Publications

Displaying 601 - 700 of 912
  • Ortega, G., & Morgan, G. (2010). Comparing child and adult development of a visual phonological system. Language interaction and acquisition, 1(1), 67-81. doi:10.1075/lia.1.1.05ort.

    Abstract

    Research has documented systematic articulation differences in young children’s first signs compared with the adult input. Explanations range from the implementation of phonological processes, cognitive limitations and motor immaturity. One way of disentangling these possible explanations is to investigate signing articulation in adults who do not know any sign language but have mature cognitive and motor development. Some preliminary observations are provided on signing accuracy in a group of adults using a sign repetition methodology. Adults make the most errors with marked handshapes and produce movement and location errors akin to those reported for child signers. Secondly, there are both positive and negative influences of sign iconicity on sign repetition in adults. Possible reasons are discussed for these iconicity effects based on gesture.
  • Ortega, G. (2010). MSJE TXT: Un evento social. Lectura y vida: Revista latinoamericana de lectura, 4, 44-53.
  • Otake, T., Yoneyama, K., Cutler, A., & van der Lugt, A. (1996). The representation of Japanese moraic nasals. Journal of the Acoustical Society of America, 100, 3831-3842. doi:10.1121/1.417239.

    Abstract

    Nasal consonants in syllabic coda position in Japanese assimilate to the place of articulation of a following consonant. The resulting forms may be perceived as different realizations of a single underlying unit, and indeed the kana orthographies represent them with a single character. In the present study, Japanese listeners' response time to detect nasal consonants was measured. Nasals in coda position, i.e., moraic nasals, were detected faster and more accurately than nonmoraic nasals, as reported in previous studies. The place of articulation with which moraic nasals were realized affected neither response time nor accuracy. Non-native subjects who knew no Japanese, given the same materials with the same instructions, simply failed to respond to moraic nasals which were realized bilabially. When the nasals were cross-spliced across place of articulation contexts the Japanese listeners still showed no significant place of articulation effects, although responses were faster and more accurate to unspliced than to cross-spliced nasals. When asked to detect the phoneme following the (cross-spliced) moraic nasal, Japanese listeners showed effects of mismatch between nasal and context, but non-native listeners did not. Together, these results suggest that Japanese listeners are capable of very rapid abstraction from phonetic realization to a unitary representation of moraic nasals; but they can also use the phonetic realization of a moraic nasal effectively to obtain anticipatory information about following phonemes.
  • Ozyurek, A. (2012). Gesture. In R. Pfau, M. Steinbach, & B. Woll (Eds.), Sign language: An international handbook (pp. 626-646). Berlin: Mouton.

    Abstract

    Gestures are meaningful movements of the body, the hands, and the face during communication,
    which accompany the production of both spoken and signed utterances. Recent
    research has shown that gestures are an integral part of language and that they contribute
    semantic, syntactic, and pragmatic information to the linguistic utterance. Furthermore,
    they reveal internal representations of the language user during communication in ways
    that might not be encoded in the verbal part of the utterance. Firstly, this chapter summarizes
    research on the role of gesture in spoken languages. Subsequently, it gives an overview
    of how gestural components might manifest themselves in sign languages, that is,
    in a situation in which both gesture and sign are expressed by the same articulators.
    Current studies are discussed that address the question of whether gestural components are the same or different in the two language modalities from a semiotic as well as from a cognitive and processing viewpoint. Understanding the role of gesture in both sign and
    spoken language contributes to our knowledge of the human language faculty as a multimodal communication system.
  • Ozyurek, A. (1996). How children talk about a conversation. Journal of Child Language, 23(3), 693-714. doi:10.1017/S0305000900009004.

    Abstract

    This study investigates how children of different ages talk about a conversation that they have witnessed. 48 Turkish children, five, nine and thirteen years in age, saw a televised dialogue between two Sesame Street characters (Bert and Ernie). Afterward, they narrated what they had seen and heard. Their reports were analysed for the development of linguistic devices used to orient their listeners to the relevant properties of a conversational exchange. Each utterance in the child's narrative was analysed as to its conversational role: (1) whether the child used direct or indirect quotation frames; (2) whether the child marked the boundaries of conversational turns using speakers' names and (3) whether the child used a marker for pairing of utterances made by different speakers (agreement-disagreement, request-refusal, questioning-answering). Within pairings, children's use of (a) the temporal and evaluative connectivity markers and (b) the kind of verb of saying were identified. The data indicate that there is a developmental change in children's ability to use appropriate linguistic means to orient their listeners to the different properties of a conversation. The development and use of these linguistic means enable the child to establish different social roles in a narrative interaction. The findings are interpreted in terms of the child's social-communicative development from being a ' character' to becoming a ' narrator' and ' author' of the reported conversation in the narrative situation.
  • Ozyurek, A., Zwitserlood, I., & Perniss, P. M. (2010). Locative expressions in signed languages: A view from Turkish Sign Language (TID). Linguistics, 48(5), 1111-1145. doi:10.1515/LING.2010.036.

    Abstract

    Locative expressions encode the spatial relationship between two (or more) entities. In this paper, we focus on locative expressions in signed language, which use the visual-spatial modality for linguistic expression, specifically in
    Turkish Sign Language ( Türk İşaret Dili, henceforth TİD). We show that TİD uses various strategies in discourse to encode the relation between a Ground entity (i.e., a bigger and/or backgrounded entity) and a Figure entity (i.e., a
    smaller entity, which is in the focus of attention). Some of these strategies exploit affordances of the visual modality for analogue representation and support evidence for modality-specific effects on locative expressions in sign languages.
    However, other modality-specific strategies, e.g., the simultaneous expression of Figure and Ground, which have been reported for many other sign languages, occurs only sparsely in TİD. Furthermore, TİD uses categorical as well as analogical structures in locative expressions. On the basis of
    these findings, we discuss differences and similarities between signed and spoken languages to broaden our understanding of the range of structures used in natural language (i.e., in both the visual-spatial or oral-aural modalities) to encode locative relations. A general linguistic theory of spatial relations, and specifically of locative expressions, must take all structures that
    might arise in both modalities into account before it can generalize over the human language faculty.
  • Paternoster, L., Zhurov, A., Toma, A., Kemp, J., St Pourcain, B., Timpson, N., McMahon, G., McArdle, W., Ring, S., Smith, G., Richmond, S., & Evans, D. (2012). Genome-wide Association Study of Three-Dimensional Facial Morphology Identifies a Variant in PAX3 Associated with Nasion Position. The American Journal of Human Genetics, 90(3), 478-485. doi:10.1016/j.ajhg.2011.12.021.

    Abstract

    Craniofacial morphology is highly heritable, but little is known about which genetic variants influence normal facial variation in the general population. We aimed to identify genetic variants associated with normal facial variation in a population-based cohort of 15-year-olds from the Avon Longitudinal Study of Parents and Children. 3D high-resolution images were obtained with two laser scanners, these were merged and aligned, and 22 landmarks were identified and their x, y, and z coordinates used to generate 54 3D distances reflecting facial features. 14 principal components (PCs) were also generated from the landmark locations. We carried out genome-wide association analyses of these distances and PCs in 2,185 adolescents and attempted to replicate any significant associations in a further 1,622 participants. In the discovery analysis no associations were observed with the PCs, but we identified four associations with the distances, and one of these, the association between rs7559271 in PAX3 and the nasion to midendocanthion distance (n-men), was replicated (p = 4 × 10−7). In a combined analysis, each G allele of rs7559271 was associated with an increase in n-men distance of 0.39 mm (p = 4 × 10−16), explaining 1.3% of the variance. Independent associations were observed in both the z (nasion prominence) and y (nasion height) dimensions (p = 9 × 10−9 and p = 9 × 10−10, respectively), suggesting that the locus primarily influences growth in the yz plane. Rare variants in PAX3 are known to cause Waardenburg syndrome, which involves deafness, pigmentary abnormalities, and facial characteristics including a broad nasal bridge. Our findings show that common variants within this gene also influence normal craniofacial development.
  • Pederson, E., & Wilkins, D. (1996). A cross-linguistic questionnaire on 'demonstratives'. In S. C. Levinson (Ed.), Manual for the 1996 Field Season (pp. 1-11). Nijmegen: Max Planck Institute for Psycholinguistics. doi:10.17617/2.3003259.

    Abstract

    Demonstrative terms (e.g., this and that) are key items in understanding how a language constructs and interprets spatial relationships. This in-depth questionnaire explores how demonstratives (and similar spatial deixis forms) function in the research language, covering such topics as their morphology and syntax, semantic dimensions, and co-occurring gesture practices. Questionnaire responses should ideally be based on natural, situated discourse as well as elicitation with consultants.
  • Pederson, E. (1995). Questionnaire on event realization. In D. Wilkins (Ed.), Extensions of space and beyond: manual for field elicitation for the 1995 field season (pp. 54-60). Nijmegen: Max Planck Institute for Psycholinguistics. doi:10.17617/2.3004359.

    Abstract

    "Event realisation" refers to the normal final state of the affected entity of an activity described by a verb. For example, the sentence John killed the mosquito entails that the mosquito is afterwards dead – this is the full realisation of a killing event. By contrast, a sentence such as John hit the mosquito does not entail the mosquito’s death (even though we might assume this to be a likely result). In using a certain verb, which features of event realisation are entailed and which are just likely? This questionnaire supports cross-linguistic exploration of event realisation for a range of event types.
  • Pederson, E., Danziger, E., Wilkins, D. G., Levinson, S. C., Kita, S., & Senft, G. (1998). Semantic typology and spatial conceptualization. Language, 74(3), 557-589. doi:10.2307/417793.
  • Pederson, E., & Senft, G. (1996). Route descriptions: interactive games with Eric's maze task. In S. C. Levinson (Ed.), Manual for the 1996 Field Season (pp. 15-17). Nijmegen: Max Planck Institute for Psycholinguistics. doi:10.17617/2.3003287.

    Abstract

    What are the preferred ways to describe spatial relationships in different linguistic and cultural groups, and how does this interact with non-linguistic spatial awareness? This game was devised as an interactive supplement to several items that collect information on the encoding and understanding of spatial relationships, especially as relevant to “route descriptions”. This is a director-matcher task, where one consultant has access to stimulus materials that shows a “target” situation, and directs another consultant (who cannot see the target) to recreate this arrangement.
  • Peeters, D., Vanlangendonck, F., & Willems, R. M. (2012). Bestaat er een talenknobbel? Over taal in ons brein. In M. Boogaard, & M. Jansen (Eds.), Alles wat je altijd al had willen weten over taal: De taalcanon (pp. 41-43). Amsterdam: Meulenhoff.

    Abstract

    Wanneer iemand goed is in het spreken van meerdere talen, wordt wel gezegd dat zo iemand een talenknobbel heeft. Iedereen weet dat dat niet letterlijk bedoeld is: iemand met een talenknobbel herkennen we niet aan een grote bult op zijn hoofd. Toch dacht men vroeger wel degelijk dat mensen een letterlijke talenknobbel konden ontwikkelen. Een goed ontwikkeld taalvermogen zou gepaard gaan met het groeien van het hersengebied dat hiervoor verantwoordelijk was. Dit deel van het brein zou zelfs zo groot kunnen worden dat het van binnenuit tegen de schedel drukte, met name rond de ogen. Nu weten we wel beter. Maar waar in het brein bevindt de taal zich dan wel precies?
  • Perniss, P. M., Thompson, R. L., & Vigliocco, G. (2010). Iconicity as a general property of language: Evidence from spoken and signed languages [Review article]. Frontiers in Psychology, 1, E227. doi:10.3389/fpsyg.2010.00227.

