It is shown how a logically sound square of opposition , expanded to a hexagon (Jacoby 1950, 1960, Sesmat 1951, Blanché 1952, 1953, 1966), is generated by a hierarchy of universe restrictions, defining the notion ‘natural’ for logical systems. The logical hexagon contains two additional vertices, one for ‘some but not all’ (the Y-type) and one for ‘either all or none’ (the U-type), and incorporates both the classic square and the Hamiltonian triangle of contraries . Some is thus considered semantically ambiguous, representing two distinct quantifiers. The pragmaticist claim that the language system contains only the standard logical ‘some perhaps all’ and that the ‘some but not all’ meaning is pragmatically derived from the use of the system is rejected. Four principles are proposed according to which negation selects a complement from the subuniverses at hand. On the basis of these principles and of the logico-cognitive system proposed, the well-known nonlexicalization not only of *nall and *nand but also of many other nonlogical cases found throughout the lexicons of languages is analyzed and explained
  • Seuren, P. A. M. (1984). Operator lowering. Linguistics, 22(5), 573-627. doi:10.1515/ling.1984.22.5.573.
  • Seuren, P. A. M. (1984). The bioprogram hypothesis: Facts and fancy. A commentary on Bickerton "The language bioprogram hypothesis". Behavioral and Brain Sciences, 7(2), 208-209. doi:10.1017/S0140525X00044356.
  • Seuren, P. A. M. (2014). The cognitive ontogenesis of predicate logid. Notre Dame Journal of Formal Logic, 55, 499-532. doi:10.1215/00294527-2798718.

    Abstract

    Since Aristotle and the Stoa, there has been a clash, worsened by modern predicate logic, between logically defined operator meanings and natural intuitions. Pragmatics has tried to neutralize the clash by an appeal to the Gricean conversational maxims. The present study argues that the pragmatic attempt has been unsuccessful. The “softness” of the Gricean explanation fails to do justice to the robustness of the intuitions concerned, leaving the relation between the principles evoked and the observed facts opaque. Moreover, there are cases where the Gricean maxims fail to apply. A more adequate solution consists in the devising of a sound natural logic, part of the innate cognitive equipment of mankind. This account has proved successful in conjunction with a postulated cognitive mechanism in virtue of which the universe of discourse (Un) is stepwise and recursively restricted, so that the negation selects different complements according to the degree of restrictedness of Un. This mechanism explains not only the discrepancies between natural logical intuitions and known logical systems; it also accounts for certain systematic lexicalization gaps in the languages of the world. Finally, it is shown how stepwise restriction of Un produces the ontogenesis of natural predicate logic, while at the same time resolving the intuitive clashes with established logical systems that the Gricean maxims sought to explain
  • Seuren, P. A. M. (1984). The comparative revisited. Journal of Semantics, 3(1), 109-141. doi:10.1093/jos/3.1-2.109.
  • Seuren, P. A. M. (1994). Soaps and serials. Journal of Pidgin and Creole Languages, 9(1), 131-149. doi:10.1075/jpcl.9.1.18seu.
  • Sha, L., Wu, X., Yao, Y., Wen, B., Feng, J., Sha, Z., Wang, X., Xing, X., Dou, W., Jin, L., Li, W., Wang, N., Shen, Y., Wang, J., Wu, L., & Xu, Q. (2014). Notch Signaling Activation Promotes Seizure Activity in Temporal Lobe Epilepsy. Molecular Neurobiology, 49(2), 633-644.

    Abstract

    Notch signaling in the nervous system is often regarded as a developmental pathway. However, recent studies have suggested that Notch is associated with neuronal discharges. Here, focusing on temporal lobe epilepsy, we found that Notch signaling was activated in the kainic acid (KA)-induced epilepsy model and in human epileptogenic tissues. Using an acute model of seizures, we showed that DAPT, an inhibitor of Notch, inhibited ictal activity. In contrast, pretreatment with exogenous Jagged1 to elevate Notch signaling before KA application had proconvulsant effects. In vivo, we demonstrated that the impacts of activated Notch signaling on seizures can in part be attributed to the regulatory role of Notch signaling on excitatory synaptic activity in CA1 pyramidal neurons. In vitro, we found that DAPT treatment impaired synaptic vesicle endocytosis in cultured hippocampal neurons. Taken together, our findings suggest a correlation between aberrant Notch signaling and epileptic seizures. Notch signaling is up-regulated in response to seizure activity, and its activation further promotes neuronal excitation of CA1 pyramidal neurons in acute seizures.
  • Shao, Z., Roelofs, A., Acheson, D. J., & Meyer, A. S. (2014). Electrophysiological evidence that inhibition supports lexical selection in picture naming. Brain Research, 1586, 130-142. doi:10.1016/j.brainres.2014.07.009.

