Publications

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  • St Pourcain, B., Cents, R. A., Whitehouse, A. J., Haworth, C. M., Davis, O. S., O’Reilly, P. F., Roulstone, S., Wren, Y., Ang, Q. W., Velders, F. P., Evans, D. M., Kemp, J. P., Warrington, N. M., Miller, L., Timpson, N. J., Ring, S. M., Verhulst, F. C., Hofman, A., Rivadeneira, F., Meaburn, E. L. and 12 moreSt Pourcain, B., Cents, R. A., Whitehouse, A. J., Haworth, C. M., Davis, O. S., O’Reilly, P. F., Roulstone, S., Wren, Y., Ang, Q. W., Velders, F. P., Evans, D. M., Kemp, J. P., Warrington, N. M., Miller, L., Timpson, N. J., Ring, S. M., Verhulst, F. C., Hofman, A., Rivadeneira, F., Meaburn, E. L., Price, T. S., Dale, P. S., Pillas, D., Yliherva, A., Rodriguez, A., Golding, J., Jaddoe, V. W., Jarvelin, M.-R., Plomin, R., Pennell, C. E., Tiemeier, H., & Davey Smith, G. (2014). Common variation near ROBO2 is associated with expressive vocabulary in infancy. Nature Communications, 5: 4831. doi:10.1038/ncomms5831.
  • St Pourcain, B., Robinson, E. B., Anttila, V., Sullivan, B. B., Maller, J., Golding, J., Skuse, D., Ring, S., Evans, D. M., Zammit, S., Fisher, S. E., Neale, B. M., Anney, R., Ripke, S., Hollegaard, M. V., Werge, T., iPSYCH-SSI-Broad Autism Group, Ronald, A., Grove, J., Hougaard, D. M., Børglum, A. D. and 3 moreSt Pourcain, B., Robinson, E. B., Anttila, V., Sullivan, B. B., Maller, J., Golding, J., Skuse, D., Ring, S., Evans, D. M., Zammit, S., Fisher, S. E., Neale, B. M., Anney, R., Ripke, S., Hollegaard, M. V., Werge, T., iPSYCH-SSI-Broad Autism Group, Ronald, A., Grove, J., Hougaard, D. M., Børglum, A. D., Mortensen, P. B., Daly, M., & Davey Smith, G. (2018). ASD and schizophrenia show distinct developmental profiles in common genetic overlap with population-based social-communication difficulties. Molecular Psychiatry, 23, 263-270. doi:10.1038/mp.2016.198.

    Abstract

    Difficulties in social communication are part of the phenotypic overlap between autism spectrum disorders (ASD) and
    schizophrenia. Both conditions follow, however, distinct developmental patterns. Symptoms of ASD typically occur during early childhood, whereas most symptoms characteristic of schizophrenia do not appear before early adulthood. We investigated whether overlap in common genetic in fluences between these clinical conditions and impairments in social communication depends on
    the developmental stage of the assessed trait. Social communication difficulties were measured in typically-developing youth
    (Avon Longitudinal Study of Parents and Children,N⩽5553, longitudinal assessments at 8, 11, 14 and 17 years) using the Social
    Communication Disorder Checklist. Data on clinical ASD (PGC-ASD: 5305 cases, 5305 pseudo-controls; iPSYCH-ASD: 7783 cases,
    11 359 controls) and schizophrenia (PGC-SCZ2: 34 241 cases, 45 604 controls, 1235 trios) were either obtained through the
    Psychiatric Genomics Consortium (PGC) or the Danish iPSYCH project. Overlap in genetic in fluences between ASD and social
    communication difficulties during development decreased with age, both in the PGC-ASD and the iPSYCH-ASD sample. Genetic overlap between schizophrenia and social communication difficulties, by contrast, persisted across age, as observed within two independent PGC-SCZ2 subsamples, and showed an increase in magnitude for traits assessed during later adolescence. ASD- and schizophrenia-related polygenic effects were unrelated to each other and changes in trait-disorder links reflect the heterogeneity of
    genetic factors in fluencing social communication difficulties during childhood versus later adolescence. Thus, both clinical ASD and schizophrenia share some genetic in fluences with impairments in social communication, but reveal distinct developmental profiles in their genetic links, consistent with the onset of clinical symptoms

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  • St Pourcain, B., Skuse, D. H., Mandy, W. P., Wang, K., Hakonarson, H., Timpson, N. J., Evans, D. M., Kemp, J. P., Ring, S. M., McArdle, W. L., Golding, J., & Smith, G. D. (2014). Variability in the common genetic architecture of social-communication spectrum phenotypes during childhood and adolescence. Molecular Autism, 5: 18. doi:10.1186/2040-2392-5-18.

