Publications

Displaying 501 - 600 of 1449
  • Holler, J., & Kendrick, K. H. (2015). Unaddressed participants’ gaze in multi-person interaction: Optimizing recipiency. Frontiers in Psychology, 6: 98. doi:10.3389/fpsyg.2015.00098.

    Abstract

    One of the most intriguing aspects of human communication is its turn-taking system. It requires the ability to process on-going turns at talk while planning the next, and to launch this next turn without considerable overlap or delay. Recent research has investigated the eye movements of observers of dialogues to gain insight into how we process turns at talk. More specifically, this research has focused on the extent to which we are able to anticipate the end of current and the beginning of next turns. At the same time, there has been a call for shifting experimental paradigms exploring social-cognitive processes away from passive observation towards online processing. Here, we present research that responds to this call by situating state-of-the-art technology for tracking interlocutors’ eye movements within spontaneous, face-to-face conversation. Each conversation involved three native speakers of English. The analysis focused on question-response sequences involving just two of those participants, thus rendering the third momentarily unaddressed. Temporal analyses of the unaddressed participants’ gaze shifts from current to next speaker revealed that unaddressed participants are able to anticipate next turns, and moreover, that they often shift their gaze towards the next speaker before the current turn ends. However, an analysis of the complex structure of turns at talk revealed that the planning of these gaze shifts virtually coincides with the points at which the turns first become recog-nizable as possibly complete. We argue that the timing of these eye movements is governed by an organizational principle whereby unaddressed participants shift their gaze at a point that appears interactionally most optimal: It provides unaddressed participants with access to much of the visual, bodily behavior that accompanies both the current speaker’s and the next speaker’s turn, and it allows them to display recipiency with regard to both speakers’ turns.
  • Holler, J., Alday, P. M., Decuyper, C., Geiger, M., Kendrick, K. H., & Meyer, A. S. (2021). Competition reduces response times in multiparty conversation. Frontiers in Psychology, 12: 693124. doi:10.3389/fpsyg.2021.693124.

    Abstract

    Natural conversations are characterized by short transition times between turns. This holds in particular for multi-party conversations. The short turn transitions in everyday conversations contrast sharply with the much longer speech onset latencies observed in laboratory studies where speakers respond to spoken utterances. There are many factors that facilitate speech production in conversational compared to laboratory settings. Here we highlight one of them, the impact of competition for turns. In multi-party conversations, speakers often compete for turns. In quantitative corpus analyses of multi-party conversation, the fastest response determines the recorded turn transition time. In contrast, in dyadic conversations such competition for turns is much less likely to arise, and in laboratory experiments with individual participants it does not arise at all. Therefore, all responses tend to be recorded. Thus, competition for turns may reduce the recorded mean turn transition times in multi-party conversations for a simple statistical reason: slow responses are not included in the means. We report two studies illustrating this point. We first report the results of simulations showing how much the response times in a laboratory experiment would be reduced if, for each trial, instead of recording all responses, only the fastest responses of several participants responding independently on the trial were recorded. We then present results from a quantitative corpus analysis comparing turn transition times in dyadic and triadic conversations. There was no significant group size effect in question-response transition times, where the present speaker often selects the next one, thus reducing competition between speakers. But, as predicted, triads showed shorter turn transition times than dyads for the remaining turn transitions, where competition for the floor was more likely to arise. Together, these data show that turn transition times in conversation should be interpreted in the context of group size, turn transition type, and social setting.
  • Hömke, P., Holler, J., & Levinson, S. C. (2018). Eye blinks are perceived as communicative signals in human face-to-face interaction. PLoS One, 13(12): e0208030. doi:10.1371/journal.pone.0208030.

    Abstract

    In face-to-face communication, recurring intervals of mutual gaze allow listeners to provide speakers with visual feedback (e.g. nodding). Here, we investigate the potential feedback function of one of the subtlest of human movements—eye blinking. While blinking tends to be subliminal, the significance of mutual gaze in human interaction raises the question whether the interruption of mutual gaze through blinking may also be communicative. To answer this question, we developed a novel, virtual reality-based experimental paradigm, which enabled us to selectively manipulate blinking in a virtual listener, creating small differences in blink duration resulting in ‘short’ (208 ms) and ‘long’ (607 ms) blinks. We found that speakers unconsciously took into account the subtle differences in listeners’ blink duration, producing substantially shorter answers in response to long listener blinks. Our findings suggest that, in addition to physiological, perceptual and cognitive functions, listener blinks are also perceived as communicative signals, directly influencing speakers’ communicative behavior in face-to-face communication. More generally, these findings may be interpreted as shedding new light on the evolutionary origins of mental-state signaling, which is a crucial ingredient for achieving mutual understanding in everyday social interaction.

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  • Hömke, P., Majid, A., & Boroditsky, L. (2013). Reversing the direction of time: Does the visibility of spatial representations of time shape temporal focus? Proceedings of the Master's Program Cognitive Neuroscience, 8(1), 40-54. Retrieved from http://www.ru.nl/master/cns/journal/archive/volume-8-issue-1/print-edition/.

    Abstract

    While people around the world mentally represent time in terms of space, there is substantial cross-cultural
    variability regarding which temporal constructs are mapped onto which parts in space. Do particular spatial
    layouts of time – as expressed through metaphors in language – shape temporal focus? We trained native
    English speakers to use spatiotemporal metaphors in a way such that the flow of time is reversed, representing
    the future behind the body (out of visible space) and the past ahead of the body (within visible space). In a
    task measuring perceived relevance of past events, people considered past events and present (or immediate
    past) events to be more relevant after using the reversed metaphors compared to a control group that used canonical metaphors spatializing the past behind and the future ahead of the body (Experiment 1). In a control measure in which temporal information was removed, this effect disappeared (Experiment 2). Taken
    together, these findings suggest that the degree to which people focus on the past may be shaped by the
    visibility of the past in spatiotemporal metaphors used in language.
  • Hoogman, M., Onnink, M., Coolen, R., Aarts, E., Kan, C., Arias Vasquez, A., Buitelaar, J., & Franke, B. (2013). The dopamine transporter haplotype and reward-related striatal responses in adult ADHD. European Neuropsychopharmacology, 23, 469-478. doi:10.1016/j.euroneuro.2012.05.011.

    Abstract

    Attention deficit/hyperactivity disorder (ADHD) is a highly heritable disorder and several genes increasing disease risk have been identified. The dopamine transporter gene, SLC6A3/DAT1, has been studied most extensively in ADHD research. Interestingly, a different haplotype of this gene (formed by genetic variants in the 3' untranslated region and intron 8) is associated with childhood ADHD (haplotype 10-6) and adult ADHD (haplotype 9-6). The expression of DAT1 is highest in striatal regions in the brain. This part of the brain is of interest to ADHD because of its role in reward processing is altered in ADHD patients; ADHD patients display decreased striatal activation during reward processing. To better understand how the DAT1 gene exerts effects on ADHD, we studied the effect of this gene on reward-related brain functioning in the area of its highest expression in the brain, the striatum, using functional magnetic resonance imaging. In doing so, we tried to resolve inconsistencies observed in previous studies of healthy individuals and ADHD-affected children. In a sample of 87 adult ADHD patients and 77 healthy comparison subjects, we confirmed the association of the 9-6 haplotype with adult ADHD. Striatal hypoactivation during the reward anticipation phase of a monetary incentive delay task in ADHD patients was again shown, but no significant effects of DAT1 on striatal activity were found. Although the importance of the DAT1 haplotype as a risk factor for adult ADHD was again demonstrated in this study, the mechanism by which this gene increases disease risk remains largely unknown.

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    mmc1.zip
  • Hoogman, M., Guadalupe, T., Zwiers, M. P., Klarenbeek, P., Francks, C., & Fisher, S. E. (2014). Assessing the effects of common variation in the FOXP2 gene on human brain structure. Frontiers in Human Neuroscience, 8: 473. doi:10.3389/fnhum.2014.00473.

    Abstract

    The FOXP2 transcription factor is one of the most well-known genes to have been implicated in developmental speech and language disorders. Rare mutations disrupting the function of this gene have been described in different families and cases. In a large three-generation family carrying a missense mutation, neuroimaging studies revealed significant effects on brain structure and function, most notably in the inferior frontal gyrus, caudate nucleus and cerebellum. After the identification of rare disruptive FOXP2 variants impacting on brain structure, several reports proposed that common variants at this locus may also have detectable effects on the brain, extending beyond disorder into normal phenotypic variation. These neuroimaging genetics studies used groups of between 14 and 96 participants. The current study assessed effects of common FOXP2 variants on neuroanatomy using voxel-based morphometry and volumetric techniques in a sample of >1300 people from the general population. In a first targeted stage we analyzed single nucleotide polymorphisms (SNPs) claimed to have effects in prior smaller studies (rs2253478, rs12533005, rs2396753, rs6980093, rs7784315, rs17137124, rs10230558, rs7782412, rs1456031), beginning with regions proposed in the relevant papers, then assessing impact across the entire brain. In the second gene-wide stage, we tested all common FOXP2 variation, focusing on volumetry of those regions most strongly implicated from analyses of rare disruptive mutations. Despite using a sample that is more than ten times that used for prior studies of common FOXP2 variation, we found no evidence for effects of SNPs on variability in neuroanatomy in the general population. Thus, the impact of this gene on brain structure may be largely limited to extreme cases of rare disruptive alleles. Alternatively, effects of common variants at this gene exist but are too subtle to be detected with standard volumetric techniques
  • Horan Skilton, A., & Peeters, D. (2021). Cross-linguistic differences in demonstrative systems: Comparing spatial and non-spatial influences on demonstrative use in Ticuna and Dutch. Journal of Pragmatics, 180, 248-265. doi:10.1016/j.pragma.2021.05.001.

    Abstract

    In all spoken languages, speakers use demonstratives – words like this and that – to refer to entities in their immediate environment. But which factors determine whether they use one demonstrative (this) or another (that)? Here we report the results of an experiment examining the effects of referent visibility, referent distance, and addressee location on the production of demonstratives by speakers of Ticuna (isolate; Brazil, Colombia, Peru), an Amazonian language with four demonstratives, and speakers of Dutch (Indo-European; Netherlands, Belgium), which has two demonstratives. We found that Ticuna speakers’ use of demonstratives displayed effects of addressee location and referent distance, but not referent visibility. By contrast, under comparable conditions, Dutch speakers displayed sensitivity only to referent distance. Interestingly, we also observed that Ticuna speakers consistently used demonstratives in all referential utterances in our experimental paradigm, while Dutch speakers strongly preferred to use definite articles. Taken together, these findings shed light on the significant diversity found in demonstrative systems across languages. Additionally, they invite researchers studying exophoric demonstratives to broaden their horizons by cross-linguistically investigating the factors involved in speakers’ choice of demonstratives over other types of referring expressions, especially articles.
  • Hörpel, S. G., Baier, L., Peremans, H., Reijniers, J., Wiegrebe, L., & Firzlaff, U. (2021). Communication breakdown: Limits of spectro-temporal resolution for the perception of bat communication calls. Scientific Reports, 11: 13708. doi:10.1038/s41598-021-92842-4.

    Abstract

    During vocal communication, the spectro‑temporal structure of vocalizations conveys important
    contextual information. Bats excel in the use of sounds for echolocation by meticulous encoding of
    signals in the temporal domain. We therefore hypothesized that for social communication as well,
    bats would excel at detecting minute distortions in the spectro‑temporal structure of calls. To test
    this hypothesis, we systematically introduced spectro‑temporal distortion to communication calls of
    Phyllostomus discolor bats. We broke down each call into windows of the same length and randomized
    the phase spectrum inside each window. The overall degree of spectro‑temporal distortion in
    communication calls increased with window length. Modelling the bat auditory periphery revealed
    that cochlear mechanisms allow discrimination of fast spectro‑temporal envelopes. We evaluated
    model predictions with experimental psychophysical and neurophysiological data. We first assessed
    bats’ performance in discriminating original versions of calls from increasingly distorted versions of
    the same calls. We further examined cortical responses to determine additional specializations for
    call discrimination at the cortical level. Psychophysical and cortical responses concurred with model
    predictions, revealing discrimination thresholds in the range of 8–15 ms randomization‑window
    length. Our data suggest that specialized cortical areas are not necessary to impart psychophysical
    resilience to temporal distortion in communication calls.

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  • Horschig, J. M., Smolders, R., Bonnefond, M., Schoffelen, J.-M., Van den Munckhof, P., Schuurman, P. R., Cools, R., Denys, D., & Jensen, O. (2015). Directed communication between nucleus accumbens and neocortex in humans is differentially supported by synchronization in the theta and alpha band. PLoS One, 10(9): e0138685. doi:10.1371/journal.pone.0138685.

    Abstract

    Here, we report evidence for oscillatory bi-directional interactions between the nucleus accumbens and the neocortex in humans. Six patients performed a demanding covert visual attention task while we simultaneously recorded brain activity from deep-brain electrodes implanted in the nucleus accumbens and the surface electroencephalogram (EEG). Both theta and alpha oscillations were strongly coherent with the frontal and parietal EEG during the task. Theta-band coherence increased during processing of the visual stimuli. Granger causality analysis revealed that the nucleus accumbens was communicating with the neocortex primarily in the theta-band, while the cortex was communicating the nucleus accumbens in the alpha-band. These data are consistent with a model, in which theta- and alpha-band oscillations serve dissociable roles: Prior to stimulus processing, the cortex might suppress ongoing processing in the nucleus accumbens by modulating alpha-band activity. Subsequently, upon stimulus presentation, theta oscillations might facilitate the active exchange of stimulus information from the nucleus accumbens to the cortex.
  • Howe, L. J., Lee, M. K., Sharp, G. C., Smith, G. D. W., St Pourcain, B., Shaffer, J. R., Ludwig, K. U., Mangold, E., Marazita, M. L., Feingold, E., Zhurov, A., Stergiakouli, E., Sandy, J., Richmond, S., Weinberg, S. M., Hemani, G., & Lewis, S. J. (2018). Investigating the shared genetics of non-syndromic cleft lip/palate and facial morphology. PLoS Genetics, 14(8): e1007501. doi:10.1371/journal.pgen.1007501.