    Abstract

    Current views about language are dominated by the idea of arbitrary connections between linguistic form and meaning. However, if we look beyond the more familiar Indo-European languages and also include both spoken and signed language modalities, we find that motivated, iconic form-meaning mappings are, in fact, pervasive in language. In this paper, we review the different types of iconic mappings that characterize languages in both modalities, including the predominantly visually iconic mappings in signed languages. Having shown that iconic mapping are present across languages, we then proceed to review evidence showing that language users (signers and speakers) exploit iconicity in language processing and language acquisition. While not discounting the presence and importance of arbitrariness in language, we put forward the idea that iconicity need also be recognized as a general property of language, which may serve the function of reducing the gap between linguistic form and conceptual representation to allow the language system to “hook up” to motor and perceptual experience.
  • Perniss, P. M., Vinson, D., Seifart, F., & Vigliocco, G. (2012). Speaking of shape: The effects of language-specific encoding on semantic representations. Language and Cognition, 4, 223-242. doi:10.1515/langcog-2012-0012.

    Abstract

    The question of whether different linguistic patterns differentially influence semantic and conceptual representations is of central interest in cognitive science. In this paper, we investigate whether the regular encoding of shape within a nominal classification system leads to an increased salience of shape in speakers' semantic representations by comparing English, (Amazonian) Spanish, and Bora, a shape-based classifier language spoken in the Amazonian regions of Columbia and Peru. Crucially, in displaying obligatory use, pervasiveness in grammar, high discourse frequency, and phonological variability of forms corresponding to particular shape features, the Bora classifier system differs in important ways from those in previous studies investigating effects of nominal classification, thereby allowing better control of factors that may have influenced previous findings. In addition, the inclusion of Spanish monolinguals living in the Bora village allowed control for the possibility that differences found between English and Bora speakers may be attributed to their very different living environments. We found that shape is more salient in the semantic representation of objects for speakers of Bora, which systematically encodes shape, than for speakers of English and Spanish, which do not. Our results are consistent with assumptions that semantic representations are shaped and modulated by our specific linguistic experiences.
  • Perniss, P. M. (2012). Use of sign space. In R. Pfau, M. Steinbach, & B. Woll (Eds.), Sign Language: an International Handbook (pp. 412-431). Berlin: Mouton de Gruyter.

    Abstract

    This chapter focuses on the semantic and pragmatic uses of space. The questions addressed concern how sign space (i.e. the area of space in front of the signer’s body) is used for meaning construction, how locations in sign space are associated with discourse referents, and how signers choose to structure sign space for their communicative intents. The chapter gives an overview of linguistic analyses of the use of space, starting with the distinction between syntactic and topographic uses of space and the different types of signs that function to establish referent-location associations, and moving to analyses based on mental spaces and conceptual blending theories. Semantic-pragmatic conventions for organizing sign space are discussed, as well as spatial devices notable in the visual-spatial modality (particularly, classifier predicates and signing perspective), which influence and determine the way meaning is created in sign space. Finally, the special role of simultaneity in sign languages is discussed, focusing on the semantic and discourse-pragmatic functions of simultaneous constructions.
  • Petersen, J. H. (2012). How to put and take in Kalasha. In A. Kopecka, & B. Narasimhan (Eds.), Events of putting and taking: A crosslinguistic perspective (pp. 349-366). Amsterdam: Benjamins.

    Abstract

    In Kalasha, an Indo-Aryan language spoken in Northwest Pakistan, the linguistic encoding of ‘put’ and ‘take’ events reveals a symmetry between lexical ‘put’ and ‘take’ verbs that implies ‘placement on’ and ‘removal from’ a supporting surface. As regards ‘placement in’ and ‘removal from’ an enclosure, the data reveal a lexical asymmetry as ‘take’ verbs display a larger degree of linguistic elaboration of the Figure-Ground relation and the type of caused motion than ‘put’ verbs. When considering syntactic patterns, more instances of asymmetry between these two event types show up. The analysis presented here supports the proposal that an asymmetry exists in the encoding of goals versus sources as suggested in Nam (2004) and Ikegami (1987), but it calls into question the statement put forward by Regier and Zheng (2007) that endpoints (goals) are more finely differentiated semantically than starting points (sources).
  • Petersson, K. M. (1998). Comments on a Monte Carlo approach to the analysis of functional neuroimaging data. NeuroImage, 8, 108-112.
  • Petersson, K. M., & Hagoort, P. (2012). The neurobiology of syntax: Beyond string-sets [Review article]. Philosophical Transactions of the Royal Society of London. Series B, Biological Sciences, 367, 1971-1883. doi:10.1098/rstb.2012.0101.

    Abstract

    The human capacity to acquire language is an outstanding scientific challenge to understand. Somehow our language capacities arise from the way the human brain processes, develops and learns in interaction with its environment. To set the stage, we begin with a summary of what is known about the neural organization of language and what our artificial grammar learning (AGL) studies have revealed. We then review the Chomsky hierarchy in the context of the theory of computation and formal learning theory. Finally, we outline a neurobiological model of language acquisition and processing based on an adaptive, recurrent, spiking network architecture. This architecture implements an asynchronous, event-driven, parallel system for recursive processing. We conclude that the brain represents grammars (or more precisely, the parser/generator) in its connectivity, and its ability for syntax is based on neurobiological infrastructure for structured sequence processing. The acquisition of this ability is accounted for in an adaptive dynamical systems framework. Artificial language learning (ALL) paradigms might be used to study the acquisition process within such a framework, as well as the processing properties of the underlying neurobiological infrastructure. However, it is necessary to combine and constrain the interpretation of ALL results by theoretical models and empirical studies on natural language processing. Given that the faculty of language is captured by classical computational models to a significant extent, and that these can be embedded in dynamic network architectures, there is hope that significant progress can be made in understanding the neurobiology of the language faculty.
  • Petersson, K. M., Folia, V., & Hagoort, P. (2012). What artificial grammar learning reveals about the neurobiology of syntax. Brain and Language, 120, 83-95. doi:10.1016/j.bandl.2010.08.003.

    Abstract

    In this paper we examine the neurobiological correlates of syntax, the processing of structured sequences, by comparing FMRI results on artificial and natural language syntax. We discuss these and similar findings in the context of formal language and computability theory. We used a simple right-linear unification grammar in an implicit artificial grammar learning paradigm in 32 healthy Dutch university students (natural language FMRI data were already acquired for these participants). We predicted that artificial syntax processing would engage the left inferior frontal region (BA 44/45) and that this activation would overlap with syntax-related variability observed in the natural language experiment. The main findings of this study show that the left inferior frontal region centered on BA 44/45 is active during artificial syntax processing of well-formed (grammatical) sequence independent of local subsequence familiarity. The same region is engaged to a greater extent when a syntactic violation is present and structural unification becomes difficult or impossible. The effects related to artificial syntax in the left inferior frontal region (BA 44/45) were essentially identical when we masked these with activity related to natural syntax in the same subjects. Finally, the medial temporal lobe was deactivated during this operation, consistent with the view that implicit processing does not rely on declarative memory mechanisms that engage the medial temporal lobe. In the context of recent FMRI findings, we raise the question whether Broca’s region (or subregions) is specifically related to syntactic movement operations or the processing of hierarchically nested non-adjacent dependencies in the discussion section. We conclude that this is not the case. Instead, we argue that the left inferior frontal region is a generic on-line sequence processor that unifies information from various sources in an incremental and recursive manner, independent of whether there are any processing requirements related to syntactic movement or hierarchically nested structures. In addition, we argue that the Chomsky hierarchy is not directly relevant for neurobiological systems.
  • Petrich, P., Piedrasanta, R., Figuerola, H., & Le Guen, O. (2010). Variantes y variaciones en la percepción de los antepasados entre los Mayas. In A. Monod Becquelin, A. Breton, & M. H. Ruz (Eds.), Figuras Mayas de la diversidad (pp. 255-275). Mérida, Mexico: Universidad autónoma de México.
  • Petrovic, P., Kalso, E., Petersson, K. M., Andersson, J., Fransson, P., & Ingvar, M. (2010). A prefrontal non-opioid mechanism in placebo analgesia. Pain, 150, 59-65. doi:10.1016/j.pain.2010.03.011.

    Abstract

    ehavioral studies have suggested that placebo analgesia is partly mediated by the endogenous opioid system. Expanding on these results we have shown that the opioid-receptor-rich rostral anterior cingulate cortex (rACC) is activated in both placebo and opioid analgesia. However, there are also differences between the two treatments. While opioids have direct pharmacological effects, acting on the descending pain inhibitory system, placebo analgesia depends on neocortical top-down mechanisms. An important difference may be that expectations are met to a lesser extent in placebo treatment as compared with a specific treatment, yielding a larger error signal. As these processes previously have been shown to influence other types of perceptual experiences, we hypothesized that they also may drive placebo analgesia. Imaging studies suggest that lateral orbitofrontal cortex (lObfc) and ventrolateral prefrontal cortex (vlPFC) are involved in processing expectation and error signals. We re-analyzed two independent functional imaging experiments related to placebo analgesia and emotional placebo to probe for a differential processing in these regions during placebo treatment vs. opioid treatment and to test if this activity is associated with the placebo response. In the first dataset lObfc and vlPFC showed an enhanced activation in placebo analgesia vs. opioid analgesia. Furthermore, the rACC activity co-varied with the prefrontal regions in the placebo condition specifically. A similar correlation between rACC and vlPFC was reproduced in another dataset involving emotional placebo and correlated with the degree of the placebo effect. Our results thus support that placebo is different from specific treatment with a prefrontal top-down influence on rACC.
  • Pettenati, P., Sekine, K., Congestrì, E., & Volterra, V. (2012). A comparative study on representational gestures in Italian and Japanese children. Journal of Nonverbal Behavior, 36(2), 149-164. doi:10.1007/s10919-011-0127-0.

    Abstract

    This study compares words and gestures produced in a controlled experimental setting by children raised in different linguistic/cultural environments to examine the robustness of gesture use at an early stage of lexical development. Twenty-two Italian and twenty-two Japanese toddlers (age range 25–37 months) performed the same picture-naming task. Italians produced more spoken correct labels than Japanese but a similar amount of representational gestures temporally matched with words. However, Japanese gestures reproduced more closely the action represented in the picture. Results confirm that gestures are linked to motor actions similarly for all children, suggesting a common developmental stage, only minimally influenced by culture.
  • Piai, V., Roelofs, A., & Schriefers, H. (2012). Distractor strength and selective attention in picture-naming performance. Memory and cognition, 40, 614-627. doi:10.3758/s13421-011-0171-3.

    Abstract

    Whereas it has long been assumed that competition plays a role in lexical selection in word production (e.g., Levelt, Roelofs, & Meyer, 1999), recently Finkbeiner and Caramazza (2006) argued against the competition assumption on the basis of their observation that visible distractors yield semantic interference in picture naming, whereas masked distractors yield semantic facilitation. We examined an alternative account of these findings that preserves the competition assumption. According to this account, the interference and facilitation effects of distractor words reflect whether or not distractors are strong enough to exceed a threshold for entering the competition process. We report two experiments in which distractor strength was manipulated by means of coactivation and visibility. Naming performance was assessed in terms of mean response time (RT) and RT distributions. In Experiment 1, with low coactivation, semantic facilitation was obtained from clearly visible distractors, whereas poorly visible distractors yielded no semantic effect. In Experiment 2, with high coactivation, semantic interference was obtained from both clearly and poorly visible distractors. These findings support the competition threshold account of the polarity of semantic effects in naming.
  • Piai, V., Roelofs, A., & van der Meij, R. (2012). Event-related potentials and oscillatory brain responses associated with semantic and Stroop-like interference effects in overt naming. Brain Research, 1450, 87-101. doi:10.1016/j.brainres.2012.02.050.