    Abstract

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

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  • Pouw, W., Van Gog, T., Zwaan, R. A., & Paas, F. (2016). Augmenting instructional animations with a body analogy to help children learn about physical systems. Frontiers in Psychology, 7: 860. doi:10.3389/fpsyg.2016.00860.

    Abstract

    We investigated whether augmenting instructional animations with a body analogy (BA) would improve 10- to 13-year-old children’s learning about class-1 levers. Children with a lower level of general math skill who learned with an instructional animation that provided a BA of the physical system, showed higher accuracy on a lever problem-solving reaction time task than children studying the instructional animation without this BA. Additionally, learning with a BA led to a higher speed–accuracy trade-off during the transfer task for children with a lower math skill, which provided additional evidence that especially this group is likely to be affected by learning with a BA. However, overall accuracy and solving speed on the transfer task was not affected by learning with or without this BA. These results suggest that providing children with a BA during animation study provides a stepping-stone for understanding mechanical principles of a physical system, which may prove useful for instructional designers. Yet, because the BA does not seem effective for all children, nor for all tasks, the degree of effectiveness of body analogies should be studied further. Future research, we conclude, should be more sensitive to the necessary degree of analogous mapping between the body and physical systems, and whether this mapping is effective for reasoning about more complex instantiations of such physical systems.
  • Pouw, W., Eielts, C., Van Gog, T., Zwaan, R. A., & Paas, F. (2016). Does (non‐)meaningful sensori‐motor engagement promote learning with animated physical systems? Mind, Brain and Education, 10(2), 91-104. doi:10.1111/mbe.12105.

    Abstract

    Previous research indicates that sensori‐motor experience with physical systems can have a positive effect on learning. However, it is not clear whether this effect is caused by mere bodily engagement or the intrinsically meaningful information that such interaction affords in performing the learning task. We investigated (N = 74), through the use of a Wii Balance Board, whether different forms of physical engagement that was either meaningfully, non‐meaningfully, or minimally related to the learning content would be beneficial (or detrimental) to learning about the workings of seesaws from instructional animations. The results were inconclusive, indicating that motoric competency on lever problem solving did not significantly differ between conditions, nor were response speed and transfer performance affected. These findings suggest that adult's implicit and explicit knowledge about physical systems is stable and not easily affected by (contradictory) sensori‐motor experiences. Implications for embodied learning are discussed.
  • Pouw, W., Van Gog, T., Zwaan, R. A., Agostinho, S., & Paas, F. (2018). Co-thought gestures in children's mental problem solving: Prevalence and effects on subsequent performance. Applied Cognitive Psychology, 32(1), 66-80. doi:10.1002/acp.3380.

    Abstract

    Co-thought gestures are understudied as compared to co-speech gestures yet, may provide insight into cognitive functions of gestures that are independent of speech processes. A recent study with adults showed that co-thought gesticulation occurred spontaneously during mental preparation of problem solving. Moreover, co-thought gesturing (either spontaneous or instructed) during mental preparation was effective for subsequent solving of the Tower of Hanoi under conditions of high cognitive load (i.e., when visual working memory capacity was limited and when the task was more difficult). In this preregistered study (), we investigated whether co-thought gestures would also spontaneously occur and would aid problem-solving processes in children (N=74; 8-12years old) under high load conditions. Although children also spontaneously used co-thought gestures during mental problem solving, this did not aid their subsequent performance when physically solving the problem. If these null results are on track, co-thought gesture effects may be different in adults and children.

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

    Abstract

    Recent literature on learning with instructional manipulatives seems to call for a moderate view on the effects of perceptual and interactive richness of instructional manipulatives on learning. This “moderate view” holds that manipulatives’ perceptual and interactive richness may compromise learning in two ways: (1) by imposing a very high cognitive load on the learner, and (2) by hindering drawing of symbolic inferences that are supposed to play a key role in transfer (i.e., application of knowledge to new situations in the absence of instructional manipulatives). This paper presents a contrasting view. Drawing on recent insights from Embedded Embodied perspectives on cognition, it is argued that (1) perceptual and interactive richness may provide opportunities for alleviating cognitive load (Embedded Cognition), and (2) transfer of learning is not reliant on decontextualized knowledge but may draw on previous sensorimotor experiences of the kind afforded by perceptual and interactive richness of manipulatives (Embodied Cognition). By negotiating the Embedded Embodied Cognition view with the moderate view, implications for research are derived.
  • Pouw, W., & Hostetter, A. B. (2016). Gesture as predictive action. Reti, Saperi, Linguaggi: Italian Journal of Cognitive Sciences, 3, 57-80. doi:10.12832/83918.