    Abstract

    There is increasing evidence that genetic risk variants for non-syndromic cleft lip/palate (nsCL/P) are also associated with normal-range variation in facial morphology. However, previous analyses are mostly limited to candidate SNPs and findings have not been consistently replicated. Here, we used polygenic risk scores (PRS) to test for genetic overlap between nsCL/P and seven biologically relevant facial phenotypes. Where evidence was found of genetic overlap, we used bidirectional Mendelian randomization (MR) to test the hypothesis that genetic liability to nsCL/P is causally related to implicated facial phenotypes. Across 5,804 individuals of European ancestry from two studies, we found strong evidence, using PRS, of genetic overlap between nsCL/P and philtrum width; a 1 S.D. increase in nsCL/P PRS was associated with a 0.10 mm decrease in philtrum width (95% C.I. 0.054, 0.146; P = 2x10-5). Follow-up MR analyses supported a causal relationship; genetic variants for nsCL/P homogeneously cause decreased philtrum width. In addition to the primary analysis, we also identified two novel risk loci for philtrum width at 5q22.2 and 7p15.2 in our Genome-wide Association Study (GWAS) of 6,136 individuals. Our results support a liability threshold model of inheritance for nsCL/P, related to abnormalities in development of the philtrum.
  • Hoymann, G. (2014). [Review of the book Bridging the language gap, Approaches to Herero verbal interaction as development practice in Namibia by Rose Marie Beck]. Journal of African languages and linguistics, 35(1), 130-133. doi:10.1515/jall-2014-0004.
  • Li, W., Li, X., Huang, L., Kong, X., Yang, W., Wei, D., Li, J., Cheng, H., Zhang, Q., Qiu, J., & Liu, J. (2015). Brain structure links trait creativity to openness to experience. Social Cognitive and Affective Neuroscience, 10(2), 191-198. doi:10.1093/scan/nsu041.

    Abstract

    Creativity is crucial to the progression of human civilization and has led to important scientific discoveries. Especially, individuals are more likely to have scientific discoveries if they possess certain personality traits of creativity (trait creativity), including imagination, curiosity, challenge and risk-taking. This study used voxel-based morphometry to identify the brain regions underlying individual differences in trait creativity, as measured by the Williams creativity aptitude test, in a large sample (n = 246). We found that creative individuals had higher gray matter volume in the right posterior middle temporal gyrus (pMTG), which might be related to semantic processing during novelty seeking (e.g. novel association, conceptual integration and metaphor understanding). More importantly, although basic personality factors such as openness to experience, extroversion, conscientiousness and agreeableness (as measured by the NEO Personality Inventory) all contributed to trait creativity, only openness to experience mediated the association between the right pMTG volume and trait creativity. Taken together, our results suggest that the basic personality trait of openness might play an important role in shaping an individual’s trait creativity.
  • Huettig, F., Kolinsky, R., & Lachmann, T. (2018). The culturally co-opted brain: How literacy affects the human mind. Language, Cognition and Neuroscience, 33(3), 275-277. doi:10.1080/23273798.2018.1425803.

    Abstract

    Introduction to the special issue 'The Effects of Literacy on Cognition and Brain Functioning'
  • Huettig, F., Kolinsky, R., & Lachmann, T. (Eds.). (2018). The effects of literacy on cognition and brain functioning [Special Issue]. Language, Cognition and Neuroscience, 33(3).
  • Huettig, F., Lachmann, T., Reis, A., & Petersson, K. M. (2018). Distinguishing cause from effect - Many deficits associated with developmental dyslexia may be a consequence of reduced and suboptimal reading experience. Language, Cognition and Neuroscience, 33(3), 333-350. doi:10.1080/23273798.2017.1348528.

    Abstract

    The cause of developmental dyslexia is still unknown despite decades of intense research. Many causal explanations have been proposed, based on the range of impairments displayed by affected individuals. Here we draw attention to the fact that many of these impairments are also shown by illiterate individuals who have not received any or very little reading instruction. We suggest that this fact may not be coincidental and that the performance differences of both illiterates and individuals with dyslexia compared to literate controls are, to a substantial extent, secondary consequences of either reduced or suboptimal reading experience or a combination of both. The search for the primary causes of reading impairments will make progress if the consequences of quantitative and qualitative differences in reading experience are better taken into account and not mistaken for the causes of reading disorders. We close by providing four recommendations for future research.
  • Huettig, F., & Brouwer, S. (2015). Delayed anticipatory spoken language processing in adults with dyslexia - Evidence from eye-tracking. Dyslexia, 21(2), 97-122. doi:10.1002/dys.1497.

    Abstract

    It is now well-established that anticipation of up-coming input is a key characteristic of spoken language comprehension. It has also frequently been observed that literacy influences spoken language processing. Here we investigated whether anticipatory spoken language processing is related to individuals’ word reading abilities. Dutch adults with dyslexia and a control group participated in two eye-tracking experiments. Experiment 1 was conducted to assess whether adults with dyslexia show the typical language-mediated eye gaze patterns. Eye movements of both adults with and without dyslexia closely replicated earlier research: spoken language is used to direct attention to relevant objects in the environment in a closely time-locked manner. In Experiment 2, participants received instructions (e.g., "Kijk naar deCOM afgebeelde pianoCOM", look at the displayed piano) while viewing four objects. Articles (Dutch “het” or “de”) were gender-marked such that the article agreed in gender only with the target and thus participants could use gender information from the article to predict the target object. The adults with dyslexia anticipated the target objects but much later than the controls. Moreover, participants' word reading scores correlated positively with their anticipatory eye movements. We conclude by discussing the mechanisms by which reading abilities may influence predictive language processing.
  • Huettig, F., & Mishra, R. K. (2014). How literacy acquisition affects the illiterate mind - A critical examination of theories and evidence. Language and Linguistics Compass, 8(10), 401-427. doi:10.1111/lnc3.12092.

    Abstract

    At present, more than one-fifth of humanity is unable to read and write. We critically examine experimental evidence and theories of how (il)literacy affects the human mind. In our discussion we show that literacy has significant cognitive consequences that go beyond the processing of written words and sentences. Thus, cultural inventions such as reading shape general cognitive processing in non-trivial ways. We suggest that this has important implications for educational policy and guidance as well as research into cognitive processing and brain functioning.
  • Huettig, F. (2015). Four central questions about prediction in language processing. Brain Research, 1626, 118-135. doi:10.1016/j.brainres.2015.02.014.

    Abstract

    The notion that prediction is a fundamental principle of human information processing has been en vogue over recent years. The investigation of language processing may be particularly illuminating for testing this claim. Linguists traditionally have argued prediction plays only a minor role during language understanding because of the vast possibilities available to the language user as each word is encountered. In the present review I consider four central questions of anticipatory language processing: Why (i.e. what is the function of prediction in language processing)? What (i.e. what are the cues used to predict up-coming linguistic information and what type of representations are predicted)? How (what mechanisms are involved in predictive language processing and what is the role of possible mediating factors such as working memory)? When (i.e. do individuals always predict up-coming input during language processing)? I propose that prediction occurs via a set of diverse PACS (production-, association-, combinatorial-, and simulation-based prediction) mechanisms which are minimally required for a comprehensive account of predictive language processing. Models of anticipatory language processing must be revised to take multiple mechanisms, mediating factors, and situational context into account. Finally, I conjecture that the evidence considered here is consistent with the notion that prediction is an important aspect but not a fundamental principle of language processing.
  • Huisman, J. L. A., van Hout, R., & Majid, A. (2021). Patterns of semantic variation differ across body parts: evidence from the Japonic languages. Cognitive Linguistics, 32, 455-486. doi:10.1515/cog-2020-0079.

    Abstract

    The human body is central to myriad metaphors, so studying the conceptualisation of the body itself is critical if we are to understand its broader use. One essential but understudied issue is whether languages differ in which body parts they single out for naming. This paper takes a multi-method approach to investigate body part nomenclature within a single language family. Using both a naming task (Study 1) and colouring-in task (Study 2) to collect data from six Japonic languages, we found that lexical similarity for body part terminology was notably differentiated within Japonic, and similar variation was evident in semantics too. Novel application of cluster analysis on naming data revealed a relatively flat hierarchical structure for parts of the face, whereas parts of the body were organised with deeper hierarchical structure. The colouring data revealed that bounded parts show more stability across languages than unbounded parts. Overall, the data reveal there is not a single universal conceptualisation of the body as is often assumed, and that in-depth, multi-method explorations of under-studied languages are urgently required.
  • Huisman, J. L. A., & Majid, A. (2018). Psycholinguistic variables matter in odor naming. Memory & Cognition, 46, 577-588. doi:10.3758/s13421-017-0785-1.

    Abstract

    People from Western societies generally find it difficult to name odors. In trying to explain this, the olfactory literature has proposed several theories that focus heavily on properties of the odor itself but rarely discuss properties of the label used to describe it. However, recent studies show speakers of languages with dedicated smell lexicons can name odors with relative ease. Has the role of the lexicon been overlooked in the olfactory literature? Word production studies show properties of the label, such as word frequency and semantic context, influence naming; but this field of research focuses heavily on the visual domain. The current study combines methods from both fields to investigate word production for olfaction in two experiments. In the first experiment, participants named odors whose veridical labels were either high-frequency or low-frequency words in Dutch, and we found that odors with high-frequency labels were named correctly more often. In the second experiment, edibility was used for manipulating semantic context in search of a semantic interference effect, presenting the odors in blocks of edible and inedible odor source objects to half of the participants. While no evidence was found for a semantic interference effect, an effect of word frequency was again present. Our results demonstrate psycholinguistic variables—such as word frequency—are relevant for olfactory naming, and may, in part, explain why it is difficult to name odors in certain languages. Olfactory researchers cannot afford to ignore properties of an odor’s label.
  • Huizeling, E., Wang, H., Holland, C., & Kessler, K. (2021). Changes in theta and alpha oscillatory signatures of attentional control in older and middle age. European Journal of Neuroscience, 54(1), 4314-4337. doi:10.1111/ejn.15259.

    Abstract

    Recent behavioural research has reported age-related changes in the costs of refocusing attention from a temporal (rapid serial visual presentation) to a spatial (visual search) task. Using magnetoencephalography, we have now compared the neural signatures of attention refocusing between three age groups (19–30, 40–49 and 60+ years) and found differences in task-related modulation and cortical localisation of alpha and theta oscillations. Efficient, faster refocusing in the youngest group compared to both middle age and older groups was reflected in parietal theta effects that were significantly reduced in the older groups. Residual parietal theta activity in older individuals was beneficial to attentional refocusing and could reflect preserved attention mechanisms. Slowed refocusing of attention, especially when a target required consolidation, in the older and middle-aged adults was accompanied by a posterior theta deficit and increased recruitment of frontal (middle-aged and older groups) and temporal (older group only) areas, demonstrating a posterior to anterior processing shift. Theta but not alpha modulation correlated with task performance, suggesting that older adults' stronger and more widely distributed alpha power modulation could reflect decreased neural precision or dedifferentiation but requires further investigation. Our results demonstrate that older adults present with different alpha and theta oscillatory signatures during attentional control, reflecting cognitive decline and, potentially, also different cognitive strategies in an attempt to compensate for decline.

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    supplementary material
  • Hulten, A., Karvonen, L., Laine, M., & Salmelin, R. (2014). Producing speech with a newly learned morphosyntax and vocabulary: An MEG study. Journal of Cognitive Neuroscience, 26(8), 1721-1735. doi:10.1162/jocn_a_00558.
  • Humphries, S., Holler*, J., Crawford, T., & Poliakoff*, E. (2021). Cospeech gestures are a window into the effects of Parkinson’s disease on action representations. Journal of Experimental Psychology: General, 150(8), 1581-1597. doi:10.1037/xge0001002.

    Abstract

    -* indicates joint senior authors - Parkinson’s disease impairs motor function and cognition, which together affect language and
    communication. Co-speech gestures are a form of language-related actions that provide imagistic
    depictions of the speech content they accompany. Gestures rely on visual and motor imagery, but
    it is unknown whether gesture representations require the involvement of intact neural sensory
    and motor systems. We tested this hypothesis with a fine-grained analysis of co-speech action
    gestures in Parkinson’s disease. 37 people with Parkinson’s disease and 33 controls described
    two scenes featuring actions which varied in their inherent degree of bodily motion. In addition
    to the perspective of action gestures (gestural viewpoint/first- vs. third-person perspective), we
    analysed how Parkinson’s patients represent manner (how something/someone moves) and path
    information (where something/someone moves to) in gesture, depending on the degree of bodily
    motion involved in the action depicted. We replicated an earlier finding that people with
    Parkinson’s disease are less likely to gesture about actions from a first-person perspective – preferring instead to depict actions gesturally from a third-person perspective – and show that
    this effect is modulated by the degree of bodily motion in the actions being depicted. When
    describing high motion actions, the Parkinson’s group were specifically impaired in depicting
    manner information in gesture and their use of third-person path-only gestures was significantly
    increased. Gestures about low motion actions were relatively spared. These results inform our
    understanding of the neural and cognitive basis of gesture production by providing
    neuropsychological evidence that action gesture production relies on intact motor network
    function.

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    Open data and code
  • Hustá, C., Zheng, X., Papoutsi, C., & Piai, V. (2021). Electrophysiological signatures of conceptual and lexical retrieval from semantic memory. Neuropsychologia, 161: 107988. doi:10.1016/j.neuropsychologia.2021.107988.

    Abstract

    Retrieval from semantic memory of conceptual and lexical information is essential for producing speech. It is unclear whether there are differences in the neural mechanisms of conceptual and lexical retrieval when spreading activation through semantic memory is initiated by verbal or nonverbal settings. The same twenty participants took part in two EEG experiments. The first experiment examined conceptual and lexical retrieval following nonverbal settings, whereas the second experiment was a replication of previous studies examining conceptual and lexical retrieval following verbal settings. Target pictures were presented after constraining and nonconstraining contexts. In the nonverbal settings, contexts were provided as two priming pictures (e.g., constraining: nest, feather; nonconstraining: anchor, lipstick; target picture: BIRD). In the verbal settings, contexts were provided as sentences (e.g., constraining: “The farmer milked a...”; nonconstraining: “The child drew a...”; target picture: COW). Target pictures were named faster following constraining contexts in both experiments, indicating that conceptual preparation starts before target picture onset in constraining conditions. In the verbal experiment, we replicated the alpha-beta power decreases in constraining relative to nonconstraining conditions before target picture onset. No such power decreases were found in the nonverbal experiment. Power decreases in constraining relative to nonconstraining conditions were significantly different between experiments. Our findings suggest that participants engage in conceptual preparation following verbal and nonverbal settings, albeit differently. The retrieval of a target word, initiated by verbal settings, is associated with alpha-beta power decreases. By contrast, broad conceptual preparation alone, prompted by nonverbal settings, does not seem enough to elicit alpha-beta power decreases. These findings have implications for theories of oscillations and semantic memory.