    Abstract

    Picture–word interference is a widely employed paradigm to investigate lexical access in word production: Speakers name pictures while trying to ignore superimposed distractor words. The distractor can be congruent to the picture (pictured cat, word cat), categorically related (pictured cat, word dog), or unrelated (pictured cat, word pen). Categorically related distractors slow down picture naming relative to unrelated distractors, the so-called semantic interference. Categorically related distractors slow down picture naming relative to congruent distractors, analogous to findings in the colour–word Stroop task. The locus of semantic interference and Stroop-like effects in naming performance has recently become a topic of debate. Whereas some researchers argue for a pre-lexical locus of semantic interference and a lexical locus of Stroop-like effects, others localise both effects at the lexical selection stage. We investigated the time course of semantic and Stroop-like interference effects in overt picture naming by means of event-related potentials (ERP) and time–frequency analyses. Moreover, we employed cluster-based permutation for statistical analyses. Naming latencies showed semantic and Stroop-like interference effects. The ERP waveforms for congruent stimuli started diverging statistically from categorically related stimuli around 250 ms. Deflections for the categorically related condition were more negative-going than for the congruent condition (the Stroop-like effect). The time–frequency analysis revealed a power increase in the beta band (12–30 Hz) for categorically related relative to unrelated stimuli roughly between 250 and 370 ms (the semantic effect). The common time window of these effects suggests that both semantic interference and Stroop-like effects emerged during lexical selection.
  • Pijnacker, J., Geurts, B., Van Lambalgen, M., Buitelaar, J., & Hagoort, P. (2010). Exceptions and anomalies: An ERP study on context sensitivity in autism. Neuropsychologia, 48, 2940-2951. doi:10.1016/j.neuropsychologia.2010.06.003.

    Abstract

    Several studies have demonstrated that people with ASD and intact language skills still have problems processing linguistic information in context. Given this evidence for reduced sensitivity to linguistic context, the question arises how contextual information is actually processed by people with ASD. In this study, we used event-related brain potentials (ERPs) to examine context sensitivity in high-functioning adults with autistic disorder (HFA) and Asperger syndrome at two levels: at the level of sentence processing and at the level of solving reasoning problems. We found that sentence context as well as reasoning context had an immediate ERP effect in adults with Asperger syndrome, as in matched controls. Both groups showed a typical N400 effect and a late positive component for the sentence conditions, and a sustained negativity for the reasoning conditions. In contrast, the HFA group demonstrated neither an N400 effect nor a sustained negativity. However, the HFA group showed a late positive component which was larger for semantically anomalous sentences than congruent sentences. Because sentence context had a modulating effect in a later phase, semantic integration is perhaps less automatic in HFA, and presumably more elaborate processes are needed to arrive at a sentence interpretation.
  • Pillas, D., Hoggart, C. J., Evans, D. M., O'Reilly, P. F., Sipilä, K., Lähdesmäki, R., Millwood, I. Y., Kaakinen, M., Netuveli, G., Blane, D., Charoen, P., Sovio, U., Pouta, A., Freimer, N., Hartikainen, A.-L., Laitinen, J., Vaara, S., Glaser, B., Crawford, P., Timpson, N. J. and 10 morePillas, D., Hoggart, C. J., Evans, D. M., O'Reilly, P. F., Sipilä, K., Lähdesmäki, R., Millwood, I. Y., Kaakinen, M., Netuveli, G., Blane, D., Charoen, P., Sovio, U., Pouta, A., Freimer, N., Hartikainen, A.-L., Laitinen, J., Vaara, S., Glaser, B., Crawford, P., Timpson, N. J., Ring, S. M., Deng, G., Zhang, W., McCarthy, M. I., Deloukas, P., Peltonen, L., Elliott, P., Coin, L. J. M., Smith, G. D., & Jarvelin, M.-R. (2010). Genome-wide association study reveals multiple loci associated with primary tooth development during infancy. PLoS Genetics, 6(2): e1000856. doi:10.1371/journal.pgen.1000856.

    Abstract

    Tooth development is a highly heritable process which relates to other growth and developmental processes, and which interacts with the development of the entire craniofacial complex. Abnormalities of tooth development are common, with tooth agenesis being the most common developmental anomaly in humans. We performed a genome-wide association study of time to first tooth eruption and number of teeth at one year in 4,564 individuals from the 1966 Northern Finland Birth Cohort (NFBC1966) and 1,518 individuals from the Avon Longitudinal Study of Parents and Children (ALSPAC). We identified 5 loci at P<}5x10(-8), and 5 with suggestive association (P{<5x10(-6)). The loci included several genes with links to tooth and other organ development (KCNJ2, EDA, HOXB2, RAD51L1, IGF2BP1, HMGA2, MSRB3). Genes at four of the identified loci are implicated in the development of cancer. A variant within the HOXB gene cluster associated with occlusion defects requiring orthodontic treatment by age 31 years.
  • Pine, J. M., Lieven, E. V., & Rowland, C. F. (1998). Comparing different models of the development of the English verb category. Linguistics, 36(4), 807-830. doi:10.1515/ling.1998.36.4.807.

    Abstract

    In this study data from the first six months of 12 children s multiword speech were used to test the validity of Valian's (1991) syntactic perfor-mance-limitation account and Tomasello s (1992) verb-island account of early multiword speech with particular reference to the development of the English verb category. The results provide evidence for appropriate use of verb morphology, auxiliary verb structures, pronoun case marking, and SVO word order from quite early in development. However, they also demonstrate a great deal of lexical specificity in the children's use of these systems, evidenced by a lack of overlap in the verbs to which different morphological markers were applied, a lack of overlap in the verbs with which different auxiliary verbs were used, a disproportionate use of the first person singular nominative pronoun I, and a lack of overlap in the lexical items that served as the subjects and direct objects of transitive verbs. These findings raise problems for both a syntactic performance-limitation account and a strong verb-island account of the data and suggest the need to develop a more general lexiealist account of early multiword speech that explains why some words come to function as "islands" of organization in the child's grammar and others do not.
  • Pine, J. M., Lieven, E. V., & Rowland, C. F. (1996). Observational and checklist measures of vocabulary composition: What do they mean? Journal of Child Language, 23(3), 573-590. doi:10.1017/S0305000900008953.

    Abstract

    Observational and checklist measures of vocabulary composition have both recently been used to look at the absolute proportion of nouns in children's early vocabularies. However, they have tended to generate rather different results. The present study is an attempt to investigate the relationship between such measures in a sample of 26 children between 1;1 and 2;1 at approximately 50 and 100 words. The results show that although observational and checklist measures are significantly correlated, there are also systematic quantitative differences between them which seem to reflect a combination of checklist, maternal-report and observational sampling biases. This suggests that, although both kinds of measure may represent good indices of differences in vocabulary size and composition across children and hence be useful as dependent variables in correlational research, neither may be ideal for estimating the absolute proportion of nouns in children's vocabularies. The implication is that questions which rely on information about the absolute proportion of particular kinds of words in children's vocabularies can only be properly addressed by detailed longitudinal studies in which an attempt is made to collect more comprehensive vocabulary records for individual children.
  • Pluymaekers, M., Ernestus, M., Baayen, R. H., & Booij, G. (2010). Morphological effects on fine phonetic detail: The case of Dutch -igheid. In C. Fougeron, B. Kühnert, M. D'Imperio, & N. Vallée (Eds.), Laboratory Phonology 10 (pp. 511-532). Berlin: De Gruyter.
  • Poletiek, F. H. (1998). De geest van de jury. Psychologie en Maatschappij, 4, 376-378.
  • Poletiek, F. H., & Lai, J. (2012). How semantic biases in simple adjacencies affect learning a complex structure with non-adjacencies in AGL: A statistical account. Philosophical Transactions of the Royal Society of London. Series B, Biological Sciences, 367, 2046 -2054. doi:10.1098/rstb.2012.0100.

    Abstract

    A major theoretical debate in language acquisition research regards the learnability of hierarchical structures. The artificial grammar learning methodology is increasingly influential in approaching this question. Studies using an artificial centre-embedded AnBn grammar without semantics draw conflicting conclusions. This study investigates the facilitating effect of distributional biases in simple AB adjacencies in the input sample—caused in natural languages, among others, by semantic biases—on learning a centre-embedded structure. A mathematical simulation of the linguistic input and the learning, comparing various distributional biases in AB pairs, suggests that strong distributional biases might help us to grasp the complex AnBn hierarchical structure in a later stage. This theoretical investigation might contribute to our understanding of how distributional features of the input—including those caused by semantic variation—help learning complex structures in natural languages.
  • Poletiek, F. H. (1996). Paradoxes of falsification. Quarterly Journal of Experimental Psychology Section A: Human Experimental Psychology, 49(2), 447-462. doi:10.1080/713755628.
  • St Pourcain, B., Wang, K., Glessner, J. T., Golding, J., Steer, C., Ring, S. M., Skuse, D. H., Grant, S. F. A., Hakonarson, H., & Davey Smith, G. (2010). Association Between a High-Risk Autism Locus on 5p14 and Social Communication Spectrum Phenotypes in the General Population. American Journal of Psychiatry, 167(11), 1364-1372. doi:10.1176/appi.ajp.2010.09121789.

    Abstract

    Objective: Recent genome-wide analysis identified a genetic variant on 5p14.1 (rs4307059), which is associated with risk for autism spectrum disorder. This study investigated whether rs4307059 also operates as a quantitative trait locus underlying a broader autism phenotype in the general population, focusing specifically on the social communication aspect of the spectrum. Method: Study participants were 7,313 children from the Avon Longitudinal Study of Parents and Children. Single-trait and joint-trait genotype associations were investigated for 29 measures related to language and communication, verbal intelligence, social interaction, and behavioral adjustment, assessed between ages 3 and 12 years. Analyses were performed in one-sided or directed mode and adjusted for multiple testing, trait interrelatedness, and random genotype dropout. Results: Single phenotype analyses showed that an increased load of rs4307059 risk allele is associated with stereotyped conversation and lower pragmatic communication skills, as measured by the Children's Communication Checklist (at a mean age of 9.7 years). In addition a trend toward a higher frequency of identification of special educational needs (at a mean age of 11.8 years) was observed. Variation at rs4307059 was also associated with the phenotypic profile of studied traits. This joint signal was fully explained neither by single-trait associations nor by overall behavioral adjustment problems but suggested a combined effect, which manifested through multiple sub-threshold social, communicative, and cognitive impairments. Conclusions: Our results suggest that common variation at 5p14.1 is associated with social communication spectrum phenotypes in the general population and support the role of rs4307059 as a quantitative trait locus for autism spectrum disorder.
  • Praamstra, P., Meyer, A. S., Cools, A. R., Horstink, M. W. I. M., & Stegeman, D. F. (1996). Movement preparation in Parkinson's disease: Time course and distribution of movement-related potentials in a movement precueing task. Brain, 119, 1689-1704. doi:10.1093/brain/119.5.1689.