    Abstract

    Two broad approaches have dominated the literature on the production of speech-accompanying gestures. On the one hand, there are approaches that aim to explain the origin of gestures by specifying the mental processes that give rise to them. On the other, there are approaches that aim to explain the cognitive function that gestures have for the gesturer or the listener. In the present paper we aim to reconcile both approaches in one single perspective that is informed by a recent sea change in cognitive science, namely, Predictive Processing Perspectives (PPP; Clark 2013b; 2015). We start with the idea put forth by the Gesture as Simulated Action (GSA) framework (Hostetter, Alibali 2008). Under this view, the mental processes that give rise to gesture are re-enactments of sensori-motor experiences (i.e., simulated actions). We show that such anticipatory sensori-motor states and the constraints put forth by the GSA framework can be understood as top-down kinesthetic predictions that function in a broader predictive machinery as proposed by PPP. By establishing this alignment, we aim to show how gestures come to fulfill a genuine cognitive function above and beyond the mental processes that give rise to gesture.
  • Pouw, W., Myrto-Foteini, M., Van Gog, T., & Paas, F. (2016). Gesturing during mental problem solving reduces eye movements, especially for individuals with lower visual working memory capacity. Cognitive Processing, 17, 269-277. doi:10.1007/s10339-016-0757-6.

    Abstract

    Non-communicative hand gestures have been found to benefit problem-solving performance. These gestures seem to compensate for limited internal cognitive capacities, such as visual working memory capacity. Yet, it is not clear how gestures might perform this cognitive function. One hypothesis is that gesturing is a means to spatially index mental simulations, thereby reducing the need for visually projecting the mental simulation onto the visual presentation of the task. If that hypothesis is correct, less eye movements should be made when participants gesture during problem solving than when they do not gesture. We therefore used mobile eye tracking to investigate the effect of co-thought gesturing and visual working memory capacity on eye movements during mental solving of the Tower of Hanoi problem. Results revealed that gesturing indeed reduced the number of eye movements (lower saccade counts), especially for participants with a relatively lower visual working memory capacity. Subsequent problem-solving performance was not affected by having (not) gestured during the mental solving phase. The current findings suggest that our understanding of gestures in problem solving could be improved by taking into account eye movements during gesturing.
  • Pouw, W., De Nooijer, J. A., Van Gog, T., Zwaan, R. A., & Paas, F. (2014). Toward a more embedded/extended perspective on the cognitive function of gestures. Frontiers in Psychology, 5: 359. doi:10.3389/fpsyg.2014.00359.

    Abstract

    Gestures are often considered to be demonstrative of the embodied nature of the mind (Hostetter and Alibali, 2008). In this article, we review current theories and research targeted at the intra-cognitive role of gestures. We ask the question how can gestures support internal cognitive processes of the gesturer? We suggest that extant theories are in a sense disembodied, because they focus solely on embodiment in terms of the sensorimotor neural precursors of gestures. As a result, current theories on the intra-cognitive role of gestures are lacking in explanatory scope to address how gestures-as-bodily-acts fulfill a cognitive function. On the basis of recent theoretical appeals that focus on the possibly embedded/extended cognitive role of gestures (Clark, 2013), we suggest that gestures are external physical tools of the cognitive system that replace and support otherwise solely internal cognitive processes. That is gestures provide the cognitive system with a stable external physical and visual presence that can provide means to think with. We show that there is a considerable amount of overlap between the way the human cognitive system has been found to use its environment, and how gestures are used during cognitive processes. Lastly, we provide several suggestions of how to investigate the embedded/extended perspective of the cognitive function of gestures.
  • Presciuttini, S., Gialluisi, A., Barbuti, S., Curcio, M., Scatena, F., Carli, G., & Santarcangelo, E. L. (2014). Hypnotizability and Catechol-O-Methyltransferase (COMT) polymorphysms in Italians. Frontiers in Human Neuroscience, 7: 929. doi:10.3389/fnhum.2013.00929.

    Abstract

    Higher brain dopamine content depending on lower activity of Catechol-O-Methyltransferase (COMT) in subjects with high hypnotizability scores (highs) has been considered responsible for their attentional characteristics. However, the results of the previous genetic studies on association between hypnotizability and the COMT single nucleotide polymorphism (SNP) rs4680 (Val158Met) were inconsistent. Here, we used a selective genotyping approach to re-evaluate the association between hypnotizability and COMT in the context of a two-SNP haplotype analysis, considering not only the Val158Met polymorphism, but also the closely located rs4818 SNP. An Italian sample of 53 highs, 49 low hypnotizable subjects (lows), and 57 controls, were genotyped for a segment of 805 bp of the COMT gene, including Val158Met and the closely located rs4818 SNP. Our selective genotyping approach had 97.1% power to detect the previously reported strongest association at the significance level of 5%. We found no evidence of association at the SNP, haplotype, and diplotype levels. Thus, our results challenge the dopamine-based theory of hypnosis and indirectly support recent neuropsychological and neurophysiological findings reporting the lack of any association between hypnotizability and focused attention abilities.
  • Quinn, S., Donnelly, S., & Kidd, E. (2018). The relationship between symbolic play and language acquisition: A meta-analytic review. Developmental Review, 49, 121-135. doi:10.1016/j.dr.2018.05.005.