    Additional information

    1-s2.0-S0028393221002414-mmc1.pdf
  • Ille, S., Ohlerth, A.-K., Colle, D., Colle, H., Dragoy, O., Goodden, J., Robe, P., Rofes, A., Mandonnet, E., Robert, E., Satoer, D., Viegas, C., Visch-Brink, E., van Zandvoort, M., & Krieg, S. (2021). Augmented reality for the virtual dissection of white matter pathways. Acta Neurochirurgica, (4), 895-903. doi:10.1007/s00701-019-04159-x.

    Abstract

    Background The human white matter pathway network is complex and of critical importance for functionality. Thus, learning
    and understanding white matter tract anatomy is important for the training of neuroscientists and neurosurgeons. The study aims
    to test and evaluate a new method for fiber dissection using augmented reality (AR) in a group which is experienced in cadaver
    white matter dissection courses and in vivo tractography.
    Methods Fifteen neurosurgeons, neurolinguists, and neuroscientists participated in this questionnaire-based study. We presented
    five cases of patients with left-sided perisylvian gliomas who underwent awake craniotomy. Diffusion tensor imaging fiber
    tracking (DTI FT) was performed and the language-related networks were visualized separated in different tracts by color.
    Participants were able to virtually dissect the prepared DTI FTs using a spatial computer and AR goggles. The application
    was evaluated through a questionnaire with answers from 0 (minimum) to 10 (maximum).
    Results Participants rated the overall experience of AR fiber dissection with a median of 8 points (mean ± standard deviation 8.5 ± 1.4).
    Usefulness for fiber dissection courses and education in general was rated with 8 (8.3 ± 1.4) and 8 (8.1 ± 1.5) points, respectively.
    Educational value was expected to be high for several target audiences (student: median 9, 8.6 ± 1.4; resident: 9, 8.5 ± 1.8; surgeon: 9,
    8.2 ± 2.4; scientist: 8.5, 8.0 ± 2.4). Even clinical application of AR fiber dissection was expected to be of value with a median of 7
    points (7.0 ± 2.5)
  • Inacio, F., Faisca, L., Forkstam, C., Araujo, S., Bramao, I., Reis, A., & Petersson, K. M. (2018). Implicit sequence learning is preserved in dyslexic children. Annals of Dyslexia, 68(1), 1-14. doi:10.1007/s11881-018-0158-x.

    Abstract

    This study investigates the implicit sequence learning abilities of dyslexic children using an artificial grammar learning task with an extended exposure period. Twenty children with developmental dyslexia participated in the study and were matched with two control groups—one matched for age and other for reading skills. During 3 days, all participants performed an acquisition task, where they were exposed to colored geometrical forms sequences with an underlying grammatical structure. On the last day, after the acquisition task, participants were tested in a grammaticality classification task. Implicit sequence learning was present in dyslexic children, as well as in both control groups, and no differences between groups were observed. These results suggest that implicit learning deficits per se cannot explain the characteristic reading difficulties of the dyslexics.
  • Indefrey, P. (1998). De neurale architectuur van taal: Welke hersengebieden zijn betrokken bij het spreken. Neuropraxis, 2(6), 230-237.
  • Indefrey, P., Gruber, O., Brown, C. M., Hagoort, P., Posse, S., & Kleinschmidt, A. (1998). Lexicality and not syllable frequency determine lateralized premotor activation during the pronunciation of word-like stimuli: An fMRI study. NeuroImage, 7, S4.
  • Indefrey, P. (2014). Time course of word production does not support a parallel input architecture. Language, Cognition and Neuroscience, 29(1), 33-34. doi:10.1080/01690965.2013.847191.

    Abstract

    Hickok's enterprise to unify psycholinguistic and motor control models is highly stimulating. Nonetheless, there are problems of the model with respect to the time course of neural activation in word production, the flexibility for continuous speech, and the need for non-motor feedback.

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  • Jackson, C. N., Mormer, E., & Brehm, L. (2018). The production of subject-verb agreement among Swedish and Chinese second language speakers of English. Studies in Second Language Acquisition, 40(4), 907-921. doi: 10.1017/S0272263118000025.

    Abstract

    This study uses a sentence completion task with Swedish and Chinese L2 English speakers to investigate how L1 morphosyntax and L2 proficiency influence L2 English subject-verb agreement production. Chinese has limited nominal and verbal number morphology, while Swedish has robust noun phrase (NP) morphology but does not number-mark verbs. Results showed that like L1 English speakers, both L2 groups used grammatical and conceptual number to produce subject-verb agreement. However, only L1 Chinese speakers—and less-proficient speakers in both L2 groups—were similarly influenced by grammatical and conceptual number when producing the subject NP. These findings demonstrate how L2 proficiency, perhaps combined with cross-linguistic differences, influence L2 production and underscore that encoding of noun and verb number are not independent.
  • Jacobs, A. M., & Willems, R. M. (2018). The fictive brain: Neurocognitive correlates of engagement in literature. Review of General Psychology, 22(2), 147-160. doi:10.1037/gpr0000106.

    Abstract

    Fiction is vital to our being. Many people enjoy engaging with fiction every day. Here we focus on literary reading as 1 instance of fiction consumption from a cognitive neuroscience perspective. The brain processes which play a role in the mental construction of fiction worlds and the related engagement with fictional characters, remain largely unknown. The authors discuss the neurocognitive poetics model (Jacobs, 2015a) of literary reading specifying the likely neuronal correlates of several key processes in literary reading, namely inference and situation model building, immersion, mental simulation and imagery, figurative language and style, and the issue of distinguishing fact from fiction. An overview of recent work on these key processes is followed by a discussion of methodological challenges in studying the brain bases of fiction processing
  • Jadoul, Y., Thompson, B., & De Boer, B. (2018). Introducing Parselmouth: A Python interface to Praat. Journal of Phonetics, 71, 1-15. doi:10.1016/j.wocn.2018.07.001.

    Abstract

    This paper introduces Parselmouth, an open-source Python library that facilitates access to core functionality of Praat in Python, in an efficient and programmer-friendly way. We introduce and motivate the package, and present simple usage examples. Specifically, we focus on applications in data visualisation, file manipulation, audio manipulation, statistical analysis, and integration of Parselmouth into a Python-based experimental design for automated, in-the-loop manipulation of acoustic data. Parselmouth is available at https://github.com/YannickJadoul/Parselmouth.
  • Yu, X., Janse, E., & Schoonen, R. (2021). The effect of learning context on L2 listening development. Studies in Second Language Acquisition, 43(2), 329-354. doi:10.1017/S0272263120000534.

    Abstract

    Little research has been done on the effect of learning context on L2 listening development. Motivated by DeKeyser’s (2015) skill acquisition theory of second language acquisition, this study compares L2 listening development in study abroad (SA) and at home (AH) contexts from both language knowledge and processing perspectives. One hundred forty-nine Chinese postgraduates studying in either China or the United Kingdom participated in a battery of listening tasks at the beginning and at the end of an academic year. These tasks measure auditory vocabulary knowledge and listening processing efficiency (i.e., accuracy, speed, and stability of processing) in word recognition, grammatical processing, and semantic analysis. Results show that, provided equal starting levels, the SA learners made more progress than the AH learners in speed of processing across the language processing tasks, with less clear results for vocabulary acquisition. Studying abroad may be an effective intervention for L2 learning, especially in terms of processing speed.
  • Yu, X., Janse, E., & Schoonen, R. (2021). The effect of learning context on L2 listening development: Knowledge and processing. Studies in Second Language Acquisition, 43, 329-354. doi:10.1017/S0272263120000534.

    Abstract

    Little research has been done on the effect of learning context on L2 listening development. Motivated by DeKeyser’s (2015) skill acquisition theory of second language acquisition, this study compares L2 listening development in study abroad (SA) and at home (AH) contexts from both language knowledge and processing perspectives. One hundred forty-nine Chinese postgraduates studying in either China or the United Kingdom participated in a battery of listening tasks at the beginning and at the end of an academic year. These tasks measure auditory vocabulary knowledge and listening processing efficiency (i.e., accuracy, speed, and stability of processing) in word recognition, grammatical processing, and semantic analysis. Results show that, provided equal starting levels, the SA learners made more progress than the AH learners in speed of processing across the language processing tasks, with less clear results for vocabulary acquisition. Studying abroad may be an effective intervention for L2 learning, especially in terms of processing speed.
  • Janse, E., & Newman, R. S. (2013). Identifying nonwords: Effects of lexical neighborhoods, phonotactic probability, and listener characteristics. Language and Speech, 56(4), 421-444. doi:10.1177/0023830912447914.

    Abstract

    Listeners find it relatively difficult to recognize words that are similar-sounding to other known words. In contrast, when asked to identify spoken nonwords, listeners perform better when the nonwords are similar to many words in their language. These effects of sound similarity have been assessed in multiple ways, and both sublexical (phonotactic probability) and lexical (neighborhood) effects have been reported, leading to models that incorporate multiple stages of processing. One prediction that can be derived from these models is that there may be differences among individuals in the size of these similarity effects as a function of working memory abilities. This study investigates how item-individual characteristics of nonwords (both phonotactic probability and neighborhood density) interact with listener-individual characteristics (such as cognitive abilities and hearing sensitivity) in the perceptual identification of nonwords. A set of nonwords was used in which neighborhood density and phonotactic probability were not correlated. In our data, neighborhood density affected identification more reliably than did phonotactic probability. The first study, with young adults, showed that higher neighborhood density particularly benefits nonword identification for those with poorer attention-switching control. This suggests that it may be easier to focus attention on a novel item if it activates and receives support from more similar-sounding neighbors. A similar study on nonword identification with older adults showed increased neighborhood density effects for those with poorer hearing, suggesting that activation of long-term linguistic knowledge is particularly important to back up auditory representations that are degraded as a result of hearing loss.
  • Janse, E., & Andringa, S. J. (2021). The roles of cognitive abilities and hearing acuity in older adults’ recognition of words taken from fast and spectrally reduced speech. Applied Psycholinguistics, 42(3), 763-790. doi:10.1017/S0142716421000047.

    Abstract

    Previous literature has identified several cognitive abilities as predictors of individual differences in speech perception. Working memory was chief among them, but effects have also been found for processing speed. Most research has been conducted on speech in noise, but fast and unclear articulation also makes listening challenging, particularly for older listeners. As a first step toward specifying the cognitive mechanisms underlying spoken word recognition, we set up this study to determine which factors explain unique variation in word identification accuracy in fast speech, and the extent to which this was affected by further degradation of the speech signal. To that end, 105 older adults were tested on identification accuracy of fast words in unaltered and degraded conditions in which the speech stimuli were low-pass filtered. They were also tested on processing speed, memory, vocabulary knowledge, and hearing sensitivity. A structural equation analysis showed that only memory and hearing sensitivity explained unique variance in word recognition in both listening conditions. Working memory was more strongly associated with performance in the unfiltered than in the filtered condition. These results suggest that memory skills, rather than speed, facilitate the mapping of single words onto stored lexical representations, particularly in conditions of medium difficulty.
  • Janse, E., & Jesse, A. (2014). Working memory affects older adults’ use of context in spoken-word recognition. Quarterly Journal of Experimental Psychology, 67, 1842-1862. doi:10.1080/17470218.2013.879391.

    Abstract

    Many older listeners report difficulties in understanding speech in noisy situations. Working memory and other cognitive skills may modulate, however, older listeners’ ability to use context information to alleviate the effects of noise on spoken-word recognition. In the present study, we investigated whether working memory predicts older adults’ ability to immediately use context information in the recognition of words embedded in sentences, presented in different listening conditions. In a phoneme-monitoring task, older adults were asked to detect as fast and as accurately as possible target phonemes in sentences spoken by a target speaker. Target speech was presented without noise, with fluctuating speech-shaped noise, or with competing speech from a single distractor speaker. The gradient measure of contextual probability (derived from a separate offline rating study) mainly affected the speed of recognition, with only a marginal effect on detection accuracy. Contextual facilitation was modulated by older listeners’ working memory and age across listening conditions. Working memory and age, as well as hearing loss, were also the most consistent predictors of overall listening performance. Older listeners’ immediate benefit from context in spoken-word recognition thus relates to their ability to keep and update a semantic representation of the sentence content in working memory.

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  • Jansen, N. A., Braden, R. O., Srivastava, S., Otness, E. F., Lesca, G., Rossi, M., Nizon, M., Bernier, R. A., Quelin, C., Van Haeringen, A., Kleefstra, T., Wong, M. M. K., Whalen, S., Fisher, S. E., Morgan, A. T., & Van Bon, B. W. (2021). Clinical delineation of SETBP1 haploinsufficiency disorder. European Journal of Human Genetics, 29, 1198 -1205. doi:10.1038/s41431-021-00888-9.

    Abstract

    SETBP1 haploinsufficiency disorder (MIM#616078) is caused by haploinsufficiency of SETBP1 on chromosome 18q12.3, but there has not yet been any systematic evaluation of the major features of this monogenic syndrome, assessing penetrance and expressivity. We describe the first comprehensive study to delineate the associated clinical phenotype, with findings from 34 individuals, including 24 novel cases, all of whom have a SETBP1 loss-of-function variant or single (coding) gene deletion, confirmed by molecular diagnostics. The most commonly reported clinical features included mild motor developmental delay, speech impairment, intellectual disability, hypotonia, vision impairment, attention/concentration deficits, and hyperactivity. Although there is a mild overlap in certain facial features, the disorder does not lead to a distinctive recognizable facial gestalt. As well as providing insight into the clinical spectrum of SETBP1 haploinsufficiency disorder, this reports puts forward care recommendations for patient management.

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  • Janssen, J., Díaz-Caneja, C. M., Alloza, C., Schippers, A., De Hoyos, L., Santonja, J., Gordaliza, P. M., Buimer, E. E. L., van Haren, N. E. M., Cahn, W., Arango, C., Kahn, R. S., Hulshoff Pol, H. E., & Schnack, H. G. (2021). Dissimilarity in sulcal width patterns in the cortex can be used to identify patients with schizophrenia with extreme deficits in cognitive performance. Schizophrenia Bulletin, 47(2), 552-561. doi:10.1093/schbul/sbaa131.