    Abstract

    Investigations of the effects of advance information on movement preparation in Parkinson's disease using reaction time (RT) measures have yielded contradictory results. In order to obtain direct information regarding the time course of movement preparation, we combined RT measurements in a movement precueing task with multi-channel recordings of movement-related potentials in the present study. Movements of the index and middle fingers of the left and right hand were either precued or not by advance information regarding the side (left or right hand) of the required response. Reaction times were slower for patients than for control subjects. Both groups benefited equally from informative precues, indicating that patients utilized the advance information as effectively as control subjects. Lateralization of the movement-preceding cerebral activity [i.e. the lateralized readiness potential (LRP)] confirmed that patients used the available partial information to prepare their responses and started this process no later than controls. In conjunction with EMG onset times, the LRP onset measures allowed for a fractionation of the RTs, which provided clues to the stages where the slowness of Parkinson's disease patients might arise. No definite abnormalities of temporal parameters were found, but differences in the distribution of the lateralized movement-preceding activity between patients and controls suggested differences in the cortical organization of movement preparation. Differences in amplitude of the contingent negative variation (CNV) and differences in the way in which the CNV was modulated by the information given by the precue pointed in the same direction. A difference in amplitude of the P300 between patients and controls suggested that preprogramming a response required more effort from. patients than from control subjects.
  • Praamstra, P., Stegeman, D. F., Cools, A. R., Meyer, A. S., & Horstink, M. W. I. M. (1998). Evidence for lateral premotor and parietal overactivity in Parkinson's disease during sequential and bimanual movements: A PET study. Brain, 121, 769-772. doi:10.1093/brain/121.4.769.
  • Puccini, D., & Liszkowski, U. (2012). 15-month-old infants fast map words but not representational gestures of multimodal labels. Frontiers in Psychology, 3: 101, pp. 101. doi:10.3389/fpsyg.2012.00101.

    Abstract

    This study investigated whether 15-month-old infants fast map multimodal labels, and, when given the choice of two modalities, whether they preferentially fast map one better than the other. Sixty 15-month-old infants watched films where an actress repeatedly and ostensively labeled two novel objects using a spoken word along with a representational gesture. In the test phase, infants were assigned to one of three conditions: Word, Word + Gesture, or Gesture. The objects appeared in a shelf next to the experimenter and, depending on the condition, infants were prompted with either a word, a gesture, or a multimodal word-gesture combination. Using an infant eye tracker, we determined whether infants made the correct mappings. Results revealed that only infants in the Word condition had learned the novel object labels. When the representational gesture was presented alone or when the verbal label was accompanied by a representational gesture, infants did not succeed in making the correct mappings. Results reveal that 15-month-old infants do not benefit from multimodal labeling and that they prefer words over representational gestures as object labels in multimodal utterances. Findings put into question the role of multimodal labeling in early language development.
  • Puccini, D., Hassemer, M., Salomo, D., & Liszkowski, U. (2010). The type of shared activity shapes caregiver and infant communication. Gesture, 10(2/3), 279-297. doi:10.1075/gest.10.2-3.08puc.

    Abstract

    For the beginning language learner, communicative input is not based on linguistic codes alone. This study investigated two extralinguistic factors which are important for infants’ language development: the type of ongoing shared activity and non-verbal, deictic gestures. The natural interactions of 39 caregivers and their 12-month-old infants were recorded in two semi-natural contexts: a free play situation based on action and manipulation of objects, and a situation based on regard of objects, broadly analogous to an exhibit. Results show that the type of shared activity structures both caregivers’ language usage and caregivers’ and infants’ gesture usage. Further, there is a specific pattern with regard to how caregivers integrate speech with particular deictic gesture types. The findings demonstrate a pervasive influence of shared activities on human communication, even before language has emerged. The type of shared activity and caregivers’ systematic integration of specific forms of deictic gestures with language provide infants with a multimodal scaffold for a usage-based acquisition of language.
  • Puccini, D., Hassemer, M., Salomo, D., & Liszkowski, U. (2012). The type of shared activity shapes caregiver and infant communication [Reprint]. In J.-M. Colletta, & M. Guidetti (Eds.), Gesture and multimodal development (pp. 157-174). Amsterdam: John Benjamins.

    Abstract

    For the beginning language learner, communicative input is not based on linguistic codes alone. This study investigated two extralinguistic factors which are important for infants’ language development: the type of ongoing shared activity and non-verbal, deictic gestures. The natural interactions of 39 caregivers and their 12-month-old infants were recorded in two semi-natural contexts: a free play situation based on action and manipulation of objects, and a situation based on regard of objects, broadly analogous to an exhibit. Results show that the type of shared activity structures both caregivers’ language usage and caregivers’ and infants’ gesture usage. Further, there is a specific pattern with regard to how caregivers integrate speech with particular deictic gesture types. The findings demonstrate a pervasive influence of shared activities on human communication, even before language has emerged. The type of shared activity and caregivers’ systematic integration of specific forms of deictic gestures with language provide infants with a multimodal scaffold for a usage-based acquisition of language.
  • Pyykkönen, P., & Järvikivi, J. (2012). Children and situation models of multiple events. Developmental Psychology, 48, 521-529. doi:10.1037/a0025526.

    Abstract

    The present study demonstrates that children experience difficulties reaching the correct situation model of multiple events described in temporal sentences if the sentences encode language-external events in reverse chronological order. Importantly, the timing of the cue of how to organize these events is crucial: When temporal subordinate conjunctions (before/after) or converb constructions that carry information of how to organize the events were given sentence-medially, children experienced severe difficulties in arriving at the correct interpretation of event order. When this information was provided sentence-initially, children were better able to arrive at the correct situation model, even if it required them to decode the linguistic information reversely with respect to the actual language external events. This indicates that children even aged 8–12 still experience difficulties in arriving at the correct interpretation of the event structure, if the cue of how to order the events is not given immediately when they start building the representation of the situation. This suggests that children's difficulties in comprehending sequential temporal events are caused by their inability to revise the representation of the current event structure at the level of the situation model
  • Pyykkönen, P., & Järvikivi, J. (2010). Activation and persistence of implicit causality information in spoken language comprehension. Experimental Psychology, 57, 5-16. doi:10.1027/1618-3169/a000002.

    Abstract

    A visual world eye-tracking study investigated the activation and persistence of implicit causality information in spoken language comprehension. We showed that people infer the implicit causality of verbs as soon as they encounter such verbs in discourse, as is predicted by proponents of the immediate focusing account (Greene & McKoon, 1995; Koornneef & Van Berkum, 2006; Van Berkum, Koornneef, Otten, & Nieuwland, 2007). Interestingly, we observed activation of implicit causality information even before people encountered the causal conjunction. However, while implicit causality information was persistent as the discourse unfolded, it did not have a privileged role as a focusing cue immediately at the ambiguous pronoun when people were resolving its antecedent. Instead, our study indicated that implicit causality does not affect all referents to the same extent, rather it interacts with other cues in the discourse, especially when one of the referents is already prominently in focus.
  • Pyykkönen, P., Matthews, D., & Järvikivi, J. (2010). Three-year-olds are sensitive to semantic prominence during online spoken language comprehension: A visual world study of pronoun resolution. Language and Cognitive Processes, 25, 115 -129. doi:10.1080/01690960902944014.

    Abstract

    Recent evidence from adult pronoun comprehension suggests that semantic factors such as verb transitivity affect referent salience and thereby anaphora resolution. We tested whether the same semantic factors influence pronoun comprehension in young children. In a visual world study, 3-year-olds heard stories that began with a sentence containing either a high or a low transitivity verb. Looking behaviour to pictures depicting the subject and object of this sentence was recorded as children listened to a subsequent sentence containing a pronoun. Children showed a stronger preference to look to the subject as opposed to the object antecedent in the low transitivity condition. In addition there were general preferences (1) to look to the subject in both conditions and (2) to look more at both potential antecedents in the high transitivity condition. This suggests that children, like adults, are affected by semantic factors, specifically semantic prominence, when interpreting anaphoric pronouns.
  • Radeau, M., & Van Berkum, J. J. A. (1996). Gender decision. Language and Cognitive Processes, 11(6), 605-610. doi:10.1080/016909696387006.

    Abstract

    In languages in which nouns have a grammatical gender, word recognition can be estimated by gender decision response times. Although gender decision has yet to be used extensively, it has proved sensitive to several factors that have been shown to affect lexical access. The task is not restricted to spoken language but can be used with linguistic information from other sensory modalities.
  • Rakoczy, H., & Haun, D. B. M. (2012). Vor- und nichtsprachliche Kognition. In W. Schneider, & U. Lindenberger (Eds.), Entwicklungspsychologie. 7. vollständig überarbeitete Auflage (pp. 337-362). Weinheim: Beltz Verlag.
  • Rapold, C. J. (2010). Beneficiary and other roles of the dative in Tashelhiyt. In F. Zúñiga, & S. Kittilä (Eds.), Benefactives and malefactives: Typological perspectives and case studies (pp. 351-376). Amsterdam: Benjamins.

    Abstract

    This paper explores the semantics of the dative in Tashelhiyt, a Berber language from Morocco. After a brief morphosyntactic overview of the dative in this language, I identify a wide range of its semantic roles, including possessor, experiencer, distributive and unintending causer. I arrange these roles in a semantic map and propose semantic links between the roles such as metaphorisation and generalisation. In the light of the Tashelhiyt data, the paper also proposes additions to previous semantic maps of the dative (Haspelmath 1999, 2003) and to Kittilä’s 2005 typology of beneficiary coding.
  • Rapold, C. J. (2010). Defining converbs ten years on - A hitchhikers'guide. In S. Völlmin, A. Amha, C. J. Rapold, & S. Zaugg-Coretti (Eds.), Converbs, medial verbs, clause chaining and related issues (pp. 7-30). Köln: Rüdiger Köppe Verlag.
  • Rapold, C. J. (2012). The encoding of placement and removal events in ǂAkhoe Haiǁom. In A. Kopecka, & B. Narasimhan (Eds.), Events of putting and taking: A crosslinguistic perspective (pp. 79-98). Amsterdam: Benjamins.

    Abstract

    This paper explores the semantics of placement and removal verbs in Ākhoe Hai om based on event descriptions elicited with a set of video stimuli. After a brief sketch of the morphosyntax of placement/removal constructions in Ākhoe Haiom, four situation types are identified semantically that cover both placement and removal events. The language exhibits a clear tendency to make more fine-grained semantic distinctions in placement verbs, as opposed to semantically more general removal verbs.
  • Reddy, T. E., Gertz, J., Pauli, F., Kucera, K. S., Varley, K. E., Newberry, K. M., Marinov, G. K., Mortazavi, A., Williams, B. A., Song, L., Crawford, G. E., Wold, B., Willard, H. F., & Myers, R. M. (2012). Effects of sequence variation on differential allelic transcription factor occupancy and gene expression. Genome Research, 22, 860-869. doi:10.1101/gr.131201.111.

    Abstract

    A complex interplay between transcription factors (TFs) and the genome regulates transcription. However, connecting variation in genome sequence with variation in TF binding and gene expression is challenging due to environmental differences between individuals and cell types. To address this problem, we measured genome-wide differential allelic occupancy of 24 TFs and EP300 in a human lymphoblastoid cell line GM12878. Overall, 5% of human TF binding sites have an allelic imbalance in occupancy. At many sites, TFs clustered in TF-binding hubs on the same homolog in especially open chromatin. While genetic variation in core TF binding motifs generally resulted in large allelic differences in TF occupancy, most allelic differences in occupancy were subtle and associated with disruption of weak or noncanonical motifs. We also measured genome-wide differential allelic expression of genes with and without heterozygous exonic variants in the same cells. We found that genes with differential allelic expression were overall less expressed both in GM12878 cells and in unrelated human cell lines. Comparing TF occupancy with expression, we found strong association between allelic occupancy and expression within 100 bp of transcription start sites (TSSs), and weak association up to 100 kb from TSSs. Sites of differential allelic occupancy were significantly enriched for variants associated with disease, particularly autoimmune disease, suggesting that allelic differences in TF occupancy give functional insights into intergenic variants associated with disease. Our results have the potential to increase the power and interpretability of association studies by targeting functional intergenic variants in addition to protein coding sequences.
  • Reesink, G. (2010). The difference a word makes. In K. A. McElhannon, & G. Reesink (Eds.), A mosaic of languages and cultures: Studies celebrating the career of Karl J. Franklin (pp. 434-446). Dallas, TX: SIL International.