    Abstract

    A developmental relationship between symbolic play and language has been long proposed, going as far back as the writings of Piaget and Vygotsky. In the current paper we build on recent qualitative reviews of the literature by reporting the first quantitative analysis of the relationship. We conducted a three-level meta-analysis of past studies that have investigated the relationship between symbolic play and language acquisition. Thirty-five studies (N = 6848) met the criteria for inclusion. Overall, we observed a significant small-to-medium association between the two domains (r = .35). Several moderating variables were included in the analyses, including: (i) study design (longitudinal, concurrent), (ii) the manner in which language was measured (comprehension, production), and (iii) the age at which this relationship is measured. The effect was weakly moderated by these three variables, but overall the association was robust, suggesting that symbolic play and language are closely related in development.

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  • Rahmany, R., Marefat, H., & Kidd, E. (2014). Resumptive elements aid comprehension of object relative clauses: evidence from Persian. Journal of Child Language, 41(4), 937-48. doi:10.1017/s0305000913000147.
  • Ramenzoni, V. C., & Liszkowski, U. (2016). The social reach: 8-month-olds reach for unobtainable objects in the presence of another person. Psychological Science, 27(9), 1278-1285. doi:10.1177/0956797616659938.

    Abstract

    Linguistic communication builds on prelinguistic communicative gestures, but the ontogenetic origins and complexities of these prelinguistic gestures are not well known. The current study tested whether 8-month-olds, who do not yet point communicatively, use instrumental actions for communicative purposes. In two experiments, infants reached for objects when another person was present and when no one else was present; the distance to the objects was varied. When alone, the infants reached for objects within their action boundaries and refrained from reaching for objects out of their action boundaries; thus, they knew about their individual action efficiency. However, when a parent (Experiment 1) or a less familiar person (Experiment 2) sat next to them, the infants selectively increased their reaching for out-of-reach objects. The findings reveal that before they communicate explicitly through pointing gestures, infants use instrumental actions with the apparent expectation that a partner will adopt and complete their goals.
  • Ravignani, A. (2018). Darwin, sexual selection, and the origins of music. Trends in Ecology and Evolution, 33(10), 716-719. doi:10.1016/j.tree.2018.07.006.

    Abstract

    Humans devote ample time to produce and perceive music. How and why this behavioral propensity originated in our species is unknown. For centuries, speculation dominated the study of the evolutionary origins of musicality. Following Darwin’s early intuitions, recent empirical research is opening a new chapter to tackle this mystery.
  • Ravignani, A., Bowling, D. L., & Fitch, W. T. (2014). Chorusing, synchrony, and the evolutionary functions of rhythm. Frontiers in Psychology, 5: 1118. doi:10.3389/fpsyg.2014.01118.

    Abstract

    A central goal of biomusicology is to understand the biological basis of human musicality. One approach to this problem has been to compare core components of human musicality (relative pitch perception, entrainment, etc.) with similar capacities in other animal species. Here we extend and clarify this comparative approach with respect to rhythm. First, whereas most comparisons between human music and animal acoustic behavior have focused on spectral properties (melody and harmony), we argue for the central importance of temporal properties, and propose that this domain is ripe for further comparative research. Second, whereas most rhythm research in non-human animals has examined animal timing in isolation, we consider how chorusing dynamics can shape individual timing, as in human music and dance, arguing that group behavior is key to understanding the adaptive functions of rhythm. To illustrate the interdependence between individual and chorusing dynamics, we present a computational model of chorusing agents relating individual call timing with synchronous group behavior. Third, we distinguish and clarify mechanistic and functional explanations of rhythmic phenomena, often conflated in the literature, arguing that this distinction is key for understanding the evolution of musicality. Fourth, we expand biomusicological discussions beyond the species typically considered, providing an overview of chorusing and rhythmic behavior across a broad range of taxa (orthopterans, fireflies, frogs, birds, and primates). Finally, we propose an “Evolving Signal Timing” hypothesis, suggesting that similarities between timing abilities in biological species will be based on comparable chorusing behaviors. We conclude that the comparative study of chorusing species can provide important insights into the adaptive function(s) of rhythmic behavior in our “proto-musical” primate ancestors, and thus inform our understanding of the biology and evolution of rhythm in human music and language.
  • Ravignani, A. (2014). Chronometry for the chorusing herd: Hamilton's legacy on context-dependent acoustic signalling—a comment on Herbers (2013). Biology Letters, 10(1): 20131018. doi:10.1098/rsbl.2013.1018.
  • Ravignani, A. (2018). Comment on “Temporal and spatial variation in harbor seal (Phoca vitulina L.) roar calls from southern Scandinavia” [J. Acoust. Soc. Am. 141, 1824-1834 (2017)]. The Journal of the Acoustical Society of America, 143, 504-508. doi:10.1121/1.5021770.