    Abstract

    Schizophrenia is a biologically complex disorder with multiple regional deficits in cortical brain morphology. In addition, interindividual heterogeneity of cortical morphological metrics is larger in patients with schizophrenia when compared to healthy controls. Exploiting interindividual differences in the severity of cortical morphological deficits in patients instead of focusing on group averages may aid in detecting biologically informed homogeneous subgroups. The person-based similarity index (PBSI) of brain morphology indexes an individual’s morphometric similarity across numerous cortical regions amongst a sample of healthy subjects. We extended the PBSI such that it indexes the morphometric similarity of an independent individual (eg, a patient) with respect to healthy control subjects. By employing a normative modeling approach on longitudinal data, we determined an individual’s degree of morphometric dissimilarity to the norm. We calculated the PBSI for sulcal width (PBSI-SW) in patients with schizophrenia and healthy control subjects (164 patients and 164 healthy controls; 656 magnetic resonance imaging scans) and associated it with cognitive performance and cortical sulcation index. A subgroup of patients with markedly deviant PBSI-SW showed extreme deficits in cognitive performance and cortical sulcation. Progressive reduction of PBSI-SW in the schizophrenia group relative to healthy controls was driven by these deviating individuals. By explicitly leveraging interindividual differences in the severity of PBSI-SW deficits, neuroimaging-driven subgrouping of patients is feasible. As such, our results pave the way for future applications of morphometric similarity indices for subtyping of clinical populations.

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  • Janssen, R., Moisik, S. R., & Dediu, D. (2018). Modelling human hard palate shape with Bézier curves. PLoS One, 13(2): e0191557. doi:10.1371/journal.pone.0191557.

    Abstract

    People vary at most levels, from the molecular to the cognitive, and the shape of the hard palate (the bony roof of the mouth) is no exception. The patterns of variation in the hard palate are important for the forensic sciences and (palaeo)anthropology, and might also play a role in speech production, both in pathological cases and normal variation. Here we describe a method based on Bézier curves, whose main aim is to generate possible shapes of the hard palate in humans for use in computer simulations of speech production and language evolution. Moreover, our method can also capture existing patterns of variation using few and easy-to-interpret parameters, and fits actual data obtained from MRI traces very well with as little as two or three free parameters. When compared to the widely-used Principal Component Analysis (PCA), our method fits actual data slightly worse for the same number of degrees of freedom. However, it is much better at generating new shapes without requiring a calibration sample, its parameters have clearer interpretations, and their ranges are grounded in geometrical considerations. © 2018 Janssen et al. This is an open access article distributed under the terms of the Creative Commons Attribution License, which permits unrestricted use, distribution, and reproduction in any medium, provided the original author and source are credited.
  • Janssen, C., Segers, E., McQueen, J. M., & Verhoeven, L. (2015). Lexical specificity training effects in second language learners. Language Learning, 65(2), 358-389. doi:10.1111/lang.12102.

    Abstract

    Children who start formal education in a second language may experience slower vocabulary growth in that language and subsequently experience disadvantages in literacy acquisition. The current study asked whether lexical specificity training can stimulate bilingual children's phonological awareness, which is considered to be a precursor to literacy. Therefore, Dutch monolingual and Turkish-Dutch bilingual children were taught new Dutch words with only minimal acoustic-phonetic differences. As a result of this training, the monolingual and the bilingual children improved on phoneme blending, which can be seen as an early aspect of phonological awareness. During training, the bilingual children caught up with the monolingual children on words with phonological overlap between their first language Turkish and their second language Dutch. It is concluded that learning minimal pair words fosters phoneme awareness, in both first and second language preliterate children, and that for second language learners phonological overlap between the two languages positively affects training outcomes, likely due to linguistic transfer
  • Jara-Ettinger, J., & Rubio-Fernández, P. (2021). Quantitative mental state attributions in language understanding. Science Advances, 7: eabj0970. doi:10.1126/sciadv.abj0970.

    Abstract

    Human social intelligence relies on our ability to infer other people’s mental states such as their beliefs, desires,and intentions. While people are proficient at mental state inference from physical action, it is unknown whether people can make inferences of comparable granularity from simple linguistic events. Here, we show that people can make quantitative mental state attributions from simple referential expressions, replicating the fine-grained inferential structure characteristic of nonlinguistic theory of mind. Moreover, people quantitatively adjust these inferences after brief exposures to speaker-specific speech patterns. These judgments matched the predictions made by our computational model of theory of mind in language, but could not be explained by a simpler qualitative model that attributes mental states deductively. Our findings show how the connection between language and theory of mind runs deep, with their interaction showing in one of the most fundamental forms of human communication: reference.

    Additional information

    https://osf.io/h8qfy/
  • Jeltema, H., Ohlerth, A.-K., de Wit, A., Wagemakers, M., Rofes, A., Bastiaanse, R., & Drost, G. (2021). Comparing navigated transcranial magnetic stimulation mapping and "gold standard" direct cortical stimulation mapping in neurosurgery: a systematic review. Neurosurgical Review, (4), 1903-1920. doi:10.1007/s10143-020-01397-x.

    Abstract

    The objective of this systematic review is to create an overview of the literature on the comparison of navigated transcranial magnetic stimulation (nTMS) as a mapping tool to the current gold standard, which is (intraoperative) direct cortical stimulation (DCS) mapping. A search in the databases of PubMed, EMBASE, and Web of Science was performed. The Preferred Reporting Items for Systematic Reviews and Meta-Analyses (PRISMA) guidelines and recommendations were used. Thirty-five publications were included in the review, describing a total of 552 patients. All studies concerned either mapping of motor or language function. No comparative data for nTMS and DCS for other neurological functions were found. For motor mapping, the distances between the cortical representation of the different muscle groups identified by nTMS and DCS varied between 2 and 16 mm. Regarding mapping of language function, solely an object naming task was performed in the comparative studies on nTMS and DCS. Sensitivity and specificity ranged from 10 to 100% and 13.3–98%, respectively, when nTMS language mapping was compared with DCS mapping. The positive predictive value (PPV) and negative predictive value (NPV) ranged from 17 to 75% and 57–100% respectively. The available evidence for nTMS as a mapping modality for motor and language function is discussed.
  • Jesse, A., & McQueen, J. M. (2014). Suprasegmental lexical stress cues in visual speech can guide spoken-word recognition. Quarterly Journal of Experimental Psychology, 67, 793-808. doi:10.1080/17470218.2013.834371.

    Abstract

    Visual cues to the individual segments of speech and to sentence prosody guide speech recognition. The present study tested whether visual suprasegmental cues to the stress patterns of words can also constrain recognition. Dutch listeners use acoustic suprasegmental cues to lexical stress (changes in duration, amplitude, and pitch) in spoken-word recognition. We asked here whether they can also use visual suprasegmental cues. In two categorization experiments, Dutch participants saw a speaker say fragments of word pairs that were segmentally identical but differed in their stress realization (e.g., 'ca-vi from cavia "guinea pig" vs. 'ka-vi from kaviaar "caviar"). Participants were able to distinguish between these pairs from seeing a speaker alone. Only the presence of primary stress in the fragment, not its absence, was informative. Participants were able to distinguish visually primary from secondary stress on first syllables, but only when the fragment-bearing target word carried phrase-level emphasis. Furthermore, participants distinguished fragments with primary stress on their second syllable from those with secondary stress on their first syllable (e.g., pro-'jec from projector "projector" vs. 'pro-jec from projectiel "projectile"), independently of phrase-level emphasis. Seeing a speaker thus contributes to spoken-word recognition by providing suprasegmental information about the presence of primary lexical stress.
  • Jiang, J., Chen, C., Dai, B., Shi, G., Liu, L., & Lu, C. (2015). Leader emergence through interpersonal neural synchronization. Proceedings of the National Academy of Sciences of the United States of America, 112(14), 4274-4279. doi:10.1073/pnas.1422930112.

    Abstract

    The neural mechanism of leader emergence is not well understood. This study investigated (i) whether interpersonal neural synchronization (INS) plays an important role in leader emergence, and (ii) whether INS and leader emergence are associated with the frequency or the quality of communications. Eleven three-member groups were asked to perform a leaderless group discussion (LGD) task, and their brain activities were recorded via functional near infrared spectroscopy (fNIRS)-based hyperscanning. Video recordings of the discussions were coded for leadership and communication. Results showed that the INS for the leader–follower (LF) pairs was higher than that for the follower–follower (FF) pairs in the left temporo-parietal junction (TPJ), an area important for social mentalizing. Although communication frequency was higher for the LF pairs than for the FF pairs, the frequency of leader-initiated and follower-initiated communication did not differ significantly. Moreover, INS for the LF pairs was significantly higher during leader-initiated communication than during follower-initiated communications. In addition, INS for the LF pairs during leader-initiated communication was significantly correlated with the leaders’ communication skills and competence, but not their communication frequency. Finally, leadership could be successfully predicted based on INS as well as communication frequency early during the LGD (before half a minute into the task). In sum, this study found that leader emergence was characterized by high-level neural synchronization between the leader and followers and that the quality, rather than the frequency, of communications was associated with synchronization. These results suggest that leaders emerge because they are able to say the right things at the right time.
  • Johnson, E. K., Lahey, M., Ernestus, M., & Cutler, A. (2013). A multimodal corpus of speech to infant and adult listeners. Journal of the Acoustical Society of America, 134, EL534-EL540. doi:10.1121/1.4828977.

    Abstract

    An audio and video corpus of speech addressed to 28 11-month-olds is described. The corpus allows comparisons between adult speech directed towards infants, familiar adults and unfamiliar adult addressees, as well as of caregivers’ word teaching strategies across word classes. Summary data show that infant-directed speech differed more from speech to unfamiliar than familiar adults; that word teaching strategies for nominals versus verbs and adjectives differed; that mothers mostly addressed infants with multi-word utterances; and that infants’ vocabulary size was unrelated to speech rate, but correlated positively with predominance of continuous caregiver speech (not of isolated words) in the input.
  • Johnson, E. K., Bruggeman, L., & Cutler, A. (2018). Abstraction and the (misnamed) language familiarity effect. Cognitive Science, 42, 633-645. doi:10.1111/cogs.12520.

    Abstract

    Talkers are recognized more accurately if they are speaking the listeners’ native language rather than an unfamiliar language. This “language familiarity effect” has been shown not to depend upon comprehension and must instead involve language sound patterns. We further examine the level of sound-pattern processing involved, by comparing talker recognition in foreign languages versus two varieties of English, by (a) English speakers of one variety, (b) English speakers of the other variety, and (c) non-native listeners (more familiar with one of the varieties). All listener groups performed better with native than foreign speech, but no effect of language variety appeared: Native listeners discriminated talkers equally well in each, with the native variety never outdoing the other variety, and non-native listeners discriminated talkers equally poorly in each, irrespective of the variety's familiarity. The results suggest that this talker recognition effect rests not on simple familiarity, but on an abstract level of phonological processing
  • Jones, G., Cabiddu, F., Andrews, M., & Rowland, C. F. (2021). Chunks of phonological knowledge play a significant role in children’s word learning and explain effects of neighborhood size, phonotactic probability, word frequency and word length. Journal of Memory and Language, 119: 104232. doi:10.1016/j.jml.2021.104232.

    Abstract

    A key omission from many accounts of children’s early word learning is the linguistic knowledge that the child has acquired up to the point when learning occurs. We simulate this knowledge using a computational model that learns phoneme and word sequence knowledge from naturalistic language corpora. We show how this simple model is able to account for effects of word length, word frequency, neighborhood density and phonotactic probability on children’s early word learning. Moreover, we show how effects of neighborhood density and phonotactic probability on word learning are largely influenced by word length, with our model being able to capture all effects. We then use predictions from the model to show how the ease by which a child learns a new word from maternal input is directly influenced by the phonological knowledge that the child has acquired from other words up to the point of encountering the new word. There are major implications of this work: models and theories of early word learning need to incorporate existing sublexical and lexical knowledge in explaining developmental change while well-established indices of word learning are rejected in favor of phonological knowledge of varying grain sizes.

    Additional information

    supplementary data research data
  • Jongman, S. R., Roelofs, A., & Meyer, A. S. (2015). Sustained attention in language production: An individual differences investigation. Quarterly Journal of Experimental Psychology, 68, 710-730. doi:10.1080/17470218.2014.964736.

    Abstract

    Whereas it has long been assumed that most linguistic processes underlying language production happen automatically, accumulating evidence suggests that some form of attention is required. Here, we investigated the contribution of sustained attention, which is the ability to maintain alertness over time. First, the sustained attention ability of participants was measured using auditory and visual continuous performance tasks. Next, the participants described pictures using simple noun phrases while their response times (RTs) and gaze durations were measured. Earlier research has suggested that gaze duration reflects language planning processes up to and including phonological encoding. Individual differences in sustained attention ability correlated with individual differences in the magnitude of the tail of the RT distribution, reflecting the proportion of very slow responses, but not with individual differences in gaze duration. These results suggest that language production requires sustained attention, especially after phonological encoding.
  • Jongman, S. R., Meyer, A. S., & Roelofs, A. (2015). The role of sustained attention in the production of conjoined noun phrases: An individual differences study. PLoS One, 10(9): e0137557. doi:10.1371/journal.pone.0137557.

    Abstract

    It has previously been shown that language production, performed simultaneously with a nonlinguistic task, involves sustained attention. Sustained attention concerns the ability to maintain alertness over time. Here, we aimed to replicate the previous finding by showing that individuals call upon sustained attention when they plan single noun phrases (e.g., "the carrot") and perform a manual arrow categorization task. In addition, we investigated whether speakers also recruit sustained attention when they produce conjoined noun phrases (e.g., "the carrot and the bucket") describing two pictures, that is, when both the first and second task are linguistic. We found that sustained attention correlated with the proportion of abnormally slow phrase-production responses. Individuals with poor sustained attention displayed a greater number of very slow responses than individuals with better sustained attention. Importantly, this relationship was obtained both for the production of single phrases while performing a nonlinguistic manual task, and the production of noun phrase conjunctions in referring to two spatially separated objects. Inhibition and updating abilities were also measured. These scores did not correlate with our measure of sustained attention, suggesting that sustained attention and executive control are distinct. Overall, the results suggest that planning conjoined noun phrases involves sustained attention, and that language production happens less automatically than has often been assumed.
  • Jongman, S. R., Khoe, Y. H., & Hintz, F. (2021). Vocabulary size influences spontaneous speech in native language users: Validating the use of automatic speech recognition in individual differences research. Language and Speech, 64(1), 35-51. doi:10.1177/0023830920911079.