    Abstract

    This paper offers some thoughts on the question what effect language has on the understanding and hence behavior of a human being. It reviews some issues of linguistic relativity, known as the “Sapir-Whorf hypothesis,” suggesting that the culture we grow up in is reflected in the language and that our cognition (and our worldview) is shaped or colored by the conventions developed by our ancestors and peers. This raises questions for the degree of translatability, illustrated by the comparison of two poems by a Dutch poet who spent most of his life in the USA. Mutual understanding, I claim, is possible because we have the cognitive apparatus that allows us to enter different emic systems.
  • Reesink, G., & Dunn, M. (2012). Systematic typological comparison as a tool for investigating language history. Language Documentation and Conservation, (5), 34-71. Retrieved from http://hdl.handle.net/10125/4560.
  • Reesink, G. (2010). Prefixation of arguments in West Papuan languages. In M. Ewing, & M. Klamer (Eds.), East Nusantara, typological and areal analyses (pp. 71-95). Canberra: Pacific Linguistics.
  • Reesink, G. (2010). The Manambu language of East Sepik, Papua New Guinea [Book review]. Studies in Language, 34(1), 226-233. doi:10.1075/sl.34.1.13ree.
  • Reinisch, E., & Weber, A. (2012). Adapting to suprasegmental lexical stress errors in foreign-accented speech. Journal of the Acoustical Society of America, 132, 1165-1176. doi:10.1121/1.4730884.

    Abstract

    Can native listeners rapidly adapt to suprasegmental mispronunciations in foreign-accented speech? To address this question, an exposure-test paradigm was used to test whether Dutch listeners can improve their understanding of non-canonical lexical stress in Hungarian-accented Dutch. During exposure, one group of listeners heard a Dutch story with only initially stressed words, whereas another group also heard 28 words with canonical second-syllable stress (e.g., EEKhorn, "squirrel" was replaced by koNIJN "rabbit"; capitals indicate stress). The 28 words, however, were non-canonically marked by the Hungarian speaker with high pitch and amplitude on the initial syllable, both of which are stress cues in Dutch. After exposure, listeners' eye movements were tracked to Dutch target-competitor pairs with segmental overlap but different stress patterns, while they listened to new words from the same Hungarian speaker (e.g., HERsens, herSTEL, "brain," "recovery"). Listeners who had previously heard non-canonically produced words distinguished target-competitor pairs better than listeners who had only been exposed to Hungarian accent with canonical forms of lexical stress. Even a short exposure thus allows listeners to tune into speaker-specific realizations of words' suprasegmental make-up, and use this information for word recognition.
  • Reinisch, E., Jesse, A., & McQueen, J. M. (2010). Early use of phonetic information in spoken word recognition: Lexical stress drives eye movements immediately. Quarterly Journal of Experimental Psychology, 63(4), 772-783. doi:10.1080/17470210903104412.

    Abstract

    For optimal word recognition listeners should use all relevant acoustic information as soon as it comes available. Using printed-word eye-tracking we investigated when during word processing Dutch listeners use suprasegmental lexical stress information to recognize words. Fixations on targets such as 'OCtopus' (capitals indicate stress) were more frequent than fixations on segmentally overlapping but differently stressed competitors ('okTOber') before segmental information could disambiguate the words. Furthermore, prior to segmental disambiguation, initially stressed words were stronger lexical competitors than non-initially stressed words. Listeners recognize words by immediately using all relevant information in the speech signal.
  • Reis, A., Petersson, K. M., & Faísca, L. (2010). Neuroplasticidade: Os efeitos de aprendizagens específicas no cérebro humano. In C. Nunes, & S. N. Jesus (Eds.), Temas actuais em Psicologia (pp. 11-26). Faro: Universidade do Algarve.
  • Relton, C. L., Groom, A., St Pourcain, B., Sayers, A. E., Swan, D. C., Embleton, N. D., Pearce, M. S., Ring, S. M., Northstone, K., Tobias, J. H., Trakalo, J., Ness, A. R., Shaheen, S. O., & Davey Smith, G. (2012). DNA Methylation Patterns in Cord Blood DNA and Body Size in Childhood. PLoS ONE, 7(3): e31821. doi:10.1371/journal.pone.0031821.

    Abstract

    BACKGROUND: Epigenetic markings acquired in early life may have phenotypic consequences later in development through their role in transcriptional regulation with relevance to the developmental origins of diseases including obesity. The goal of this study was to investigate whether DNA methylation levels at birth are associated with body size later in childhood. PRINCIPAL FINDINGS: A study design involving two birth cohorts was used to conduct transcription profiling followed by DNA methylation analysis in peripheral blood. Gene expression analysis was undertaken in 24 individuals whose biological samples and clinical data were collected at a mean ± standard deviation (SD) age of 12.35 (0.95) years, the upper and lower tertiles of body mass index (BMI) were compared with a mean (SD) BMI difference of 9.86 (2.37) kg/m(2). This generated a panel of differentially expressed genes for DNA methylation analysis which was then undertaken in cord blood DNA in 178 individuals with body composition data prospectively collected at a mean (SD) age of 9.83 (0.23) years. Twenty-nine differentially expressed genes (>}1.2-fold and p{<10(-4)) were analysed to determine DNA methylation levels at 1-3 sites per gene. Five genes were unmethylated and DNA methylation in the remaining 24 genes was analysed using linear regression with bootstrapping. Methylation in 9 of the 24 (37.5%) genes studied was associated with at least one index of body composition (BMI, fat mass, lean mass, height) at age 9 years, although only one of these associations remained after correction for multiple testing (ALPL with height, p(Corrected) = 0.017). CONCLUSIONS: DNA methylation patterns in cord blood show some association with altered gene expression, body size and composition in childhood. The observed relationship is correlative and despite suggestion of a mechanistic epigenetic link between in utero life and later phenotype, further investigation is required to establish causality.
  • Ringersma, J., Kastens, K., Tschida, U., & Van Berkum, J. J. A. (2010). A principled approach to online publication listings and scientific resource sharing. The Code4Lib Journal, 2010(9), 2520.

    Abstract

    The Max Planck Institute (MPI) for Psycholinguistics has developed a service to manage and present the scholarly output of their researchers. The PubMan database manages publication metadata and full-texts of publications published by their scholars. All relevant information regarding a researcher’s work is brought together in this database, including supplementary materials and links to the MPI database for primary research data. The PubMan metadata is harvested into the MPI website CMS (Plone). The system developed for the creation of the publication lists, allows the researcher to create a selection of the harvested data in a variety of formats.
  • Ringersma, J., Zinn, C., & Koenig, A. (2010). Eureka! User friendly access to the MPI linguistic data archive. SDV - Sprache und Datenverarbeitung/International Journal for Language Data Processing. [Special issue on Usability aspects of hypermedia systems], 34(1), 67-79.

    Abstract

    The MPI archive hosts a rich and diverse set of linguistic resources, containing some 300.000 audio, video and text resources, which are described by some 100.000 metadata files. New data is ingested on a daily basis, and there is an increasing need to facilitate easy access to both expert and novice users. In this paper, we describe various tools that help users to view all archived content: the IMDI Browser, providing metadata-based access through structured tree navigation and search; a facetted browser where users select from a few distinctive metadata fields (facets) to find the resource(s) in need; a Google Earth overlay where resources can be located via geographic reference; purpose-built web portals giving pre-fabricated access to a well-defined part of the archive; lexicon-based entry points to parts of the archive where browsing a lexicon gives access to non-linguistic material; and finally, an ontology-based approach where lexical spaces are complemented with conceptual ones to give a more structured extra-linguistic view of the languages and cultures its helps documenting.
  • Ringersma, J., & Kemps-Snijders, M. (2010). Reaction to the LEXUS review in the LD&C, Vol.3, No 2. Language Documentation & Conservation, 4(2), 75-77. Retrieved from http://hdl.handle.net/10125/4469.

    Abstract

    This technology review gives an overview of LEXUS, the MPI online lexicon tool and its new functionalities. It is a reaction to a review of Kristina Kotcheva in Language Documentation and Conservation 3(2).
  • Roberson, D., Kikutani, M., Döge, P., Whitaker, L., & Majid, A. (2012). Shades of emotion: What the addition of sunglasses or masks to faces reveals about the development of facial expression processing. Cognition, 125, 195-206. doi:10.1016/j.cognition.2012.06.018.

    Abstract

    Three studies investigated developmental changes in facial expression processing, between 3years-of-age and adulthood. For adults and older children, the addition of sunglasses to upright faces caused an equivalent decrement in performance to face inversion. However, younger children showed better classification of expressions of faces wearing sunglasses than children who saw the same faces un-occluded. When the mouth area was occluded with a mask, children under nine years showed no impairment in expression classification, relative to un-occluded faces. An early selective focus of attention on the eyes may be optimal for socialization, but mediate against accurate expression classification. The data support a model in which a threshold level of attentional control must be reached before children can develop adult-like configural processing skills and be flexible in their use of face- processing strategies.
  • Roberts, L., & Meyer, A. S. (2012). Individual differences in second language learning: Introduction. Language Learning, 62(Supplement S2), 1-4. doi:10.1111/j.1467-9922.2012.00703.x.

    Abstract

    First paragraph: The topic of the workshop from which this volume comes, “Individual Differences in Second Language Learning,” is timely and important for both practical and theoretical reasons. The practical reasons are obvious: While many people have some knowledge of a second or further language, there is enormous variability in how well they know these languages. Much of this variability is, of course, likely to be due to differences in the time spent studying or being immersed in the language, but even in similar learning environments learners differ greatly in how quickly they pick up a language and in their ultimate level of proficiency.
  • Roberts, L. (2012). Individual differences in second language sentence processing. Language Learning, 62(Supplement S2), 172-188. doi:10.1111/j.1467-9922.2012.00711.x.

    Abstract

    As is the case in traditional second language (L2) acquisition research, a major question in the field of L2 real-time sentence processing is the extent to which L2 learners process the input like native speakers. Where differences are observed, the underlying causes could be the influence of the learner's first language and/or differences (fundamental or not) in the use of processing strategies between learners and native speakers. Another factor that may account for L1–L2 differences, perhaps in combination with others, is individual variability in general levels of proficiency or in learners’ general cognitive capacities, such as working memory and processing speed. However, systematic research into the effects of such individual differences on L2 real-time sentence processing has yet to be done because researchers in the main attempt to control for individual differences in general cognitive capacities rather than to investigate them in their own right: nevertheless, a review of the current work on L2 sentence and discourse processing raises some interesting findings. An overview of this research is presented in this paper, highlighting what appear to be the circumstances under which individual differences in factors such as working memory capacity and proficiency do or do not affect L2 sentence processing. Taken together, the data suggest that it is only under certain experimental circumstances—specifically, when participants are asked to perform a metalinguistic task directing their attention to the manipulation at the same time as comprehending the input—that individual differences in such factors as insufficient L2 proficiency and/or cognitive processing limitations, like speed and working memory influence L2 learners’ real-time processing of the target input. Under these circumstances, L2 learners of for instance, a higher working memory capacity or greater proficiency are more likely to process the input like native speakers. Otherwise, learners appear to shallow process the input, irrespective of individual variability.
  • Roberts, L. (2010). Parsing the L2 input, an overview: Investigating L2 learners’ processing of syntactic ambiguities and dependencies in real-time comprehension. In G. D. Véronique (Ed.), Language, Interaction and Acquisition [Special issue] (pp. 189-205). Amsterdam: Benjamins.