    Abstract

    In their recent article, Sabinsky and colleagues investigated heterogeneity in harbor seals' vocalizations. The authors found seasonal and geographical variation in acoustic parameters, warning readers that recording conditions might account for some of their results. This paper expands on the temporal aspect of the encountered heterogeneity in harbor seals' vocalizations. Temporal information is the least susceptible to variable recording conditions. Hence geographical and seasonal variability in roar timing constitutes the most robust finding in the target article. In pinnipeds, evidence of timing and rhythm in the millisecond range—as opposed to circadian and seasonal rhythms—has theoretical and interdisciplinary relevance. In fact, the study of rhythm and timing in harbor seals is particularly decisive to support or confute a cross-species hypothesis, causally linking the evolution of vocal production learning and rhythm. The results by Sabinsky and colleagues can shed light on current scientific questions beyond pinniped bioacoustics, and help formulate empirically testable predictions.
  • Ravignani, A., Delgado, T., & Kirby, S. (2016). Musical evolution in the lab exhibits rhythmic universals. Nature Human Behaviour, 1: 0007. doi:10.1038/s41562-016-0007.

    Abstract

    Music exhibits some cross-cultural similarities, despite its variety across the world. Evidence from a broad range of human cultures suggests the existence of musical universals1, here defined as strong regularities emerging across cultures above chance. In particular, humans demonstrate a general proclivity for rhythm2, although little is known about why music is particularly rhythmic and why the same structural regularities are present in rhythms around the world. We empirically investigate the mechanisms underlying musical universals for rhythm, showing how music can evolve culturally from randomness. Human participants were asked to imitate sets of randomly generated drumming sequences and their imitation attempts became the training set for the next participants in independent transmission chains. By perceiving and imitating drumming sequences from each other, participants turned initially random sequences into rhythmically structured patterns. Drumming patterns developed into rhythms that are more structured, easier to learn, distinctive for each experimental cultural tradition and characterized by all six statistical universals found among world music1; the patterns appear to be adapted to human learning, memory and cognition. We conclude that musical rhythm partially arises from the influence of human cognitive and biological biases on the process of cultural evolution.

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  • Ravignani, A., Chiandetti, C., & Gamba, M. (2018). L'evoluzione del ritmo. Le Scienze, (04 maggio 2018).
  • Ravignani, A., Thompson, B., Grossi, T., Delgado, T., & Kirby, S. (2018). Evolving building blocks of rhythm: How human cognition creates music via cultural transmission. Annals of the New York Academy of Sciences, 1423(1), 176-187. doi:10.1111/nyas.13610.

    Abstract

    Why does musical rhythm have the structure it does? Musical rhythm, in all its cross-cultural diversity, exhibits
    commonalities across world cultures. Traditionally, music research has been split into two fields. Some scientists
    focused onmusicality, namely the human biocognitive predispositions formusic, with an emphasis on cross-cultural
    similarities. Other scholars investigatedmusic, seen as a cultural product, focusing on the variation in worldmusical
    cultures.Recent experiments founddeep connections betweenmusicandmusicality, reconciling theseopposing views.
    Here, we address the question of how individual cognitive biases affect the process of cultural evolution of music.
    Data from two experiments are analyzed using two complementary techniques. In the experiments, participants
    hear drumming patterns and imitate them. These patterns are then given to the same or another participant to
    imitate. The structure of these initially random patterns is tracked along experimental “generations.” Frequentist
    statistics show how participants’ biases are amplified by cultural transmission, making drumming patterns more
    structured. Structure is achieved faster in transmission within rather than between participants. A Bayesian model
    approximates the motif structures participants learned and created. Our data and models suggest that individual
    biases for musicality may shape the cultural transmission of musical rhythm.

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  • Ravignani, A., Thompson, B., & Filippi, P. (2018). The evolution of musicality: What can be learned from language evolution research? Frontiers in Neuroscience, 12: 20. doi:10.3389/fnins.2018.00020.

    Abstract

    Language and music share many commonalities, both as natural phenomena and as subjects of intellectual inquiry. Rather than exhaustively reviewing these connections, we focus on potential cross-pollination of methodological inquiries and attitudes. We highlight areas in which scholarship on the evolution of language may inform the evolution of music. We focus on the value of coupled empirical and formal methodologies, and on the futility of mysterianism, the declining view that the nature, origins and evolution of language cannot be addressed empirically. We identify key areas in which the evolution of language as a discipline has flourished historically, and suggest ways in which these advances can be integrated into the study of the evolution of music.
  • Ravignani, A., & Cook, P. F. (2016). The evolutionary biology of dance without frills. Current Biology, 26(19), R878-R879. doi:10.1016/j.cub.2016.07.076.