    Abstract

    We investigated the neural basis of inhibitory control during lexical selection. Participants overtly named pictures while response times (RTs) and event-related brain potentials (ERPs) were recorded. The difficulty of lexical selection was manipulated by using object and action pictures with high name agreement (few response candidates) versus low name agreement (many response candidates). To assess the involvement of inhibition, we conducted delta plot analyses of naming RTs and examined the N2 component of the ERP. We found longer mean naming RTs and a larger N2 amplitude in the low relative to the high name agreement condition. For action naming we found a negative correlation between the slopes of the slowest delta segment and the difference in N2 amplitude between the low and high name agreement conditions. The converging behavioral and electrophysiological evidence suggests that selective inhibition is engaged to reduce competition during lexical selection in picture naming.
  • Shao, Z., Roelofs, A., & Meyer, A. S. (2014). Predicting naming latencies for action pictures: Dutch norms. Behavior Research Methods, 46, 274-283. doi:10.3758/s13428-013-0358-6.

    Abstract

    The present study provides Dutch norms for age of acquisition, familiarity, imageability, image agreement, visual complexity, word frequency, and word length (in syllables) for 124 line drawings of actions. Ratings were obtained from 117 Dutch participants. Word frequency was determined on the basis of the SUBTLEX-NL corpus (Keuleers, Brysbaert, & New, Behavior Research Methods, 42, 643–650, 2010). For 104 of the pictures, naming latencies and name agreement were determined in a separate naming experiment with 74 native speakers of Dutch. The Dutch norms closely corresponded to the norms for British English. Multiple regression analysis showed that age of acquisition, imageability, image agreement, visual complexity, and name agreement were significant predictors of naming latencies, whereas word frequency and word length were not. Combined with the results of a principal-component analysis, these findings suggest that variables influencing the processes of conceptual preparation and lexical selection affect latencies more strongly than do variables influencing word-form encoding.

    Additional information

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  • Shao, Z., Janse, E., Visser, K., & Meyer, A. S. (2014). What do verbal fluency tasks measure? Predictors of verbal fluency performance in older adults. Frontiers in Psychology, 5: 772. doi:10.3389/fpsyg.2014.00772.

    Abstract

    This study examined the contributions of verbal ability and executive control to verbal fluency performance in older adults (n=82). Verbal fluency was assessed in letter and category fluency tasks, and performance on these tasks was related to indicators of vocabulary size, lexical access speed, updating, and inhibition ability. In regression analyses the number of words produced in both fluency tasks was predicted by updating ability, and the speed of the first response was predicted by vocabulary size and, for category fluency only, lexical access speed. These results highlight the hybrid character of both fluency tasks, which may limit their usefulness for research and clinical purposes.
  • Shayan, S., Ozturk, O., Bowerman, M., & Majid, A. (2014). Spatial metaphor in language can promote the development of cross-modal mappings in children. Developmental Science, 17(4), 636-643. doi:10.1111/desc.12157.

    Abstract

    Pitch is often described metaphorically: for example, Farsi and Turkish speakers use a ‘thickness’ metaphor (low sounds are ‘thick’ and high sounds are ‘thin’), while German and English speakers use a height metaphor (‘low’, ‘high’). This study examines how child and adult speakers of Farsi, Turkish, and German map pitch and thickness using a cross-modal association task. All groups, except for German children, performed significantly better than chance. German-speaking adults’ success suggests the pitch-to-thickness association can be learned by experience. But the fact that German children were at chance indicates that this learning takes time. Intriguingly, Farsi and Turkish children's performance suggests that learning cross-modal associations can be boosted through experience with consistent metaphorical mappings in the input language
  • Shitova, N., Roelofs, A., Schriefers, H., Bastiaansen, M., & Schoffelen, J.-M. (2017). Control adjustments in speaking: Electrophysiology of the Gratton effect in picture naming. Cortex, 92, 289-303. doi:10.1016/j.cortex.2017.04.017.

    Abstract

    Accumulating evidence suggests that spoken word production requires different amounts of top-down control depending on the prevailing circumstances. For example, during Stroop-like tasks, the interference in response time (RT) is typically larger following congruent trials than following incongruent trials. This effect is called the Gratton effect, and has been taken to reflect top-down control adjustments based on the previous trial type. Such control adjustments have been studied extensively in Stroop and Eriksen flanker tasks (mostly using manual responses), but not in the picture-word interference (PWI) task, which is a workhorse of language production research. In one of the few studies of the Gratton effect in PWI, Van Maanen and Van Rijn (2010) examined the effect in picture naming RTs during dual-task performance. Based on PWI effect differences between dual-task conditions, they argued that the functional locus of the PWI effect differs between post-congruent trials (i.e., locus in perceptual and conceptual encoding) and post-incongruent trials (i.e., locus in word planning). However, the dual-task procedure may have contaminated the results. We therefore performed an EEG study on the Gratton effect in a regular PWI task. We observed a PWI effect in the RTs, in the N400 component of the event-related brain potentials, and in the midfrontal theta power, regardless of the previous trial type. Moreover, the RTs, N400, and theta power reflected the Gratton effect. These results provide evidence that the PWI effect arises at the word planning stage following both congruent and incongruent trials, while the amount of top-down control changes depending on the previous trial type.
  • Shitova, N., Roelofs, A., Schriefers, H., Bastiaansen, M. C. M., & Schoffelen, J.-M. (2017). Control adjustments in speaking: Electrophysiology of the Gratton effect in picture naming. Cortex, 92, 289-303. doi:10.1016/j.cortex.2017.04.017.