    Abstract

    The acquisition of second language (L2) syntax has been central to the study of L2 acquisition, but recently there has been an interest in how learners apply their L2 syntactic knowledge to the input in real-time comprehension. Investigating L2 learners’ moment-by-moment syntactic analysis during listening or reading of sentence as it unfolds — their parsing of the input — is important, because language learning involves both the acquisition of knowledge and the ability to use it in real time. Using methods employed in monolingual processing research, investigations often focus on the processing of temporary syntactic ambiguities and structural dependencies. Investigating ambiguities involves examining parsing decisions at points in a sentence where there is a syntactic choice and this can offer insights into the nature of the parsing mechanism, and in particular, its processing preferences. Studying the establishment of syntactic dependencies at the critical point in the input allows for an investigation of how and when different kinds of information (e.g., syntactic, semantic, pragmatic) are put to use in real-time interpretation. Within an L2 context, further questions are of interest and familiar from traditional L2 acquisition research. Specifically, how native-like are the parsing procedures that L2 learners apply when processing the L2 input? What is the role of the learner’s first language (L1)? And, what are the effects of individual factors such as age, proficiency/dominance and working memory on L2 parsing? In the current paper I will provide an overview of the findings of some experimental research designed to investigate these questions.
  • Roberts, L. (2012). Sentence and discourse processing in second language comprehension. In C. A. Chapelle (Ed.), Encyclopedia of Applied Linguistics. Chicester: Wiley-Blackwell. doi:10.1002/9781405198431.wbeal1063.

    Abstract

    n applied linguistics (AL), researchers have always been concerned with second language (L2) learners' knowledge of the target language (TL), investigating the development of TL grammar, vocabulary, and phonology, for instance.
  • Roberts, S. G., & Winters, J. (2012). Social structure and language structure: The new nomothetic approach. Psychology of Language and Communication, 16, 89-112. doi:10.2478/v10057-012-0008-6.

    Abstract

    Recent studies have taken advantage of newly available, large-scale, cross-linguistic data and new statistical techniques to look at the relationship between language structure and social structure. These ‘nomothetic’ approaches contrast with more traditional approaches and a tension is observed between proponents of each method. We review some nomothetic studies and point out some challenges that must be overcome. However, we argue that nomothetic approaches can contribute to our understanding of the links between social structure and language structure if they address these challenges and are taken as part of a body of mutually supporting evidence. Nomothetic studies are a powerful tool for generating hypotheses that can go on to be corroborated and tested with experimental and theoretical approaches. These studies are highlighting the effect of interaction on language.
  • Roberts, L. (2012). Review article: Psycholinguistic techniques and resources in second language acquisition research. Second Language Research, 28, 113-127. doi:10.1177/0267658311418416.

    Abstract

    In this article, a survey of current psycholinguistic techniques relevant to second language acquisition (SLA) research is presented. I summarize many of the available methods and discuss their use with particular reference to two critical questions in current SLA research: (1) What does a learner’s current knowledge of the second language (L2) look like?; (2) How do learners process the L2 in real time? The aim is to show how psycholinguistic techniques that capture real-time (online) processing can elucidate such questions; to suggest methods best suited to particular research topics, and types of participants; and to offer practical information on the setting up of a psycholinguistics laboratory.
  • Roelofs, A., Meyer, A. S., & Levelt, W. J. M. (1998). A case for the lemma/lexeme distinction in models of speaking: Comment on Caramazza and Miozzo (1997). Cognition, 69(2), 219-230. doi:10.1016/S0010-0277(98)00056-0.

    Abstract

    In a recent series of papers, Caramazza and Miozzo [Caramazza, A., 1997. How many levels of processing are there in lexical access? Cognitive Neuropsychology 14, 177-208; Caramazza, A., Miozzo, M., 1997. The relation between syntactic and phonological knowledge in lexical access: evidence from the 'tip-of-the-tongue' phenomenon. Cognition 64, 309-343; Miozzo, M., Caramazza, A., 1997. On knowing the auxiliary of a verb that cannot be named: evidence for the independence of grammatical and phonological aspects of lexical knowledge. Journal of Cognitive Neuropsychology 9, 160-166] argued against the lemma/lexeme distinction made in many models of lexical access in speaking, including our network model [Roelofs, A., 1992. A spreading-activation theory of lemma retrieval in speaking. Cognition 42, 107-142; Levelt, W.J.M., Roelofs, A., Meyer, A.S., 1998. A theory of lexical access in speech production. Behavioral and Brain Sciences, (in press)]. Their case was based on the observations that grammatical class deficits of brain-damaged patients and semantic errors may be restricted to either spoken or written forms and that the grammatical gender of a word and information about its form can be independently available in tip-of-the-tongue stales (TOTs). In this paper, we argue that though our model is about speaking, not taking position on writing, extensions to writing are possible that are compatible with the evidence from aphasia and speech errors. Furthermore, our model does not predict a dependency between gender and form retrieval in TOTs. Finally, we argue that Caramazza and Miozzo have not accounted for important parts of the evidence motivating the lemma/lexeme distinction, such as word frequency effects in homophone production, the strict ordering of gender and pho neme access in LRP data, and the chronometric and speech error evidence for the production of complex morphology.
  • Roelofs, A., & Meyer, A. S. (1998). Metrical structure in planning the production of spoken words. Journal of Experimental Psychology: Learning, Memory, and Cognition, 24, 922-939. doi:10.1037/0278-7393.24.4.922.

    Abstract

    According to most models of speech production, the planning of spoken words involves the independent retrieval of segments and metrical frames followed by segment-to-frame association. In some models, the metrical frame includes a specification of the number and ordering of consonants and vowels, but in the word-form encoding by activation and verification (WEAVER) model (A. Roelofs, 1997), the frame specifies only the stress pattern across syllables. In 6 implicit priming experiments, on each trial, participants produced 1 word out of a small set as quickly as possible. In homogeneous sets, the response words shared word-initial segments, whereas in heterogeneous sets, they did not. Priming effects from shared segments depended on all response words having the same number of syllables and stress pattern, but not on their having the same number of consonants and vowels. No priming occurred when the response words had only the same metrical frame but shared no segments. Computer simulations demonstrated that WEAVER accounts for the findings.
  • Roelofs, A., Meyer, A. S., & Levelt, W. J. M. (1996). Interaction between semantic and orthographic factors in conceptually driven naming: Comment on Starreveld and La Heij (1995). Journal of Experimental Psychology: Learning, Memory, and Cognition, 22, 246-251.

    Abstract

    P. A. Starreveld and W. La Heij (1995) tested the seriality view of lexical access in speech production, according to which lexical selection and the encoding of a word's form proceed in serial order without feedback. In 2 experiments, they looked at the combined effect of semantic and orthographic relatedness of written distracter words in tasks that required conceptually driven naming. They found an interaction between semantic relatedness and orthographic relatedness and argued that the observed interaction refutes the seriality view of lexical access. In this comment, the authors argue that Starreveld and La Heij's rejection of serial access was based on an oversimplified conception of the seriality view and that interaction, rather than additivity, is predicted by existing conceptions of serial access.
  • Roelofs, A. (1998). Rightward incrementality in encoding simple phrasal forms in speech production. Journal of Experimental Psychology: Learning, Memory, and Cognition, 24, 904-921. doi:10.1037/0278-7393.24.4.904.

    Abstract

    This article reports 7 experiments investigating whether utterances are planned in a parallel or rightward incremental fashion during language production. The experiments examined the role of linear order, length, frequency, and repetition in producing Dutch verb–particle combinations. On each trial, participants produced 1 utterance out of a set of 3 as quickly as possible. The responses shared part of their form or not. For particle-initial infinitives, facilitation was obtained when the responses shared the particle but not when they shared the verb. For verb-initial imperatives, however, facilitation was obtained for the verbs but not for the particles. The facilitation increased with length, decreased with frequency, and was independent of repetition. A simple rightward incremental model accounts quantitatively for the results.
  • Rohrer, J. D., Sauter, D., Scott, S. K., Rossor, M. N., & Warren, J. D. (2012). Receptive prosody in nonfluent primary progressive aphasias. Cortex, 48, 308-316. doi:10.1016/j.cortex.2010.09.004.

    Abstract

    Introduction: Prosody has been little studied in the primary progressive aphasias (PPA), a group of neurodegenerative disorders presenting with progressive language impairment. Methods: Here we conducted a systematic investigation of different dimensions of prosody processing (acoustic, linguistic and emotional) in a cohort of 19 patients with nonfluent PPA syndromes (eleven with progressive nonfluent aphasia, PNFA; five with progressive logopenic/phonological aphasia, LPA; three with progranulinassociated aphasia, GRN-PPA) compared with a group of healthy older controls. Voxel based morphometry (VBM) was used to identify neuroanatomical associations of prosodic functions. Results: Broadly comparable receptive prosodic deficits were exhibited by the PNFA, LPA and GRN-PPA subgroups, for acoustic, linguistic and affective dimensions of prosodic analysis. Discrimination of prosodic contours was significantly more impaired than discrimination of simple acoustic cues, and discrimination of intonation was significantly more impaired than discrimination of stress at phrasal level. Recognition of vocal emotions was more impaired than recognition of facial expressions for the PPA cohort, and recognition of certain emotions (in particular, disgust and fear) was relatively more impaired than others (sadness, surprise). VBM revealed atrophy associated with acoustic and linguistic prosody impairments in a distributed cortical network including areas likely to be involved in perceptual analysis of vocalisations (posterior temporal and inferior parietal cortices) and working memory (fronto-parietal circuitry). Grey matter associations of emotional prosody processing were identified for negative emotions (disgust, fear, sadness) in a broadly overlapping network of frontal, temporal, limbic and parietal areas. Conclusions: Taken together, the findings show that receptive prosody is impaired in nonfluent PPA syndromes, and suggest a generic early perceptual deficit of prosodic signal analysis with additional relatively specific deficits (recognition of particular vocal emotions).
  • Roll, P., Vernes, S. C., Bruneau, N., Cillario, J., Ponsole-Lenfant, M., Massacrier, A., Rudolf, G., Khalife, M., Hirsch, E., Fisher, S. E., & Szepetowski, P. (2010). Molecular networks implicated in speech-related disorders: FOXP2 regulates the SRPX2/uPAR complex. Human Molecular Genetics, 19, 4848-4860. doi:10.1093/hmg/ddq415.

    Abstract

    It is a challenge to identify the molecular networks contributing to the neural basis of human speech. Mutations in transcription factor FOXP2 cause difficulties mastering fluent speech (developmental verbal dyspraxia, DVD), while mutations of sushi-repeat protein SRPX2 lead to epilepsy of the rolandic (sylvian) speech areas, with DVD or with bilateral perisylvian polymicrogyria. Pathophysiological mechanisms driven by SRPX2 involve modified interaction with the plasminogen activator receptor (uPAR). Independent chromatin-immunoprecipitation microarray screening has identified the uPAR gene promoter as a potential target site bound by FOXP2. Here, we directly tested for the existence of a transcriptional regulatory network between human FOXP2 and the SRPX2/uPAR complex. In silico searches followed by gel retardation assays identified specific efficient FOXP2 binding sites in each of the promoter regions of SRPX2 and uPAR. In FOXP2-transfected cells, significant decreases were observed in the amounts of both SRPX2 (43.6%) and uPAR (38.6%) native transcripts. Luciferase reporter assays demonstrated that FOXP2 expression yielded marked inhibition of SRPX2 (80.2%) and uPAR (77.5%) promoter activity. A mutant FOXP2 that causes DVD (p.R553H) failed to bind to SRPX2 and uPAR target sites, and showed impaired down-regulation of SRPX2 and uPAR promoter activity. In a patient with polymicrogyria of the left rolandic operculum, a novel FOXP2 mutation (p.M406T) was found in the leucine-zipper (dimerization) domain. p.M406T partially impaired FOXP2 regulation of SRPX2 promoter activity, while that of the uPAR promoter remained unchanged. Together with recently described FOXP2-CNTNPA2 and SRPX2/uPAR links, the FOXP2-SRPX2/uPAR network provides exciting insights into molecular pathways underlying speech-related disorders.