    Abstract

    Recently psychologists have taken up the question of whether dance is reliant on unique human adaptations, or whether it is rooted in neural and cognitive mechanisms shared with other species 1, 2. In its full cultural complexity, human dance clearly has no direct analog in animal behavior. Most definitions of dance include the consistent production of movement sequences timed to an external rhythm. While not sufficient for dance, modes of auditory-motor timing, such as synchronization and entrainment, are experimentally tractable constructs that may be analyzed and compared between species. In an effort to assess the evolutionary precursors to entrainment and social features of human dance, Laland and colleagues [2] have suggested that dance may be an incidental byproduct of adaptations supporting vocal or motor imitation — referred to here as the ‘imitation and sequencing’ hypothesis. In support of this hypothesis, Laland and colleagues rely on four convergent lines of evidence drawn from behavioral and neurobiological research on dance behavior in humans and rhythmic behavior in other animals. Here, we propose a less cognitive, more parsimonious account for the evolution of dance. Our ‘timing and interaction’ hypothesis suggests that dance is scaffolded off of broadly conserved timing mechanisms allowing both cooperative and antagonistic social coordination.
  • Ravignani, A. (2018). Spontaneous rhythms in a harbor seal pup calls. BMC Research Notes, 11: 3. doi:10.1186/s13104-017-3107-6.

    Abstract

    Objectives: Timing and rhythm (i.e. temporal structure) are crucial, though historically neglected, dimensions of animal communication. When investigating these in non-human animals, it is often difficult to balance experimental control and ecological validity. Here I present the first step of an attempt to balance the two, focusing on the timing of vocal rhythms in a harbor seal pup (Phoca vitulina). Collection of this data had a clear aim: To find spontaneous vocal rhythms in this individual in order to design individually-adapted and ecologically-relevant stimuli for a later playback experiment. Data description: The calls of one seal pup were recorded. The audio recordings were annotated using Praat, a free software to analyze vocalizations in humans and other animals. The annotated onsets and offsets of vocalizations were then imported in a Python script. The script extracted three types of timing information: the duration of calls, the intervals between calls’ onsets, and the intervals between calls’ maximum-intensity peaks. Based on the annotated data, available to download, I provide simple descriptive statistics for these temporal measures, and compare their distributions.
  • Ravignani, A., Fitch, W. T., Hanke, F. D., Heinrich, T., Hurgitsch, B., Kotz, S. A., Scharff, C., Stoeger, A. S., & de Boer, B. (2016). What pinnipeds have to say about human speech, music, and the evolution of rhythm. Frontiers in Neuroscience, 10: 274. doi:10.3389/fnins.2016.00274.

    Abstract

    Research on the evolution of human speech and music benefits from hypotheses and data generated in a number of disciplines. The purpose of this article is to illustrate the high relevance of pinniped research for the study of speech, musical rhythm, and their origins, bridging and complementing current research on primates and birds. We briefly discuss speech, vocal learning, and rhythm from an evolutionary and comparative perspective. We review the current state of the art on pinniped communication and behavior relevant to the evolution of human speech and music, showing interesting parallels to hypotheses on rhythmic behavior in early hominids. We suggest future research directions in terms of species to test and empirical data needed.
  • Ravignani, A., & Verhoef, T. (2018). Which melodic universals emerge from repeated signaling games?: A Note on Lumaca and Baggio (2017). Artificial Life, 24(2), 149-153. doi:10.1162/ARTL_a_00259.

    Abstract

    Music is a peculiar human behavior, yet we still know little as to why and how music emerged. For centuries, the study of music has been the sole prerogative of the humanities. Lately, however, music is being increasingly investigated by psychologists, neuroscientists, biologists, and computer scientists. One approach to studying the origins of music is to empirically test hypotheses about the mechanisms behind this structured behavior. Recent lab experiments show how musical rhythm and melody can emerge via the process of cultural transmission. In particular, Lumaca and Baggio (2017) tested the emergence of a sound system at the boundary between music and language. In this study, participants were given random pairs of signal-meanings; when participants negotiated their meaning and played a “ game of telephone ” with them, these pairs became more structured and systematic. Over time, the small biases introduced in each artificial transmission step accumulated, displaying quantitative trends, including the emergence, over the course of artificial human generations, of features resembling properties of language and music. In this Note, we highlight the importance of Lumaca and Baggio ʼ s experiment, place it in the broader literature on the evolution of language and music, and suggest refinements for future experiments. We conclude that, while psychological evidence for the emergence of proto-musical features is accumulating, complementary work is needed: Mathematical modeling and computer simulations should be used to test the internal consistency of experimentally generated hypotheses and to make new predictions.
  • Ravignani, A., Thompson, B., Lumaca, M., & Grube, M. (2018). Why do durations in musical rhythms conform to small integer ratios? Frontiers in Computational Neuroscience, 12: 86. doi:10.3389/fncom.2018.00086.