    Abstract

    Previous research has shown that vocabulary size affects performance on laboratory word production tasks. Individuals who know many words show faster lexical access and retrieve more words belonging to pre-specified categories than individuals who know fewer words. The present study examined the relationship between receptive vocabulary size and speaking skills as assessed in a natural sentence production task. We asked whether measures derived from spontaneous responses to every-day questions correlate with the size of participants’ vocabulary. Moreover, we assessed the suitability of automatic speech recognition for the analysis of participants’ responses in complex language production data. We found that vocabulary size predicted indices of spontaneous speech: Individuals with a larger vocabulary produced more words and had a higher speech-silence ratio compared to individuals with a smaller vocabulary. Importantly, these relationships were reliably identified using manual and automated transcription methods. Taken together, our results suggest that spontaneous speech elicitation is a useful method to investigate natural language production and that automatic speech recognition can alleviate the burden of labor-intensive speech transcription.
  • Jordan, F., & Huber, B. H. (2013). Introduction: Evolutionary processes in language and culture group. Cross-Cultural Research, 47(2), 91 -101. doi:10.1177/1069397112471800.

    Abstract

    This special issue “Evolutionary Approaches to Cross-Cultural Anthropology” brings together scholars from the fields of behavioral ecology, evolutionary psychology, and cultural evolution whose cross-cultural work draws on evolutionary theory and methods. The papers here are a subset of those presented at a symposium we organized for the 2011 meeting of the Society for Cross-Cultural Research held in Charleston, South Carolina. Collectively, our authors show how an engagement with cultural variation has enriched evolutionary anthropology, and these papers showcase how cross-cultural research can benefit from the theoretical and methodological contributions of an evolutionary approach.
  • Julvez, J., Smith, G. D., Golding, J., Ring, S., St Pourcain, B., Gonzalez, J. R., & Grandjean, P. (2013). Prenatal methylmercury exposure and genetic predisposition to cognitive deficit at age 8 years. Epidemiology, 24(5), 643-650. doi:10.1097/EDE.0b013e31829d5c93.

    Abstract

    BACKGROUND: Cognitive consequences at school age associated with prenatal methylmercury (MeHg) exposure may need to take into account nutritional and sociodemographic cofactors as well as relevant genetic polymorphisms. METHODS: A subsample (n = 1,311) of the Avon Longitudinal Study of Parents and Children (Bristol, UK) was selected, and mercury (Hg) concentrations were measured in freeze-dried umbilical cord tissue as a measure of MeHg exposure. A total of 1135 children had available data on 247 single-nucleotide polymorphisms (SNPs) within relevant genes, as well as the Wechsler Intelligence Scale for Children Intelligence Quotient (IQ) scores at age 8 years. Multivariate regression models were used to assess the associations between MeHg exposure and IQ and to determine possible gene-environment interactions. RESULTS: Hg concentrations indicated low background exposures (mean = 26 ng/g, standard deviation = 13). Log10-transformed Hg was positively associated with IQ, which attenuated after adjustment for nutritional and sociodemographic cofactors. In stratified analyses, a reverse association was found in higher social class families (for performance IQ, P value for interaction = 0.0013) among whom there was a wider range of MeHg exposure. Among 40 SNPs showing nominally significant main effects, MeHg interactions were detected for rs662 (paraoxonase 1) and rs1042838 (progesterone receptor) (P <} 0.05) and for rs3811647 (transferrin) and rs2049046 (brain-derived neurotrophic factor) (P {< 0.10). CONCLUSIONS: In this population with a low level of MeHg exposure, there were only equivocal associations between MeHg exposure and adverse neuropsychological outcomes. Heterogeneities in several relevant genes suggest possible genetic predisposition to MeHg neurotoxicity in a substantial proportion of the population. Future studies need to address this possibility.
  • Junge, C., & Cutler, A. (2014). Early word recognition and later language skills. Brain sciences, 4(4), 532-559. doi:10.3390/brainsci4040532.

    Abstract

    Recent behavioral and electrophysiological evidence has highlighted the long-term importance for language skills of an early ability to recognize words in continuous speech. We here present further tests of this long-term link in the form of follow-up studies conducted with two (separate) groups of infants who had earlier participated in speech segmentation tasks. Each study extends prior follow-up tests: Study 1 by using a novel follow-up measure that taps into online processing, Study 2 by assessing language performance relationships over a longer time span than previously tested. Results of Study 1 show that brain correlates of speech segmentation ability at 10 months are positively related to 16-month-olds’ target fixations in a looking-while-listening task. Results of Study 2 show that infant speech segmentation ability no longer directly predicts language profiles at the age of five. However, a meta-analysis across our results and those of similar studies (Study 3) reveals that age at follow-up does not moderate effect size. Together, the results suggest that infants’ ability to recognize words in speech certainly benefits early vocabulary development; further observed relationships of later language skills to early word recognition may be consequent upon this vocabulary size effect.
  • Junge, C., Cutler, A., & Hagoort, P. (2014). Successful word recognition by 10-month-olds given continuous speech both at initial exposure and test. Infancy, 19(2), 179-193. doi:10.1111/infa.12040.

    Abstract

    Most words that infants hear occur within fluent speech. To compile a vocabulary, infants therefore need to segment words from speech contexts. This study is the first to investigate whether infants (here: 10-month-olds) can recognize words when both initial exposure and test presentation are in continuous speech. Electrophysiological evidence attests that this indeed occurs: An increased extended negativity (word recognition effect) appears for familiarized target words relative to control words. This response proved constant at the individual level: Only infants who showed this negativity at test had shown such a response, within six repetitions after first occurrence, during familiarization.
  • Kajihara, T., Verdonschot, R. G., Sparks, J., & Stewart, L. (2013). Action-perception coupling in violinists. Frontiers in Human Neuroscience, 7: 349. doi:10.3389/fnhum.2013.00349.

    Abstract

    The current study investigates auditory-motor coupling in musically trained participants using a Stroop-type task that required the execution of simple finger sequences according to aurally presented number sequences (e.g., "2," " 4," "5," "3," "1"). Digital remastering was used to manipulate the pitch contour of the number sequences such that they were either congruent or incongruent with respect to the resulting action sequence. Conservatoire-level violinists showed a strong effect of congruency manipulation (increased response time for incongruent vs. congruent trials), in comparison to a control group of non-musicians. In Experiment 2, this paradigm was used to determine whether pedagogical background would influence this effect in a group of young violinists. Suzuki-trained violinists differed significantly from those with no musical background, while traditionally-trained violinists did not. The findings extend previous research in this area by demonstrating that obligatory audio-motor coupling is directly related to a musicians' expertise on their instrument of study and is influenced by pedagogy.
  • Kalashnikova, M., Escudero, P., & Kidd, E. (2018). The development of fast-mapping and novel word retention strategies in monolingual and bilingual infants. Developmental Science, 21(6): e12674. doi:10.1111/desc.12674.

    Abstract

    The mutual exclusivity (ME) assumption is proposed to facilitate early word learning by guiding infants to map novel words to novel referents. This study assessed the emergence and use of ME to both disambiguate and retain the meanings of novel words across development in 18‐month‐old monolingual and bilingual children (Experiment 1; N = 58), and in a sub‐group of these children again at 24 months of age (Experiment 2: N = 32). Both monolinguals and bilinguals employed ME to select the referent of a novel label to a similar extent at 18 and 24 months. At 18 months, there were also no differences in novel word retention between the two language‐background groups. However, at 24 months, only monolinguals showed the ability to retain these label–object mappings. These findings indicate that the development of the ME assumption as a reliable word‐learning strategy is shaped by children's individual language exposure and experience with language use.

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  • Kaltwasser, L., Ries, S., Sommer, W., Knight, R., & Willems, R. M. (2013). Independence of valence and reward in emotional word processing: Electrophysiological evidence. Frontiers in Psychology, 4: 168. doi:10.3389/fpsyg.2013.00168.

    Abstract

    Both emotion and reward are primary modulators of cognition: Emotional word content enhances word processing, and reward expectancy similarly amplifies cognitive processing from the perceptual up to the executive control level. Here, we investigate how these primary regulators of cognition interact. We studied how the anticipation of gain or loss modulates the neural time course (event-related potentials, ERPs) related to processing of emotional words. Participants performed a semantic categorization task on emotional and neutral words, which were preceded by a cue indicating that performance could lead to monetary gain or loss. Emotion-related and reward-related effects occurred in different time windows, did not interact statistically, and showed different topographies. This speaks for an independence of reward expectancy and the processing of emotional word content. Therefore, privileged processing given to emotionally valenced words seems immune to short-term modulation of reward. Models of language comprehension should be able to incorporate effects of reward and emotion on language processing, and the current study argues for an architecture in which reward and emotion do not share a common neurobiological mechanism
  • Kanero, J., Geçkin, V., Oranç, C., Mamus, E., Küntay, A. C., & Göksun, T. (2018). Social robots for early language learning: Current evidence and future directions. Child Development Perspectives, 12(3), 146-151. doi:10.1111/cdep.12277.

    Abstract

    In this article, we review research on child–robot interaction (CRI) to discuss how social robots can be used to scaffold language learning in young children. First we provide reasons why robots can be useful for teaching first and second languages to children. Then we review studies on CRI that used robots to help children learn vocabulary and produce language. The studies vary in first and second languages and demographics of the learners (typically developing children and children with hearing and communication impairments). We conclude that, although social robots are useful for teaching language to children, evidence suggests that robots are not as effective as human teachers. However, this conclusion is not definitive because robots that tutor students in language have not been evaluated rigorously and technology is advancing rapidly. We suggest that CRI offers an opportunity for research and list possible directions for that work.
  • Kapteijns, B., & Hintz, F. (2021). Comparing predictors of sentence self-paced reading times: Syntactic complexity versus transitional probability metrics. PLoS One, 16(7): e0254546. doi:10.1371/journal.pone.0254546.

    Abstract

    When estimating the influence of sentence complexity on reading, researchers typically opt for one of two main approaches: Measuring syntactic complexity (SC) or transitional probability (TP). Comparisons of the predictive power of both approaches have yielded mixed results. To address this inconsistency, we conducted a self-paced reading experiment. Participants read sentences of varying syntactic complexity. From two alternatives, we selected the set of SC and TP measures, respectively, that provided the best fit to the self-paced reading data. We then compared the contributions of the SC and TP measures to reading times when entered into the same model. Our results showed that both measures explained significant portions of variance in self-paced reading times. Thus, researchers aiming to measure sentence complexity should take both SC and TP into account. All of the analyses were conducted with and without control variables known to influence reading times (word/sentence length, word frequency and word position) to showcase how the effects of SC and TP change in the presence of the control variables.

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  • Karadöller, D. Z., Sumer, B., & Ozyurek, A. (2021). Effects and non-effects of late language exposure on spatial language development: Evidence from deaf adults and children. Language Learning and Development, 17(1), 1-25. doi:10.1080/15475441.2020.1823846.

    Abstract

    Late exposure to the first language, as in the case of deaf children with hearing parents, hinders the production of linguistic expressions, even in adulthood. Less is known about the development of language soon after language exposure and if late exposure hinders all domains of language in children and adults. We compared late signing adults and children (MAge = 8;5) 2 years after exposure to sign language, to their age-matched native signing peers in expressions of two types of locative relations that are acquired in certain cognitive-developmental order: view-independent (IN-ON-UNDER) and view-dependent (LEFT-RIGHT). Late signing children and adults differed from native signers in their use of linguistic devices for view-dependent relations but not for view-independent relations. These effects were also modulated by the morphological complexity. Hindering effects of late language exposure on the development of language in children and adults are not absolute but are modulated by cognitive and linguistic complexity.
  • Karlebach, G., & Francks, C. (2015). Lateralization of gene expression in human language cortex. Cortex, 67, 30-36. doi:10.1016/j.cortex.2015.03.003.

    Abstract

    Lateralization is an important aspect of the functional brain architecture for language and other cognitive faculties. The molecular genetic basis of human brain lateralization is unknown, and recent studies have suggested that gene expression in the cerebral cortex is bilaterally symmetrical. Here we have re-analyzed two transcriptomic datasets derived from post mortem human cerebral cortex, with a specific focus on superior temporal and auditory language cortex in adults. We applied an empirical Bayes approach to model differential left-right expression, together with gene ontology analysis and meta-analysis. There was robust and reproducible lateralization of individual genes and gene ontology groups that are likely to fine-tune the electrophysiological and neurotransmission properties of cortical circuits, most notably synaptic transmission, nervous system development and glutamate receptor activity. Our findings anchor the cerebral biology of language to the molecular genetic level. Future research in model systems may determine how these molecular signatures of neurophysiological lateralization effect fine-tuning of cerebral cortical function, differently in the two hemispheres.
  • Kartushina, N., Hervais-Adelman, A., Frauenfelder, U. H., & Golestani, N. (2015). The effect of phonetic production training with visual feedback on the perception and production of foreign speech sounds. The Journal of the Acoustical Society of America, 138(2), 817-832. doi:10.1121/1.4926561.

    Abstract

    Second-language learners often experience major difficulties in producing non-native speech sounds. This paper introduces a training method that uses a real-time analysis of the acoustic properties of vowels produced by non-native speakers to provide them with immediate, trial-by-trial visual feedback about their articulation alongside that of the same vowels produced by native speakers. The Mahalanobis acoustic distance between non-native productions and target native acoustic spaces was used to assess L2 production accuracy. The experiment shows that 1 h of training per vowel improves the production of four non-native Danish vowels: the learners' productions were closer to the corresponding Danish target vowels after training. The production performance of a control group remained unchanged. Comparisons of pre- and post-training vowel discrimination performance in the experimental group showed improvements in perception. Correlational analyses of training-related changes in production and perception revealed no relationship. These results suggest, first, that this training method is effective in improving non-native vowel production. Second, training purely on production improves perception. Finally, it appears that improvements in production and perception do not systematically progress at equal rates within individuals. (C) 2015 Acoustical Society of America.
  • Keller, K. L., Fritz, R. S., Zoubek, C. M., Kennedy, E. H., Cronin, K. A., Rothwell, E. S., & Serfass, T. L. (2014). Effects of transport on fecal glucocorticoid levels in captive-bred cotton-top tamarins (Saguinus oedipus). Journal of the Pennsylvania Academy of Science, 88(2), 84-88.