    Additional information

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  • Romeo, G., Gialluisi, A., & Pippucci, T. (2012). Consanguinity studies and genome research in Mediterranean developing countries. Middle East Journal of Medical Genetics, 1(1), 1-4. doi:10.1097/01.MXE.0000407743.00299.0f.

    Abstract

    Purpose: Classical studies of consanguinity have taken advantage of the relationship between the gene frequency for a rare autosomal recessive disorder (q) and the proportion of offspring of consanguineous couples who are affected with the same disorder. The Swedish geneticist Gunnar Dahlberg provided the first theoretical formulation of the inverse correlation between q and the increase in frequency of consanguineous marriages among parents of affected children with respect to marriages of the same degree in the general population. Today it is possible to develop a new approach for estimating q using mutation analysis of affected offspring of consanguineous couples. The rationale of this new approach is based on the possibility that the child born of consanguineous parents carries the same mutation in double copy (true homozygosity) or alternatively carries two different mutations in the same gene (compound heterozygosity). In the latter case the two mutations must have been inherited through two different ancestors of the consanguineous parents (in this case the two mutated alleles are not ‘identical by descent’). Patients and methods: Data from the offspring of consanguineous marriages affected with different autosomal recessive disorders were collected by different molecular diagnostic laboratories in Mediterranean countries and in particular in Arab countries, where the frequencies of consanguineous marriages is high, show the validity of this approach. Results: The proportion of compound heterozygotes among children affected with a given autosomal recessive disorder, born of consanguineous parents, can be taken as an indirect indicator of the frequency of the same disorder in the general population. Identification of the responsible gene (and mutations) is the necessary condition to apply this method. Conclusion: The following paper from our group relevant for the present review is being published: Alessandro Gialluisi, Tommaso Pippucci, Yair Anikster, Ugur Ozbek, Myrna Medlej-Hashim, Andre Megarbane and Giovanni Romeo: Estimating the allele frequency of autosomal recessive disorders through mutational records and consanguinity: the homozygosity index (HI) annals of human genetics (in press; acceptance date 1 November 2011) In addition, our experimental data show that the causative mutation for a rare autosomal recessive disorder can be identified by whole exome sequencing of only two affected children of first cousins parents, as described in the following recent paper: Pippucci T, Benelli M, Magi A, Martelli PL, Magini P, Torricelli F, Casadio R, Seri M, Romeo G EX-HOM (EXome HOMozygosity): A Proof of Principle. Hum Hered 2011; 72:45-53.
  • Rossano, F. (2010). Questioning and responding in Italian. Journal of Pragmatics, 42, 2756-2771. doi:10.1016/j.pragma.2010.04.010.

    Abstract

    Questions are design problems for both the questioner and the addressee. They must be produced as recognizable objects and must be comprehended by taking into account the context in which they occur and the local situated interests of the participants. This paper investigates how people do ‘questioning’ and ‘responding’ in Italian ordinary conversations. I focus on the features of both questions and responses. I first discuss formal linguistic features that are peculiar to questions in terms of intonation contours (e.g. final rise), morphology (e.g. tags and question words) and syntax (e.g. inversion). I then show additional features that characterize their actual implementation in conversation such as their minimality (often the subject or the verb is only implied) and the usual occurrence of speaker gaze towards the recipient during questions. I then look at which social actions (e.g. requests for information, requests for confirmation) the different question types implement and which responses are regularly produced in return. The data shows that previous descriptions of “interrogative markings” are neither adequate nor sufficient to comprehend the actual use of questions in natural conversation.
  • Rossi, G. (2012). Bilateral and unilateral requests: The use of imperatives and Mi X? interrogatives in Italian. Discourse Processes, 49(5), 426-458. doi:10.1080/0163853X.2012.684136.

    Abstract

    When making requests, speakers need to select from a range of alternative forms available to them. In a corpus of naturally-occurring Italian interaction, the two most common formats chosen are imperatives and an interrogative construction that includes a turn-initial dative pronoun mi “to/for me”, which I refer to as the Mi X? format. In informal contexts, both forms are used to request low-cost actions for here-and-now purposes. Building on this premise, this paper argues for a functional distinction between them. The imperative format is selected to implement bilateral requests, that is, to request actions that are integral to an already established joint project between requester and recipient. On the other hand, the Mi X? format is a vehicle for unilateral requests, which means that it is used for enlisting help in new, self-contained projects that are launched in the interest of the speaker as an individual.
  • Rowbotham, S., Holler, J., Lloyd, D., & Wearden, A. (2012). How do we communicate about pain? A systematic analysis of the semantic contribution of co-speech gestures in pain-focused conversations. Journal of Nonverbal Behavior, 36, 1-21. doi:10.1007/s10919-011-0122-5.

    Abstract

    The purpose of the present study was to investigate co-speech gesture use during communication about pain. Speakers described a recent pain experience and the data were analyzed using a ‘semantic feature approach’ to determine the distribution of information across gesture and speech. This analysis revealed that a considerable proportion of pain-focused talk was accompanied by gestures, and that these gestures often contained more information about pain than speech itself. Further, some gestures represented information that was hardly represented in speech at all. Overall, these results suggest that gestures are integral to the communication of pain and need to be attended to if recipients are to obtain a fuller understanding of the pain experience and provide help and support to pain sufferers.
  • Rowland, C. F., Chang, F., Ambridge, B., Pine, J. M., & Lieven, E. V. (2012). The development of abstract syntax: Evidence from structural priming and the lexical boost. Cognition, 125(1), 49-63. doi:10.1016/j.cognition.2012.06.008.

    Abstract

    Structural priming paradigms have been influential in shaping theories of adult sentence processing and theories of syntactic development. However, until recently there have been few attempts to provide an integrated account that explains both adult and developmental data. The aim of the present paper was to begin the process of integration by taking a developmental approach to structural priming. Using a dialog comprehension-to-production paradigm, we primed participants (3–4 year olds, 5–6 year olds and adults) with double object datives (Wendy gave Bob a dog) and prepositional datives (Wendy gave a dog to Bob). Half the participants heard the same verb in prime and target (e.g. gave–gave) and half heard a different verb (e.g. sent–gave). The results revealed substantial differences in the magnitude of priming across development. First, there was a small but significant abstract structural priming effect across all age groups, but this effect was larger in younger children than in older children and adults. Second, adding verb overlap between prime and target prompted a large, significant increase in the priming effect in adults (a lexical boost), a small, marginally significant increase in the older children and no increase in the youngest children. The results support the idea that abstract syntactic knowledge can develop independently of verb-specific frames. They also support the idea that different mechanisms may be needed to explain abstract structural priming and lexical priming, as predicted by the implicit learning account (Bock, K., & Griffin, Z. M. (2000). The persistence of structural priming: Transient activation or implicit learning? Journal of Experimental Psychology – General, 129(2), 177–192). Finally, the results illustrate the value of an integrative developmental approach to both theories of adult sentence processing and theories of syntax acquisition.
  • Ruano, D., Abecasis, G. R., Glaser, B., Lips, E. S., Cornelisse, L. N., de Jong, A. P. H., Evans, D. M., Davey Smith, G., Timpson, N. J., Smit, A. B., Heutink, P., Verhage, M., & Posthuma, D. (2010). Functional gene group analysis reveals a role of synaptic heterotrimeric G proteins in cognitive ability. American Journal of Human Genetics, 86(2), 113-125. doi:10.1016/j.ajhg.2009.12.006.

    Abstract

    Although cognitive ability is a highly heritable complex trait, only a few genes have been identified, explaining relatively low proportions of the observed trait variation. This implies that hundreds of genes of small effect may be of importance for cognitive ability. We applied an innovative method in which we tested for the effect of groups of genes defined according to cellular function (functional gene group analysis). Using an initial sample of 627 subjects, this functional gene group analysis detected that synaptic heterotrimeric guanine nucleotide binding proteins (G proteins) play an important role in cognitive ability (P(EMP) = 1.9 x 10(-4)). The association with heterotrimeric G proteins was validated in an independent population sample of 1507 subjects. Heterotrimeric G proteins are central relay factors between the activation of plasma membrane receptors by extracellular ligands and the cellular responses that these induce, and they can be considered a point of convergence, or a "signaling bottleneck." Although alterations in synaptic signaling processes may not be the exclusive explanation for the association of heterotrimeric G proteins with cognitive ability, such alterations may prominently affect the properties of neuronal networks in the brain in such a manner that impaired cognitive ability and lower intelligence are observed. The reported association of synaptic heterotrimeric G proteins with cognitive ability clearly points to a new direction in the study of the genetic basis of cognitive ability.
  • Rubio-Fernández, P., & Glucksberg, S. (2012). Reasoning about other people's beliefs: Bilinguals have an advantage. Journal of Experimental Psychology: Learning, Memory, and Cognition, 38(1), 211-217. doi:10.1037/a0025162.

    Abstract

    Bilingualism can have widespread cognitive effects. In this article we investigate whether bilingualism might have an effect on adults' abilities to reason about other people's beliefs. In particular, we tested whether bilingual adults might have an advantage over monolingual adults in false-belief reasoning analogous to the advantage that has been observed with bilingual children. Using a traditional false-belief task coupled with an eye-tracking technique, we found that adults in general suffer interference from their own perspective when reasoning about other people's beliefs. However, bilinguals are reliably less susceptible to this egocentric bias than are monolinguals. Moreover, performance on the false-belief task significantly correlated with performance on an executive control task. We argue that bilinguals' early sociolinguistic sensitivity and enhanced executive control may account for their advantage in false-belief reasoning.
  • Rueschemeyer, S.-A., van Rooij, D., Lindemann, O., Willems, R. M., & Bekkering, H. (2010). The function of words: Distinct neural correlates for words denoting differently manipulable objects. Journal of Cognitive Neuroscience, 22, 1844-1851. doi:10.1162/jocn.2009.21310.

    Abstract

    Recent research indicates that language processing relies on brain areas dedicated to perception and action. For example, processing words denoting manipulable objects has been shown to activate a fronto-parietal network involved in actual tool use. This is suggested to reflect the knowledge the subject has about how objects are moved and used. However, information about how to use an object may be much more central to the conceptual representation of an object than information about how to move an object. Therefore, there may be much more fine-grained distinctions between objects on the neural level, especially related to the usability of manipulable objects. In the current study, we investigated whether a distinction can be made between words denoting (1) objects that can be picked up to move (e.g., volumetrically manipulable objects: bookend, clock) and (2) objects that must be picked up to use (e.g., functionally manipulable objects: cup, pen). The results show that functionally manipulable words elicit greater levels of activation in the fronto-parietal sensorimotor areas than volumetrically manipulable words. This suggests that indeed a distinction can be made between different types of manipulable objects. Specifically, how an object is used functionally rather than whether an object can be displaced with the hand is reflected in semantic representations in the brain.
  • De Ruiter, J. P., Noordzij, M. L., Newman-Norlund, S., Hagoort, P., Levinson, S. C., & Toni, I. (2010). Exploring the cognitive infrastructure of communication. Interaction studies, 11, 51-77. doi:10.1075/is.11.1.05rui.