    Abstract

    One curious aspect of human timing is the organization of rhythmic patterns in small integer ratios. Behavioral and neural research has shown that adjacent time intervals in rhythms tend to be perceived and reproduced as approximate fractions of small numbers (e.g., 3/2). Recent work on iterated learning and reproduction further supports this: given a randomly timed drum pattern to reproduce, participants subconsciously transform it toward small integer ratios. The mechanisms accounting for this “attractor” phenomenon are little understood, but might be explained by combining two theoretical frameworks from psychophysics. The scalar expectancy theory describes time interval perception and reproduction in terms of Weber's law: just detectable durational differences equal a constant fraction of the reference duration. The notion of categorical perception emphasizes the tendency to perceive time intervals in categories, i.e., “short” vs. “long.” In this piece, we put forward the hypothesis that the integer-ratio bias in rhythm perception and production might arise from the interaction of the scalar property of timing with the categorical perception of time intervals, and that neurally it can plausibly be related to oscillatory activity. We support our integrative approach with mathematical derivations to formalize assumptions and provide testable predictions. We present equations to calculate durational ratios by: (i) parameterizing the relationship between durational categories, (ii) assuming a scalar timing constant, and (iii) specifying one (of K) category of ratios. Our derivations provide the basis for future computational, behavioral, and neurophysiological work to test our model.
  • Ravignani, A., Martins, M., & Fitch, W. T. (2014). Vocal learning, prosody, and basal ganglia: Don't underestimate their complexity. Behavioral and Brain Sciences, 37(6), 570-571. doi:10.1017/S0140525X13004184.

    Abstract

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

    Abstract:
    Ackermann et al.'s arguments in the target article need sharpening and rethinking at both mechanistic and evolutionary levels. First, the authors' evolutionary arguments are inconsistent with recent evidence concerning nonhuman animal rhythmic abilities. Second, prosodic intonation conveys much more complex linguistic information than mere emotional expression. Finally, human adults' basal ganglia have a considerably wider role in speech modulation than Ackermann et al. surmise.
  • Raviv, L., & Arnon, I. (2018). Systematicity, but not compositionality: Examining the emergence of linguistic structure in children and adults using iterated learning. Cognition, 181, 160-173. doi:10.1016/j.cognition.2018.08.011.

    Abstract

    Recent work suggests that cultural transmission can lead to the emergence of linguistic structure as speakers’ weak individual biases become amplified through iterated learning. However, to date no published study has demonstrated a similar emergence of linguistic structure in children. The lack of evidence from child learners constitutes a problematic
    2
    gap in the literature: if such learning biases impact the emergence of linguistic structure, they should also be found in children, who are the primary learners in real-life language transmission. However, children may differ from adults in their biases given age-related differences in general cognitive skills. Moreover, adults’ performance on iterated learning tasks may reflect existing (and explicit) linguistic biases, partially undermining the generality of the results. Examining children’s performance can also help evaluate contrasting predictions about their role in emerging languages: do children play a larger or smaller role than adults in the creation of structure? Here, we report a series of four iterated artificial language learning studies (based on Kirby, Cornish & Smith, 2008) with both children and adults, using a novel child-friendly paradigm. Our results show that linguistic structure does not emerge more readily in children compared to adults, and that adults are overall better in both language learning and in creating linguistic structure. When languages could become underspecified (by allowing homonyms), children and adults were similar in developing consistent mappings between meanings and signals in the form of structured ambiguities. However, when homonimity was not allowed, only adults created compositional structure. This study is a first step in using iterated language learning paradigms to explore child-adult differences. It provides the first demonstration that cultural transmission has a different effect on the languages produced by children and adults: While children were able to develop systematicity, their languages did not show compositionality. We focus on the relation between learning and structure creation as a possible explanation for our findings and discuss implications for children’s role in the emergence of linguistic structure.

    Additional information

    results A results B results D stimuli
  • Raviv, L., & Arnon, I. (2018). The developmental trajectory of children’s auditory and visual statistical learning abilities: Modality-based differences in the effect of age. Developmental Science, 21(4): e12593. doi:10.1111/desc.12593.