    Abstract

    The relocation of animals can induce stress when animals are placed in novel environmental conditions. The movement of captive animals among facilities is common, especially for non-human primates used in research. The stress response begins with the activation of the hypothalamic-pituitary-adrenal (HPA) axis which results in the release of glucocorticoid hormones (GC), which at chronic levels could lead to deleterious physiological effects. There is a substantial body of data concerning GC levels affecting reproduction, and rank and aggression in primates. However, the effect of transport has received much less attention. Fecal samples from eight (four male and four female) captive-bred cotton-top tamarins (Saguinus oedipus) were collected at four different time points (two pre-transport and two post-transport). The fecal samples were analyzed using an immunoassay to determine GC levels. A repeated measures analysis of variance (ANOVA) demonstrated that GC levels differed among transport times (p = 0.009), but not between sexes (p = 0.963). Five of the eight tamarins exhibited an increase in GC levels after transport. Seven of the eight tamarins exhibited a decrease in GC levels from three to six days post-transport to three weeks post-transport. Most values returned to pre-transport levels after three weeks. The results indicate that these tamarins experienced elevated GC levels following transport, but these increases were of short duration. This outcome would suggest that the negative effects of elevated GC levels were also of short duration.
  • Kelly, B. F., Kidd, E., & Wigglesworth, G. (2015). Indigenous children's language: Acquisition, preservation and evolution of language in minority contexts. First Language, 35(4-5), 279-285. doi:10.1177/0142723715618056.

    Abstract

    A comprehensive theory of language acquisition must explain how human infants can learn any one of the world’s 7000 or so languages. As such, an important part of understanding how languages are learned is to investigate acquisition across a range of diverse languages and sociocultural contexts. To this end, cross-linguistic and cross-cultural language research has been pervasive in the field of first language acquisition since the early 1980s. In groundbreaking work, Slobin (1985) noted that the study of acquisition in cross-linguistic perspective can be used to reveal both developmental universals and language-specific acquisition patterns. Since this observation there have been several waves of cross-linguistic first language acquisition research, and more recently we have seen a rise in research investigating lesser-known languages. This special issue brings together work on several such languages, spoken in minority contexts. It is the first collection of language development research dedicated to the acquisition of under-studied or little-known languages and by extension, different cultures. Why lesser-known languages, and why minority contexts? First and foremost, acquisition theories need data from different languages, language families and cultural groups across the broadest typological array possible, and yet many theories of acquisition have been developed through analyses of English and other major world languages. Thus they are likely to be skewed by sampling bias. Languages of European origin constitute a small percentage of the total number of languages spoken worldwide. The Ethnologue (2015) lists 7102 languages spoken across the world. Of these, only 286 languages are languages of European origin, a mere 4% of the total number of languages spoken across the planet, and representing approximately only 26% of the total number of language speakers alive today. Compare this to the languages of the Pacific. The Ethnologue lists 1313 languages spoken in the Pacific, constituting 18.5% of the world’s languages. Of these, very few have been described, and even fewer have child language data available. Lieven and Stoll (2010) note that only around 70–80 languages have been the focus of acquisition studies (around 1% of the world’s languages). This somewhat alarming statistic suggests that the time is now ripe for researchers working on lesser-known languages to contribute to the field’s knowledge about how children learn a range of very different languages across differing cultures, and in doing so, for this research to make a contribution to language acquisition theory. The potential benefits are many. First, decades of descriptive work in linguistic typology have culminated in strong challenges to the existence of a Universal Grammar (Evans & Levinson, 2009), a long-held axiom of formal language acquisition theory. To be sure, cross-linguistic work in acquisition has long fuelled this debate (e.g. MacWhinney & Bates, 1989), but only as we collect a greater number of data points will we move closer toward a better understanding of the initial state of the human capacity for language and the types of social and cultural contexts in which language is successfully transmitted. A focus on linguistic diversity enables the investigation and postulation of universals in language acquisition, if and in whatever form they exist. In doing so, we can determine the sorts of things that are evident in child-directed speech, in children’s language production and in adult language, teasing out the threads at the intersection of language, culture and cognition. The study and dissemination of research into lesser-known, under-described languages with small communities significantly contributes to this aim because it not only reflects the diversity of languages present in the world, but provides a better representation of the social and economic conditions under which the majority of the world’s population acquire language (Heinrich, Heins, & Norenzayan, 2010). Related to this point, the study of smaller languages has taken on intense urgency in the past few decades due to the rapid extinction of these languages (Evans, 2010). The Language Documentation movement has toiled tirelessly in the pursuit of documenting languages before they disappear, an effort to which child language researchers have much to offer. Many children acquire smaller and minority languages in rich multilingual environments, where the influence of dominant languages affects acquisition (e.g., Stoll, Zakharko, Moran, Schikowski, & Bickel, 2015). Understanding the acquisition process where systems compete and may be in flux due to language contact, while no small task, will help us understand the social and economic conditions which favour successful preservation of minority languages, which could ultimately equip communities with the tools to stem the flow of language loss. With these points in mind we now turn to the articles in this special issue.
  • Kelly, B., Wigglesworth, G., Nordlinger, R., & Blythe, J. (2014). The acquisition of polysynthetic languages. Language and Linguistics Compass, 8, 51-64. doi:10.1111/lnc3.12062.

    Abstract

    One of the major challenges in acquiring a language is being able to use morphology as an adult would, and thus, a considerable amount of acquisition research has focused on morphological production and comprehension. Most of this research, however, has focused on the acquisition of morphology in isolating languages, or languages (such as English) with limited inflectional morphology. The nature of the learning task is different, and potentially more challenging, when the child is learning a polysynthetic language – a language in which words are highly morphologically complex, expressing in a single word what in English takes a multi-word clause. To date, there has been no cross-linguistic survey of how children approach this puzzle and learn polysynthetic languages. This paper aims to provide such a survey, including a discussion of some of the general findings in the literature regarding the acquisition of polysynthetic systems
  • Kelly, S., Healey, M., Ozyurek, A., & Holler, J. (2015). The processing of speech, gesture and action during language comprehension. Psychonomic Bulletin & Review, 22, 517-523. doi:10.3758/s13423-014-0681-7.

    Abstract

    Hand gestures and speech form a single integrated system of meaning during language comprehension, but is gesture processed with speech in a unique fashion? We had subjects watch multimodal videos that presented auditory (words) and visual (gestures and actions on objects) information. Half of the subjects related the audio information to a written prime presented before the video, and the other half related the visual information to the written prime. For half of the multimodal video stimuli, the audio and visual information contents were congruent, and for the other half, they were incongruent. For all subjects, stimuli in which the gestures and actions were incongruent with the speech produced more errors and longer response times than did stimuli that were congruent, but this effect was less prominent for speech-action stimuli than for speech-gesture stimuli. However, subjects focusing on visual targets were more accurate when processing actions than gestures. These results suggest that although actions may be easier to process than gestures, gestures may be more tightly tied to the processing of accompanying speech.
  • Kember, H., Choi, J., Yu, J., & Cutler, A. (2021). The processing of linguistic prominence. Language and Speech, 64(2), 413-436. doi:10.1177/0023830919880217.

    Abstract

    Prominence, the expression of informational weight within utterances, can be signaled by
    prosodic highlighting (head-prominence, as in English) or by position (as in Korean edge-prominence).
    Prominence confers processing advantages, even if conveyed only by discourse manipulations. Here
    we compared processing of prominence in English and Korean, using a task that indexes processing
    success, namely recognition memory. In each language, participants’ memory was tested for target
    words heard in sentences in which they were prominent due to prosody, position, both or neither.
    Prominence produced recall advantage, but the relative effects differed across language. For Korean
    listeners the positional advantage was greater, but for English listeners prosodic and syntactic
    prominence had equivalent and additive effects. In a further experiment semantic and phonological
    foils tested depth of processing of the recall targets. Both foil types were correctly rejected,
    suggesting that semantic processing had not reached the level at which word form was no longer
    available. Together the results suggest that prominence processing is primarily driven by universal
    effects of information structure; but language-specific differences in frequency of experience prompt
    different relative advantages of prominence signal types. Processing efficiency increases in each case,
    however, creating more accurate and more rapidly contactable memory representations.
  • Kemp, J. P., Sayers, A., Paternoster, L., Evans, D. M., Deere, K., St Pourcain, B., Timpson, N. J., Ring, S. M., Lorentzon, M., Lehtimäki, T., Eriksson, J., Kähönen, M., Raitakari, O., Laaksonen, M., Sievänen, H., Viikari, J., Lyytikäinen, L.-P., Smith, G. D., Fraser, W. D., Vandenput, L. and 2 moreKemp, J. P., Sayers, A., Paternoster, L., Evans, D. M., Deere, K., St Pourcain, B., Timpson, N. J., Ring, S. M., Lorentzon, M., Lehtimäki, T., Eriksson, J., Kähönen, M., Raitakari, O., Laaksonen, M., Sievänen, H., Viikari, J., Lyytikäinen, L.-P., Smith, G. D., Fraser, W. D., Vandenput, L., Ohlsson, C., & Tobias, J. H. (2014). Does Bone Resorption Stimulate Periosteal Expansion? A Cross-Sectional Analysis of β-C-telopeptides of Type I Collagen (CTX), Genetic Markers of the RANKL Pathway, and Periosteal Circumference as Measured by pQCT. Journal of Bone and Mineral Research, 29(4), 1015-1024. doi:10.1002/jbmr.2093.

    Abstract

    We hypothesized that bone resorption acts to increase bone strength through stimulation of periosteal expansion. Hence, we examined whether bone resorption, as reflected by serum β-C-telopeptides of type I collagen (CTX), is positively associated with periosteal circumference (PC), in contrast to inverse associations with parameters related to bone remodeling such as cortical bone mineral density (BMDC ). CTX and mid-tibial peripheral quantitative computed tomography (pQCT) scans were available in 1130 adolescents (mean age 15.5 years) from the Avon Longitudinal Study of Parents and Children (ALSPAC). Analyses were adjusted for age, gender, time of sampling, tanner stage, lean mass, fat mass, and height. CTX was positively related to PC (β=0.19 [0.13, 0.24]) (coefficient=SD change per SD increase in CTX, 95% confidence interval)] but inversely associated with BMDC (β=-0.46 [-0.52,-0.40]) and cortical thickness [β=-0.11 (-0.18, -0.03)]. CTX was positively related to bone strength as reflected by the strength-strain index (SSI) (β=0.09 [0.03, 0.14]). To examine the causal nature of this relationship, we then analyzed whether single-nucleotide polymorphisms (SNPs) within key osteoclast regulatory genes, known to reduce areal/cortical BMD, conversely increase PC. Fifteen such genetic variants within or proximal to genes encoding receptor activator of NF-κB (RANK), RANK ligand (RANKL), and osteoprotegerin (OPG) were identified by literature search. Six of the 15 alleles that were inversely related to BMD were positively related to CTX (p<}0.05 cut-off) (n=2379). Subsequently, we performed a meta-analysis of associations between these SNPs and PC in ALSPAC (n=3382), Gothenburg Osteoporosis and Obesity Determinants (GOOD) (n=938), and the Young Finns Study (YFS) (n=1558). Five of the 15 alleles that were inversely related to BMD were positively related to PC (p{<0.05 cut-off). We conclude that despite having lower BMD, individuals with a genetic predisposition to higher bone resorption have greater bone size, suggesting that higher bone resorption is permissive for greater periosteal expansion.
  • Kemp, J. P., Medina-Gomez, C., Estrada, K., St Pourcain, B., Heppe, D. H. M., Warrington, N. M., Oei, L., Ring, S. M., Kruithof, C. J., Timpson, N. J., Wolber, L. E., Reppe, S., Gautvik, K., Grundberg, E., Ge, B., van der Eerden, B., van de Peppel, J., Hibbs, M. A., Ackert-Bicknell, C. L., Choi, K. and 13 moreKemp, J. P., Medina-Gomez, C., Estrada, K., St Pourcain, B., Heppe, D. H. M., Warrington, N. M., Oei, L., Ring, S. M., Kruithof, C. J., Timpson, N. J., Wolber, L. E., Reppe, S., Gautvik, K., Grundberg, E., Ge, B., van der Eerden, B., van de Peppel, J., Hibbs, M. A., Ackert-Bicknell, C. L., Choi, K., Koller, D. L., Econs, M. J., Williams, F. M. K., Foroud, T., Zillikens, M. C., Ohlsson, C., Hofman, A., Uitterlinden, A. G., Davey Smith, G., Jaddoe, V. W. V., Tobias, J. H., Rivadeneira, F., & Evans, D. M. (2014). Phenotypic dissection of bone mineral density reveals skeletal site specificity and facilitates the identification of novel loci in the genetic regulation of bone mass attainment. PLoS Genetics, 10(6): e1004423. doi:10.1371/journal.pgen.1004423.

    Abstract

    Heritability of bone mineral density (BMD) varies across skeletal sites, reflecting different relative contributions of genetic and environmental influences. To quantify the degree to which common genetic variants tag and environmental factors influence BMD, at different sites, we estimated the genetic (rg) and residual (re) correlations between BMD measured at the upper limbs (UL-BMD), lower limbs (LL-BMD) and skull (SK-BMD), using total-body DXA scans of ∼ 4,890 participants recruited by the Avon Longitudinal Study of Parents and their Children (ALSPAC). Point estimates of rg indicated that appendicular sites have a greater proportion of shared genetic architecture (LL-/UL-BMD rg = 0.78) between them, than with the skull (UL-/SK-BMD rg = 0.58 and LL-/SK-BMD rg = 0.43). Likewise, the residual correlation between BMD at appendicular sites (r(e) = 0.55) was higher than the residual correlation between SK-BMD and BMD at appendicular sites (r(e) = 0.20-0.24). To explore the basis for the observed differences in rg and re, genome-wide association meta-analyses were performed (n ∼ 9,395), combining data from ALSPAC and the Generation R Study identifying 15 independent signals from 13 loci associated at genome-wide significant level across different skeletal regions. Results suggested that previously identified BMD-associated variants may exert site-specific effects (i.e. differ in the strength of their association and magnitude of effect across different skeletal sites). In particular, variants at CPED1 exerted a larger influence on SK-BMD and UL-BMD when compared to LL-BMD (P = 2.01 × 10(-37)), whilst variants at WNT16 influenced UL-BMD to a greater degree when compared to SK- and LL-BMD (P = 2.31 × 10(-14)). In addition, we report a novel association between RIN3 (previously associated with Paget's disease) and LL-BMD (rs754388: β = 0.13, SE = 0.02, P = 1.4 × 10(-10)). Our results suggest that BMD at different skeletal sites is under a mixture of shared and specific genetic and environmental influences. Allowing for these differences by performing genome-wide association at different skeletal sites may help uncover new genetic influences on BMD.
  • Kempen, G., & Harbusch, K. (2018). A competitive mechanism selecting verb-second versus verb-final word order in causative and argumentative clauses of spoken Dutch: A corpus-linguistic study. Language Sciences, 69, 30-42. doi:10.1016/j.langsci.2018.05.005.