    Abstract

    Human communication is often thought about in terms of transmitted messages in a conventional code like a language. But communication requires a specialized interactive intelligence. Senders have to be able to perform recipient design, while receivers need to be able to do intention recognition, knowing that recipient design has taken place. To study this interactive intelligence in the lab, we developed a new task that taps directly into the underlying abilities to communicate in the absence of a conventional code. We show that subjects are remarkably successful communicators under these conditions, especially when senders get feedback from receivers. Signaling is accomplished by the manner in which an instrumental action is performed, such that instrumentally dysfunctional components of an action are used to convey communicative intentions. The findings have important implications for the nature of the human communicative infrastructure, and the task opens up a line of experimentation on human communication.
  • De Ruiter, J. P., Noordzij, M. L., Newman-Norlund, S., Newman-Norlund, R., Hagoort, P., Levinson, S. C., & Toni, I. (2012). Exploring the cognitive infrastructure of communication. In B. Galantucci, & S. Garrod (Eds.), Experimental Semiotics: Studies on the emergence and evolution of human communication (pp. 51-78). Amsterdam: Benjamins.

    Abstract

    Human communication is often thought about in terms of transmitted messages in a conventional code like a language. But communication requires a specialized interactive intelligence. Senders have to be able to perform recipient design, while receivers need to be able to do intention recognition, knowing that recipient design has taken place. To study this interactive intelligence in the lab, we developed a new task that taps directly into the underlying abilities to communicate in the absence of a conventional code. We show that subjects are remarkably successful communicators under these conditions, especially when senders get feedback from receivers. Signaling is accomplished by the manner in which an instrumental action is performed, such that instrumentally dysfunctional components of an action are used to convey communicative intentions. The findings have important implications for the nature of the human communicative infrastructure, and the task opens up a line of experimentation on human communication.

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  • De Ruiter, J. P., Bangerter, A., & Dings, P. (2012). The interplay between gesture and speech in the production of referring expressions: Investigating the tradeoff hypothesis. Topics in Cognitive Science, 4, 232-248. doi:10.1111/j.1756-8765.2012.01183.x.

    Abstract

    The tradeoff hypothesis in the speech–gesture relationship claims that (a) when gesturing gets harder, speakers will rely relatively more on speech, and (b) when speaking gets harder, speakers will rely relatively more on gestures. We tested the second part of this hypothesis in an experimental collaborative referring paradigm where pairs of participants (directors and matchers) identified targets to each other from an array visible to both of them. We manipulated two factors known to affect the difficulty of speaking to assess their effects on the gesture rate per 100 words. The first factor, codability, is the ease with which targets can be described. The second factor, repetition, is whether the targets are old or new (having been already described once or twice). We also manipulated a third factor, mutual visibility, because it is known to affect the rate and type of gesture produced. None of the manipulations systematically affected the gesture rate. Our data are thus mostly inconsistent with the tradeoff hypothesis. However, the gesture rate was sensitive to concurrent features of referring expressions, suggesting that gesture parallels aspects of speech. We argue that the redundancy between speech and gesture is communicatively motivated.
  • Salomo, D., Lieven, E., & Tomasello, M. (2010). Young children's sensitivity to new and given information when answering predicate-focus questions. Applied Psycholinguistics, 31, 101-115. doi:10.1017/S014271640999018X.

    Abstract

    In two studies we investigated 2-year-old children's answers to predicate-focus questions depending on the preceding context. Children were presented with a successive series of short video clips showing transitive actions (e.g., frog washing duck) in which either the action (action-new) or the patient (patient-new) was the changing, and therefore new, element. During the last scene the experimenter asked the question (e.g., “What's the frog doing now?”). We found that children expressed the action and the patient in the patient-new condition but expressed only the action in the action-new condition. These results show that children are sensitive to both the predicate-focus question and newness in context. A further finding was that children expressed new patients in their answers more often when there was a verbal context prior to the questions than when there was not.
  • San Roque, L., Gawne, L., Hoenigman, D., Miller, J. C., Rumsey, A., Spronck, S., Carroll, A., & Evans, N. (2012). Getting the story straight: Language fieldwork using a narrative problem-solving task. Language Documentation and Conservation, 6, 135-174. Retrieved from http://hdl.handle.net/10125/4504.

    Abstract

    We describe a structured task for gathering enriched language data for descriptive, comparative, and documentary purposes, focusing on the domain of social cognition. The task involves collaborative narrative problem-solving and retelling by a pair or small group of language speakers, and was developed as an aid to investigating grammatical categories relevant to social cognition. The pictures set up a dramatic story in which participants can feel empathetic involvement with the characters, and trace individual motivations, mental and physical states, and points of view. The data-gathering task allows different cultural groups to imbue the pictures with their own experiences, concerns, and conventions, and stimulates the spontaneous use of previously under-recorded linguistic structures. We argue that stimulus-based elicitation tasks that are designed to stimulate a range of speech types (descriptions, dialogic interactions, narrative) within the single task contribute quantitatively and qualitatively to language documentation, and provide an important means of gathering spontaneous but broadly parallel, and thus comparable, linguistic data. [pictures used in these tasks are available here http://hdl.handle.net/10125/4504]

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  • San Roque, L., & Loughnane, R. (2012). Inheritance, contact and change in the New Guinea Highlands evidentiality area. Language and Linguistics in Melanesia: Special Issue 2012 Part II, 397-427. Retrieved from http://www.langlxmelanesia.com/specialissues.htm.

    Abstract

    The Highlands of Papuan New Guinea is the location of an evidential Sprachbund that includes at least fourteen languages from six language families with grammaticized evidentiality. As with other linguistic features in New Guinea, evidentiality has spread across genealogical boundaries through repeated language contact. In this paper, we examine likely paths of development of the various subsystems and the spread of evidentiality as a whole. The evidence presented here points toward the Engan language family as the most likely source for at least some of the evidential markers and distinctions found in the region, supporting previous suggestions by other researchers.
  • San Roque, L., & Norcliffe, E. (2010). Knowledge asymmetries in grammar and interaction. In E. Norcliffe, & N. J. Enfield (Eds.), Field manual volume 13 (pp. 37-44). Nijmegen: Max Planck Institute for Psycholinguistics. doi:10.17617/2.529153.
  • San Roque, L., & Loughnane, R. (2012). The New Guinea Highlands evidentiality area. Linguistic Typology, 16, 111-167. doi:10.1515/lity-2012-0003.

    Abstract

    The article presents the first survey of grammaticized evidentiality in a cluster of languages spoken in Papua New Guinea, including the Ok-Oksapmin, Duna-Bogaia, Engan, East and West Kutubuan, and Bosavi families. We compare certain features of these languages and outline how they contribute to the typological understanding of evidentiality. Findings concern the underexplored category of participatory evidentiality, the morphological form of direct versus indirect evidentials, relationships between person, information source, and time, and complex treatments of the “perceiver” role implied by evidentials. The systems of the area are rich and varied, providing great scope for further descriptive and typological work
  • Sauter, D. (2010). Can introspection teach us anything about the perception of sounds? [Book review]. Perception, 39, 1300-1302. doi:10.1068/p3909rvw.

    Abstract

    Reviews the book, Sounds and Perception: New Philosophical Essays edited by Matthew Nudds and Casey O'Callaghan (2010). This collection of thought-provoking philosophical essays contains chapters on particular aspects of sound perception, as well as a series of essays focusing on the issue of sound location. The chapters on specific topics include several perspectives on how we hear speech, one of the most well-studied aspects of auditory perception in empirical research. Most of the book consists of a series of essays approaching the experience of hearing sounds by focusing on where sounds are in space. An impressive range of opinions on this issue is presented, likely thanks to the fact that the book's editors represent dramatically different viewpoints. The wave based view argues that sounds are located near the perceiver, although the sounds also provide information about objects around the listener, including the source of the sound. In contrast, the source based view holds that sounds are experienced as near or at their sources. The editors acknowledge that additional methods should be used in conjunction with introspection, but they argue that theories of perceptual experience should nevertheless respect phenomenology. With such a range of views derived largely from the same introspective methodology, it remains unresolved which phenomenological account is to be respected.
  • Sauter, D., Eisner, F., Ekman, P., & Scott, S. K. (2010). Cross-cultural recognition of basic emotions through nonverbal emotional vocalizations. Proceedings of the National Academy of Sciences, 107(6), 2408-2412. doi:10.1073/pnas.0908239106.

    Abstract

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

    Abstract

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

    Abstract

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

    Abstract

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

    Abstract

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

    Abstract

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

    Abstract

    Differentiation of the forms and functions of different smiles is needed, but they should be based on empirical data on distinctions that senders and receivers make, and the physical cues that are employed. Such data would allow for a test of whether smiles can be differentiated using perceptual cues alone or whether mimicry or simulation are necessary.
  • Schäfer, M., & Haun, D. B. M. (2010). Sharing among children across cultures. In E. Norcliffe, & N. J. Enfield (Eds.), Field manual volume 13 (pp. 45-49). Nijmegen: Max Planck Institute for Psycholinguistics. doi:10.17617/2.529154.
  • Scharenborg, O., & Boves, L. (2010). Computational modelling of spoken-word recognition processes: Design choices and evaluation. Pragmatics & Cognition, 18, 136-164. doi:10.1075/pc.18.1.06sch.

    Abstract

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

    Abstract

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

    Abstract

    Despite using different algorithms, most unsupervised automatic phone segmentation methods achieve similar performance in terms of percentage correct boundary detection. Nevertheless, unsupervised segmentation algorithms are not able to perfectly reproduce manually obtained reference transcriptions. This paper investigates fundamental problems for unsupervised segmentation algorithms by comparing a phone segmentation obtained using only the acoustic information present in the signal with a reference segmentation created by human transcribers. The analyses of the output of an unsupervised speech segmentation method that uses acoustic change to hypothesize boundaries showed that acoustic change is a fairly good indicator of segment boundaries: over two-thirds of the hypothesized boundaries coincide with segment boundaries. Statistical analyses showed that the errors are related to segment duration, sequences of similar segments, and inherently dynamic phones. In order to improve unsupervised automatic speech segmentation, current one-stage bottom-up segmentation methods should be expanded into two-stage segmentation methods that are able to use a mix of bottom-up information extracted from the speech signal and automatically derived top-down information. In this way, unsupervised methods can be improved while remaining flexible and language-independent.
  • Scheeringa, R., Petersson, K. M., Kleinschmidt, A., Jensen, O., & Bastiaansen, M. C. M. (2012). EEG alpha power modulation of fMRI resting state connectivity. Brain Connectivity, 2, 254-264. doi:10.1089/brain.2012.0088.

    Abstract

    In the past decade, the fast and transient coupling and uncoupling of functionally related brain regions into networks has received much attention in cognitive neuroscience. Empirical tools to study network coupling include fMRI-based functional and/or effective connectivity, and EEG/MEG-based measures of neuronal synchronization. Here we use simultaneously recorded EEG and fMRI to assess whether fMRI-based BOLD connectivity and frequency-specific EEG power are related. Using data collected during resting state, we studied whether posterior EEG alpha power fluctuations are correlated with connectivity within the visual network and between visual cortex and the rest of the brain. The results show that when alpha power increases BOLD connectivity between primary visual cortex and occipital brain regions decreases and that the negative relation of the visual cortex with anterior/medial thalamus decreases and ventral-medial prefrontal cortex is reduced in strength. These effects were specific for the alpha band, and not observed in other frequency bands. Decreased connectivity within the visual system may indicate enhanced functional inhibition during higher alpha activity. This higher inhibition level also attenuates long-range intrinsic functional antagonism between visual cortex and other thalamic and cortical regions. Together, these results illustrate that power fluctuations in posterior alpha oscillations result in local and long range neural connectivity changes.

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