    Abstract

    Accumulating evidence suggests that spoken word production requires different amounts of top-down control depending on the prevailing circumstances. For example, during Stroop-like tasks, the interference in response time (RT) is typically larger following congruent trials than following incongruent trials. This effect is called the Gratton effect, and has been taken to reflect top-down control adjustments based on the previous trial type. Such control adjustments have been studied extensively in Stroop and Eriksen flanker tasks (mostly using manual responses), but not in the picture–word interference (PWI) task, which is a workhorse of language production research. In one of the few studies of the Gratton effect in PWI, Van Maanen and Van Rijn (2010) examined the effect in picture naming RTs during dual-task performance. Based on PWI effect differences between dual-task conditions, they argued that the functional locus of the PWI effect differs between post-congruent trials (i.e., locus in perceptual and conceptual encoding) and post-incongruent trials (i.e., locus in word planning). However, the dual-task procedure may have contaminated the results. We therefore performed an electroencephalography (EEG) study on the Gratton effect in a regular PWI task. We observed a PWI effect in the RTs, in the N400 component of the event-related brain potentials, and in the midfrontal theta power, regardless of the previous trial type. Moreover, the RTs, N400, and theta power reflected the Gratton effect. These results provide evidence that the PWI effect arises at the word planning stage following both congruent and incongruent trials, while the amount of top-down control changes depending on the previous trial type.
  • Shitova, N., Roelofs, A., Coughler, C., & Schriefers, H. (2017). P3 event-related brain potential reflects allocation and use of central processing capacity in language production. Neuropsychologia, 106, 138-145. doi:10.1016/j.neuropsychologia.2017.09.024.

    Abstract

    Allocation and use of central processing capacity have been associated with the P3 event-related brain potential amplitude in a large variety of non-linguistic tasks. However, little is known about the P3 in spoken language production. Moreover, the few studies that are available report opposing P3 effects when task complexity is manipulated. We investigated allocation and use of central processing capacity in a spoken phrase production task: Participants switched every second trial between describing pictures using noun phrases with one adjective (size only; simple condition, e.g., “the big desk”) or two adjectives (size and color; complex condition, e.g., “the big red desk”). Capacity allocation was manipulated by complexity, and capacity use by switching. Response time (RT) was longer for complex than for simple trials. Moreover, complexity and switching interacted: RTs were longer on switch than on repeat trials for simple phrases but shorter on switch than on repeat trials for complex phrases. P3 amplitude increased with complexity. Moreover, complexity and switching interacted: The complexity effect was larger on the switch trials than on the repeat trials. These results provide evidence that the allocation and use of central processing capacity in language production are differentially reflected in the P3 amplitude.
  • Shkaravska, O., & Van Eekelen, M. (2014). Univariate polynomial solutions of algebraic difference equations. Journal of Symbolic Computation, 60, 15-28. doi:10.1016/j.jsc.2013.10.010.

    Abstract

    Contrary to linear difference equations, there is no general theory of difference equations of the form G(P(x−τ1),…,P(x−τs))+G0(x)=0, with τi∈K, G(x1,…,xs)∈K[x1,…,xs] of total degree D⩾2 and G0(x)∈K[x], where K is a field of characteristic zero. This article is concerned with the following problem: given τi, G and G0, find an upper bound on the degree d of a polynomial solution P(x), if it exists. In the presented approach the problem is reduced to constructing a univariate polynomial for which d is a root. The authors formulate a sufficient condition under which such a polynomial exists. Using this condition, they give an effective bound on d, for instance, for all difference equations of the form G(P(x−a),P(x−a−1),P(x−a−2))+G0(x)=0 with quadratic G, and all difference equations of the form G(P(x),P(x−τ))+G0(x)=0 with G having an arbitrary degree.
  • Shopen, T., Reid, N., Shopen, G., & Wilkins, D. G. (1997). Ensuring the survival of Aboriginal and Torres Strait islander languages into the 21st century. Australian Review of Applied Linguistics, 10(1), 143-157.

    Abstract

    Aboriginal languages threatened by speakers poor economic and social conditions; some may survive through support for community development, language maintenance, bilingual education and training of Aboriginal teachers and linguists, and nonAboriginal teachers of Aboriginal and Islander students.

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