    Abstract

    In Dutch and German, the canonical order of subject, object(s) and finite verb is ‘verb-second’ (V2) in main but ‘verb-final’ (VF) in subordinate clauses. This occasionally leads to the production of noncanonical word orders. Familiar examples are causative and argumentative clauses introduced by a subordinating conjunction (Du. omdat, Ger. weil ‘because’): the omdat/weil-V2 phenomenon. Such clauses may also be introduced by coordinating conjunctions (Du. want, Ger. denn), which license V2 exclusively. However, want/denn-VF structures are unknown. We present the results of a corpus study on the incidence of omdat-V2 in spoken Dutch, and compare them to published data on weil-V2 in spoken German. Basic findings: omdat-V2 is much less frequent than weil-V2 (ratio almost 1:8); and the frequency relations between coordinating and subordinating conjunctions are opposite (want >> omdat; denn << weil). We propose that conjunction selection and V2/VF selection proceed partly independently, and sometimes miscommunicate—e.g. yielding omdat/weil paired with V2. Want/denn-VF pairs do not occur because want/denn clauses are planned as autonomous sentences, which take V2 by default. We sketch a simple feedforward neural network with two layers of nodes (representing conjunctions and word orders, respectively) that can simulate the observed data pattern through inhibition-based competition of the alternative choices within the node layers.
  • Kempen, G. (1998). Comparing and explaining the trajectories of first and second language acquisition: In search of the right mix of psychological and linguistic factors [Commentory]. Bilingualism: Language and Cognition, 1, 29-30. doi:10.1017/S1366728998000066.

    Abstract

    When you compare the behavior of two different age groups which are trying to master the same sensori-motor or cognitive skill, you are likely to discover varying learning routes: different stages, different intervals between stages, or even different orderings of stages. Such heterogeneous learning trajectories may be caused by at least six different types of factors: (1) Initial state: the kinds and levels of skills the learners have available at the onset of the learning episode. (2) Learning mechanisms: rule-based, inductive, connectionist, parameter setting, and so on. (3) Input and feedback characteristics: learning stimuli, information about success and failure. (4) Information processing mechanisms: capacity limitations, attentional biases, response preferences. (5) Energetic variables: motivation, emotional reactions. (6) Final state: the fine-structure of kinds and levels of subskills at the end of the learning episode. This applies to language acquisition as well. First and second language learners probably differ on all six factors. Nevertheless, the debate between advocates and opponents of the Fundamental Difference Hypothesis concerning L1 and L2 acquisition have looked almost exclusively at the first two factors. Those who believe that L1 learners have access to Universal Grammar whereas L2 learners rely on language processing strategies, postulate different learning mechanisms (UG parameter setting in L1, more general inductive strategies in L2 learning). Pienemann opposes this view and, based on his Processability Theory, argues that L1 and L2 learners start out from different initial states: they come to the grammar learning task with different structural hypotheses (SOV versus SVO as basic word order of German).
  • Kempen, G. (2014). Prolegomena to a neurocomputational architecture for human grammatical encoding and decoding. Neuroinformatics, 12, 111-142. doi:10.1007/s12021-013-9191-4.

    Abstract

    The study develops a neurocomputational architecture for grammatical processing in language production and language comprehension (grammatical encoding and decoding, respectively). It seeks to answer two questions. First, how is online syntactic structure formation of the complexity required by natural-language grammars possible in a fixed, preexisting neural network without the need for online creation of new connections or associations? Second, is it realistic to assume that the seemingly disparate instantiations of syntactic structure formation in grammatical encoding and grammatical decoding can run on the same neural infrastructure? This issue is prompted by accumulating experimental evidence for the hypothesis that the mechanisms for grammatical decoding overlap with those for grammatical encoding to a considerable extent, thus inviting the hypothesis of a single “grammatical coder.” The paper answers both questions by providing the blueprint for a syntactic structure formation mechanism that is entirely based on prewired circuitry (except for referential processing, which relies on the rapid learning capacity of the hippocampal complex), and can subserve decoding as well as encoding tasks. The model builds on the “Unification Space” model of syntactic parsing developed by Vosse & Kempen (2000, 2008, 2009). The design includes a neurocomputational mechanism for the treatment of an important class of grammatical movement phenomena.
  • Kempen, G. (1988). Preface. Acta Psychologica, 69(3), 205-206. doi:10.1016/0001-6918(88)90032-7.
  • Kendall-Taylor, N., Erard, M., & Haydon, A. (2013). The Use of Metaphor as a Science Communication Tool: Air Traffic Control for Your Brain. Journal of Applied Communication Research, 41(4), 412-433. doi:10.1080/00909882.2013.836678.

    Abstract

    Science is currently under-utilized as a tool for effective policy and program design. A key part of this research-to-practice gap lies in the ineffectiveness of current models of science translation. Drawing on theory and methods from anthropology and cognitive linguistics, this study explores the role of cultural models and metaphor in the practice of science communication and translation. Qualitative interviews and group sessions, along with quantitative framing experiments, were used to design and test the effectiveness of a set of explanatory metaphors in translating the science of executive function. Developmental and cognitive scientists typically define executive function as a multi-dimensional set of related abilities that include working memory, inhibitory control, and cognitive flexibility. The study finds one metaphor in particular—the brain's air traffic control system—to be effective in bridging gaps between expert and public understandings on this issue and in so doing improving the accessibility of scientific information to members of the public as they reason about public policy issues. Findings suggest both a specific tool that can be used in efforts to translate the science of executive function and a theory and methodology that can be employed to design and test metaphors as communication devices on other science and social issues.

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  • Kendrick, K. H. (2015). Other-initiated repair in English. Open Linguistics, 1, 164-190. doi:10.2478/opli-2014-0009.

    Abstract

    The practices of other-initiation of repair provide speakers with a set of solutions to one of the most basic problems in conversation: troubles of speaking, hearing, and understanding. Based on a collection of 227 cases systematically identified in a corpus of English conversation, this article describes the formats and practices of other-initiations of repair attested in the corpus and reports their quantitative distribution. In addition to straight other-initiations of repair, the identification of all possible cases also yielded a substantial proportion in which speakers use other-initiations to perform other actions, including non-serious actions, such as jokes and teases, preliminaries to dispreferred responses, and displays of surprise and disbelief. A distinction is made between other-initiations that perform additional actions concurrently and those that formally resemble straight other-initiations but analyzably do not initiate repair as an action.
  • Kendrick, K. H. (2015). The intersection of turn-taking and repair: The timing of other-initiations of repair in conversation. Frontiers in Psychology, 6: 250. doi:10.3389/fpsyg.2015.00250.

    Abstract

    The transitions between turns at talk in conversation tend to occur quickly, with only a slight gap of approximately 100 to 300 ms between them. This estimate of central tendency, however, hides a wealth of complex variation, as a number of factors, such as the type of turns involved, have been shown to influence the timing of turn transitions. This article considers one specific type of turn that does not conform to the statistical trend, namely turns that deal with troubles of speaking, hearing, and understanding, known as other-initiations of repair. The results of a quantitative analysis of 169 other-initiations of repair in face-to-face conversation reveal that the most frequent cases occur after gaps of approximately 700 ms. Furthermore, other-initiations of repair that locate a source of trouble in a prior turn specifically tend to occur after shorter gaps than those that do not, and those that correct errors in a prior turn, while rare, tend to occur without delay. An analysis of the transitions before other-initiations of repair, using methods of conversation analysis, suggests that speakers use the extra time (i) to search for a late recognition of the problematic turn, (ii) to provide an opportunity for the speaker of the problematic turn to resolve the trouble independently, (iii) and to produce visual signals, such as facial gestures. In light of these results, it is argued that other-initiations of repair take priority over other turns at talk in conversation and therefore are not subject to the same rules and constraints that motivate fast turn transitions in general
  • Kendrick, K. H., & Torreira, F. (2015). The timing and construction of preference: A quantitative study. Discourse Processes, 52(4), 255-289. doi:10.1080/0163853X.2014.955997.

    Abstract

    Conversation-analytic research has argued that the timing and construction of preferred responding actions (e.g., acceptances) differ from that of dispreferred responding actions (e.g., rejections), potentially enabling early response prediction by recipients. We examined 195 preferred and dispreferred responding actions in telephone corpora and found that the timing of the most frequent cases of each type did not differ systematically. Only for turn transitions of 700 ms or more was the proportion of dispreferred responding actions clearly greater than that of preferreds. In contrast, an analysis of the timing that included turn formats (i.e., those with or without qualification) revealed clearer differences. Small departures from a normal gap duration decrease the likelihood of a preferred action in a preferred turn format (e.g., a simple “yes”). We propose that the timing of a response is best understood as a turn-constructional feature, the first virtual component of a preferred or dispreferred turn format.
  • Kersten, R. W. J., Van Gastel, B. E., Shkaravska, O., Montenegro, M., & Van Eekelen, M. C. J. D. (2014). ResAna: a resource analysis toolset for (real-time) JAVA. Concurrency and Computing: Practice and Experience, 26, 2432-2455. doi:10.1002/cpe.3154.

    Abstract

    For real-time and embedded systems, limiting the consumption of time and memory resources is often an important part of the requirements. Being able to predict bounds on the consumption of such resources during the development process of the code can be of great value. In this paper, we focus mainly on memory-related bounds. Recent research results have advanced the state of the art of resource consumption analysis. In this paper, we present a toolset that makes it possible to apply these research results in practice for (real-time) systems enabling JAVA developers to analyse symbolic loop bounds, symbolic bounds on heap size and both symbolic and numeric bounds on stack size. We describe which theoretical additions were needed in order to achieve this. We give an overview of the capabilities of the RESANA (Radboud University Nijmegen, The Netherlands) toolset that is the result of this effort. The toolset can not only perform generally applicable analyses, but it also contains a part of the analysis that is dedicated to the developers' (real-time) virtual machine, such that the results apply directly to the actual development environment that is used in practice
  • Kidd, E., Chan, A., & Chiu, J. (2015). Cross-linguistic influence in simultaneous Cantonese–English bilingual children's comprehension of relative clauses. Bilingualism: Language and Cognition, 18(3), 438-452. doi:10.1017/S1366728914000649.

    Abstract

    The current study investigated the role of cross-linguistic influence in Cantonese–English bilingual children's comprehension of subject- and object-extracted relative clauses (RCs). Twenty simultaneous Cantonese–English bilingual children (Mage = 8;11, SD = 2;6) and 20 vocabulary-matched Cantonese monolingual children (Mage = 6;4, SD = 1;3) completed a test of Cantonese RC comprehension. The bilingual children also completed a test of English RC comprehension. The results showed that, whereas the monolingual children were equally competent on subject and object RCs, the bilingual children performed significantly better on subject RCs. Error analyses suggested that the bilingual children were most often correctly assigning thematic roles in object RCs, but were incorrectly choosing the RC subject as the head referent. This pervasive error was interpreted to be due to the fact that both Cantonese and English have canonical SVO word order, which creates competition with structures that compete with an object RC analysis.
  • Kidd, E. (2015). Incorporating learning into theories of parsing. Linguistic Approaches to Bilingualism, 5(4), 487-493. doi:10.1075/lab.5.4.08kid.
  • Kidd, E., Junge, C., Spokes, T., Morrison, L., & Cutler, A. (2018). Individual differences in infant speech segmentation: Achieving the lexical shift. Infancy, 23(6), 770-794. doi:10.1111/infa.12256.

    Abstract

    We report a large‐scale electrophysiological study of infant speech segmentation, in which over 100 English‐acquiring 9‐month‐olds were exposed to unfamiliar bisyllabic words embedded in sentences (e.g., He saw a wild eagle up there), after which their brain responses to either the just‐familiarized word (eagle) or a control word (coral) were recorded. When initial exposure occurs in continuous speech, as here, past studies have reported that even somewhat older infants do not reliably recognize target words, but that successful segmentation varies across children. Here, we both confirm and further uncover the nature of this variation. The segmentation response systematically varied across individuals and was related to their vocabulary development. About one‐third of the group showed a left‐frontally located relative negativity in response to familiar versus control targets, which has previously been described as a mature response. Another third showed a similarly located positive‐going reaction (a previously described immature response), and the remaining third formed an intermediate grouping that was primarily characterized by an initial response delay. A fine‐grained group‐level analysis suggested that a developmental shift to a lexical mode of processing occurs toward the end of the first year, with variation across individual infants in the exact timing of this shift.

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  • Kidd, E., Donnelly, S., & Christiansen, M. H. (2018). Individual differences in language acquisition and processing. Trends in Cognitive Sciences, 22(2), 154-169. doi:10.1016/j.tics.2017.11.006.

    Abstract

    Humans differ in innumerable ways, with considerable variation observable at every level of description, from the molecular to the social. Traditionally, linguistic and psycholinguistic theory has downplayed the possibility of meaningful differences in language across individuals. However, it is becoming increasingly evident that there is
    significant variation among speakers at any age as well as across the lifespan. In this paper, we review recent research in psycholinguistics, and argue that a focus on individual differences provides a crucial source of evidence that bears strongly upon core issues in theories of the acquisition and processing of language; specifically, the role of experience in language acquisition, processing, and attainment, and the architecture of the language faculty.
  • Kidd, L., & Rowland, C. F. (2021). The effect of language-focused professional development on the knowledge and behaviour of preschool practitioners. Journal of Early Childhood Literacy, 21(1), 27-59. doi:10.1177/1468798418803664.

    Abstract

    The purpose of this project was to investigate the effectiveness of a language-focused professional development programme on the knowledge and behaviour of preschool practitioners (sometimes called early years practitioners) in the UK. In Study 1 we determined whether the training received by practitioners is effective in improving their knowledge of how to support children’s language and communicative development. In Study 2 we tested whether trained practitioners, and practitioners from centres with embedded Language Champions, were able to implement the techniques they had been taught. For this, we video-recorded practitioners interacting, one to one, with 2- and 3–4-year-old children in their centres. We conclude that (1) practitioners retain the knowledge they have been taught, both about how children learn and about how to promote this learning, and that (2), in some respects, this knowledge translates well into practice; practitioners in centres with embedded Language Champions and trained practitioners used language-enriching behaviours when interacting with children more often than did untrained practitioners. We discuss how the translation of some techniques into overt behaviour could be made more effective

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  • Kidd, E., Tennant, E., & Nitschke, S. (2015). Shared abstract representation of linguistic structure in bilingual sentence comprehension. Psychonomic Bulletin & Review, 22(4), 1062-1067. doi:10.3758/s13423-014-0775-2.

    Abstract

    Although there is strong evidence for shared abstract grammatical structure in bilingual speakers from studies of sentence production, comparable evidence from studies of comprehension is lacking. Twenty-seven (N = 27) English-German bilingual adults participated in a structural priming study where unambiguous English subject and object relative clause (RC) structures were used to prime corresponding subject and object RC interpretations of structurally ambiguous German RCs. The results showed that English object RCs primed significantly greater object RC interpretations in German in comparison to baseline and subject RC prime conditions, but that English subject RC primes did not change the participants’ baseline preferences. This is the first study to report abstract crosslinguistic priming in comprehension. The results specifically suggest that word order overlap supports the integration of syntactic structures from different languages in bilingual speakers, and that these shared representations are used in comprehension as well as production
  • Kidd, E. (2013). The role of verbal working memory in children's sentence comprehension: A critical review. Topics in Language Disorders, 33(3), 208-223. doi:10.1097/TLD.0b013e31829d623e.

    Abstract

    This article reviews research that has investigated the role of verbal working memory (VWM) in sentence comprehension in both typical and atypical developmental populations. Two theoretical approaches that specify different roles for VWM in sentence comprehension are considered: (i) capacity-limit approaches, which treat VWM as a theoretical primitive that causally constrains language processing and acquisition, and (ii) the experience-based approach, which argues that VWM is an emergent property of long-term linguistic knowledge. The empirical literature relevant to these different approaches is then reviewed. Although there has been considerable recent research on the topic, it is concluded that the current role of working memory in sentence comprehension in development is unclear, calling for a greater number of controlled systematic developmental studies on the topic.
  • Kinoshita, S., & Verdonschot, R. G. (2021). Phonological encoding is free from orthographic influence: evidence from a picture variant of the phonological Stroop task. Psychological Research, 85, 1340-1347. doi:10.1007/s00426-020-01315-2.

    Abstract

    The phonological Stroop task, in which the participant names the color of written distractors, is being used increasingly to study the phonological encoding process in speech production. A brief review of experimental paradigms used to study the phonological encoding process indicated that currently it is not known whether the onset overlap benefit (faster color naming when the distractor shares the onset segment with the color name) in a phonological Stroop task is due to phonology or orthography. The present paper investigated this question using a picture variant of the phonological Stroop task. Participants named a small set of line drawings of animals (e.g., camel) with a pseudoword distractor printed on it. Picture naming was facilitated when the distractor shared the onset segment with the picture name regardless of orthographic overlap (CUST–camel = KUST–camel < NUST–camel). We conclude that the picture variant of the phonological Stroop task is a useful tool to study the phonological encoding process, free of orthographic influence.

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  • Kinoshita, S., Yu, L., Verdonschot, R. G., & Norris, D. (2021). Letter identity and visual similarity in the processing of diacritic letters. Memory & Cognition, 49(4), 815-825. doi:10.3758/s13421-020-01125-2.

    Abstract

    Are letters with a diacritic (e.g., a) recognized as a variant of the base letter (e.g., a), or as a separate letter identity? Two recent masked priming studies, one in French and one in Spanish, investigated this question, concluding that this depends on the language-specific linguistic function served by the diacritic. Experiment 1 tested this linguistic function hypothesis using Japanese kana, in which diacritics signal consonant voicing, and like French and unlike Spanish, provide lexical contrast. Contrary to the hypothesis, Japanese kana yielded the pattern of diacritic priming like Spanish. Specifically, for a target kana with a diacritic (e.g., (sic), /ga/), the kana prime without the diacritic (e.g., (sic), /ka/) facilitated recognition almost as much as the identity prime (e.g., (sic) = (sic)), whereas for a target kana without a diacritic, the kana prime with the diacritic produced less facilitation than the identity prime (e.g., (sic) < (sic)). We suggest that the pattern of diacritic priming has little to do with linguistic function, and instead it stems from a general property of visual object recognition. Experiment 2 tested this hypothesis using visually similar letters of the Latin alphabet that differ in the presence/absence of a visual feature (e.g., O and Q). The same asymmetry in priming was observed. These findings are consistent with the noisy channel model of letter/word recognition (Norris & Kinoshita, Psychological Review, 119, 517-545, 2012a).
  • Kirkham, J., Stewart, A., & Kidd, E. (2013). Concurrent and longitudinal relationships between development in graphic, language and symbolic play domains from the fourth to the fifth year. Infant and Child Development, 22(3), 297-319. doi:10.1002/icd.1786.

    Abstract

    This research investigated the developing inter-relationships between language, graphic symbolism and symbolic play both concurrently and longitudinally from the fourth to the fifth year of childhood. Sixty children (n = 60) aged between 3 and 4 years completed multiple assessments of language and assessments of graphic symbolism, symbolic play and non-verbal intelligence. A year later, 31 children (n = 31) were re-tested using the same assessments. The findings revealed that skills within each symbolic domain were inter-related during the fourth year, appearing to develop in a domain-general type fashion based upon a common underlying symbolic mechanism. However, between the fourth and the fifth years, only language had predictive validity, suggesting a shift towards the verbal mediation of symbolic play and graphic symbolism as language becomes progressively internalized (Vygotsky, 1962, 1978).
  • Kita, S., Van Gijn, I., & Van Der Hulst, H. (2014). The non-linguistic status of the Symmetry Condition in signed languages: Evidence from a comparison of signs and speechaccompanying representational gestures. Sign language and linguistics, 17(2), 215-238.

    Abstract

    Since Battison (1978), it has been noted in many signed languages that the Symmetry Condition constrains the form of two-handed signs in which two hands move independently. The Condition states that the form features (e.g., the handshapes and movements) of the two hands are 'symmetrical'. The Symmetry Condition has been regarded in the literature as a part of signed language phonology. In this study, we examine the linguistic status of the Symmetry Condition by comparing the degree of symmetry in signs from Sign Language of the Netherlands and speech-accompanying representational gestures produced by Dutch speakers. Like signed language, such gestures use hand movements to express concepts, but they do not constitute a linguistic system in their own right. We found that the Symmetry Condition holds equally well for signs and spontaneous gestures. This indicates that this condition is a general cognitive constraint, rather than a constraint specific to language. We suggest that the Symmetry Condition is a manifestation of the mind having one active 'mental articulator' when expressing a concept with hand movements
  • Kiyama, S., Verdonschot, R. G., Xiong, K., & Tamaoka, K. (2018). Individual mentalizing ability boosts flexibility toward a linguistic marker of social distance: An ERP investigation. Journal of Neurolinguistics, 47, 1-15. doi:10.1016/j.jneuroling.2018.01.005.

    Abstract

    Sentence-final particles (SFPs) as bound morphemes in Japanese have no obvious effect on the truth conditions of a sentence. However, they encompass a diverse range of usages, from typical to atypical, according to the context and the interpersonal relationships in the specific situation. The most frequent particle,-ne, is typically used after addressee-oriented propositions for information sharing, while another frequent particle,-yo, is typically used after addresser-oriented propositions to elicit a sense of strength. This study sheds light on individual differences among native speakers in flexibly understanding such linguistic markers based on their mentalizing ability (i.e., the ability to infer the mental states of others). Two experiments employing electroencephalography (EEG) consistently showed enhanced early posterior negativities (EPN) for atypical SFP usage compared to typical usage, especially when understanding-ne compared to -yo, in both an SFP appropriateness judgment task and a content comprehension task. Importantly, the amplitude of the EPN for atypical usages of-ne was significantly higher in participants with lower mentalizing ability than in those with a higher mentalizing ability. This effect plausibly reflects low-ability mentalizers' stronger sense of strangeness toward atypical-ne usage. While high-ability mentalizers may aptly perceive others' attitudes via their various usages of-ne, low-ability mentalizers seem to adopt a more stereotypical understanding. These results attest to the greater degree of difficulty low-ability mentalizers have in establishing a smooth regulation of interpersonal distance during social encounters.

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  • Klein, W. (2021). Another analysis of counterfactuality: Replies. Theoretical Linguistics, 47, 313-349. doi:10.1515/tl-2021-2028.
  • Klein, W. (2021). Another way to look at counterfactuals. Theoretical Linguistics, 47, 189-226. doi:10.1515/tl-2021-2019.

    Abstract

    Counterfactuals such as If the world did not exist, we would not notice it have been a challenge for philosophers and linguists since antiquity. There is no generally accepted semantic analysis. The prevalent view, developed in varying forms by Robert Stalnaker, David Lewis, and others, enriches the idea of strict implication by the idea of a “minimal revision” of the actual world. Objections mainly address problems of maximal similarity between worlds. In this paper, I will raise several problems of a different nature and draw attention to several phenomena that are relevant for counterfactuality but rarely discussed in that context. An alternative analysis that is very close to the linguistic facts is proposed. A core notion is the “situation talked about”: it makes little sense to discuss whether an assertion is true or false unless it is clear which situation is talked about. In counterfactuals, this situation is marked as not belonging to the actual world. Typically, this is done in the form of the finite verb in the main clause. The if-clause is optional and has only a supportive role: it provides information about the world to which the situation talked about belongs. Counterfactuals only speak about some nonactual world, of which we only know what results from the protasis. In order to judge them as true or false, an additional assumption is required: they are warranted according to the same criteria that warrant the corresponding indicative assertion. Overall similarity between worlds is irrelevant.
  • Klein, M., Van der Vloet, M., Harich, B., Van Hulzen, K. J., Onnink, A. M. H., Hoogman, M., Guadalupe, T., Zwiers, M., Groothuismink, J. M., Verberkt, A., Nijhof, B., Castells-Nobau, A., Faraone, S. V., Buitelaar, J. K., Schenck, A., Arias-Vasquez, A., Franke, B., & Psychiatric Genomics Consortium ADHD Working Group (2015). Converging evidence does not support GIT1 as an ADHD risk gene. American Journal of Medical Genetics Part B: Neuropsychiatric Genetics, 168, 492-507. doi:10.1002/ajmg.b.32327.

    Abstract

    Attention-Deficit/Hyperactivity Disorder (ADHD) is a common neuropsychiatric disorder with a complex genetic background. The G protein-coupled receptor kinase interacting ArfGAP 1 (GIT1) gene was previously associated with ADHD. We aimed at replicating the association of GIT1 with ADHD and investigated its role in cognitive and brain phenotypes. Gene-wide and single variant association analyses for GIT1 were performed for three cohorts: (1) the ADHD meta-analysis data set of the Psychiatric Genomics Consortium (PGC, N=19,210), (2) the Dutch cohort of the International Multicentre persistent ADHD CollaboraTion (IMpACT-NL, N=225), and (3) the Brain Imaging Genetics cohort (BIG, N=1,300). Furthermore, functionality of the rs550818 variant as an expression quantitative trait locus (eQTL) for GIT1 was assessed in human blood samples. By using Drosophila melanogaster as a biological model system, we manipulated Git expression according to the outcome of the expression result and studied the effect of Git knockdown on neuronal morphology and locomotor activity. Association of rs550818 with ADHD was not confirmed, nor did a combination of variants in GIT1 show association with ADHD or any related measures in either of the investigated cohorts. However, the rs550818 risk-genotype did reduce GIT1 expression level. Git knockdown in Drosophila caused abnormal synapse and dendrite morphology, but did not affect locomotor activity. In summary, we could not confirm GIT1 as an ADHD candidate gene, while rs550818 was found to be an eQTL for GIT1. Despite GIT1's regulation of neuronal morphology, alterations in gene expression do not appear to have ADHD-related behavioral consequences
  • Klein, W. (1988). Einleitung. Zeitschrift für Literaturwissenschaft und Linguistik; Metzler, Stuttgart, 18(69), 7-8.
  • Klein, W. (2014). Is aspect time-relational? Commentary on the paper by Jürgen Bohnemeyer. Natural Language & Linguistic Theory, 32(3), 955-971. doi:10.1007/s11049-014-9240-1.

    Abstract

    Tense is traditionally assumed to express temporal relations between the time of the event and the moment of speech, whereas aspect expresses various views on one and the same event. In Klein (1994), it was argued that the intuitions which underlie this viewing metaphor can be made precise by a time-relational analysis as well. In his article “Aspect vs. relative tense: the case reopened”, Jürgen Bohnemeyer challenges one important point of this analysis, the equation of aspect and relative tense in the English perfect and in temporal forms of few other languages. In the present comment, it is argued that this is indeed a simplification, which does not speak, however, against a time-relational analysis of aspect in general. The main lines of such an analysis for the English perfect are sketched. It is shown that it naturally accounts for differences between the simple past and the present perfect, as well as for the oddity of constructions such as Einstein has visited Princeton or Ira has left yesterday at five.
  • Klein, W. (Ed.). (1998). Kaleidoskop [Special Issue]. Zeitschrift für Literaturwissenschaft und Linguistik, (112).
  • Klein, W. (1998). The contribution of second language acquisition research. Language Learning, 48, 527-550. doi:10.1111/0023-8333.00057.

    Abstract

    During the last 25 years, second language acquisition (SLA) research hasmade considerable progress, but is still far from proving a solid basis for foreign language teaching, or from a general theory of SLA. In addition, its status within the linguistic disciplines is still very low. I argue this has not much to do with low empirical or theoretical standards in the field—in this regard, SLA research is fully competitive—but with a particular perspective on the acquisition process: SLA researches learners' utterances as deviations from a certain target, instead of genuine manifestations of underlying language capacity; it analyses them in terms of what they are not rather than what they are. For some purposes such a "target deviation perspective" makes sense, but it will not help SLA researchers to substantially and independently contribute to a deeper understanding of the structure and function of the human language faculty. Therefore, these findings will remain of limited interest to other scientists until SLA researchers consider learner varieties a normal, in fact typical, manifestation of this unique human capacity.
  • Klein, W. (Ed.). (1988). Sprache Kranker [Special Issue]. Zeitschrift für Literaturwissenschaft und Linguistik, (69).
  • Klein, W. (1988). Sprache und Krankheit: Ein paar Anmerkungen. Zeitschrift für Literaturwissenschaft und Linguistik, 69, 9-20.

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