    Abstract

    Infants, children and adults are capable of extracting recurring patterns from their environment through statistical learning (SL), an implicit learning mechanism that is considered to have an important role in language acquisition. Research over the past 20 years has shown that SL is present from very early infancy and found in a variety of tasks and across modalities (e.g., auditory, visual), raising questions on the domain generality of SL. However, while SL is well established for infants and adults, only little is known about its developmental trajectory during childhood, leaving two important questions unanswered: (1) Is SL an early-maturing capacity that is fully developed in infancy, or does it improve with age like other cognitive capacities (e.g., memory)? and (2) Will SL have similar developmental trajectories across modalities? Only few studies have looked at SL across development, with conflicting results: some find age-related improvements while others do not. Importantly, no study to date has examined auditory SL across childhood, nor compared it to visual SL to see if there are modality-based differences in the developmental trajectory of SL abilities. We addressed these issues by conducting a large-scale study of children's performance on matching auditory and visual SL tasks across a wide age range (5–12y). Results show modality-based differences in the development of SL abilities: while children's learning in the visual domain improved with age, learning in the auditory domain did not change in the tested age range. We examine these findings in light of previous studies and discuss their implications for modality-based differences in SL and for the role of auditory SL in language acquisition. A video abstract of this article can be viewed at: https://www.youtube.com/watch?v=3kg35hoF0pw.

    Additional information

    Video abstract of the article
  • Redl, T., Eerland, A., & Sanders, T. J. M. (2018). The processing of the Dutch masculine generic zijn ‘his’ across stereotype contexts: An eye-tracking study. PLoS One, 13(10): e0205903. doi:10.1371/journal.pone.0205903.

    Abstract

    Language users often infer a person’s gender when it is not explicitly mentioned. This information is included in the mental model of the described situation, giving rise to expectations regarding the continuation of the discourse. Such gender inferences can be based on two types of information: gender stereotypes (e.g., nurses are female) and masculine generics, which are grammatically masculine word forms that are used to refer to all genders in certain contexts (e.g., To each his own). In this eye-tracking experiment (N = 82), which is the first to systematically investigate the online processing of masculine generic pronouns, we tested whether the frequently used Dutch masculine generic zijn ‘his’ leads to a male bias. In addition, we tested the effect of context by introducing male, female, and neutral stereotypes. We found no evidence for the hypothesis that the generically-intended masculine pronoun zijn ‘his’ results in a male bias. However, we found an effect of stereotype context. After introducing a female stereotype, reading about a man led to an increase in processing time. However, the reverse did not hold, which parallels the finding in social psychology that men are penalized more for gender-nonconforming behavior. This suggests that language processing is not only affected by the strength of stereotype contexts; the associated disapproval of violating these gender stereotypes affects language processing, too.

    Additional information

    pone.0205903.s001.pdf data files
  • Redmann, A., FitzPatrick, I., Hellwig, F. M., & Indefrey, P. (2014). The use of conceptual components in language production: an ERP study. Frontiers in Psychology, 5: 363. doi:10.3389/fpsyg.2014.00363.

    Abstract

    According to frame-theory, concepts can be represented as structured frames that contain conceptual attributes (e.g., "color") and their values (e.g., "red"). A particular color value can be seen as a core conceptual component for (high color-diagnostic; HCD) objects (e.g., bananas) which are strongly associated with a typical color, but less so for (low color-diagnostic; LCD) objects (e.g., bicycles) that exist in many different colors. To investigate whether the availability of a core conceptual component (color) affects lexical access in language production, we conducted two experiments on the naming of visually presented HCD and LCD objects. Experiment 1 showed that, when naming latencies were matched for colored HCD and LCD objects, achromatic HCD objects were named more slowly than achromatic LCD objects. In Experiment 2 we recorded ERPs while participants performed a picture-naming task, in which achromatic target pictures were either preceded by an appropriately colored box (primed condition) or a black and white checkerboard (unprimed condition). We focused on the P2 component, which has been shown to reflect difficulty of lexical access in language production. Results showed that HCD resulted in slower object-naming and a more pronounced P2. Priming also yielded a more positive P2 but did not result in an RT difference. ERP waveforms on the P1, P2 and N300 components showed a priming by color-diagnosticity interaction, the effect of color priming being stronger for HCD objects than for LCD objects. The effect of color-diagnosticity on the P2 component suggests that the slower naming of achromatic HCD objects is (at least in part) due to more difficult lexical retrieval. Hence, the color attribute seems to affect lexical retrieval in HCD words. The interaction between priming and color-diagnosticity indicates that priming with a feature hinders lexical access, especially if the feature is a core feature of the target object.
  • Richter, N., Tiddeman, B., & Haun, D. (2016). Social Preference in Preschoolers: Effects of Morphological Self-Similarity and Familiarity. PLoS One, 11(1): e0145443. doi:10.1371/journal.pone.0145443.

    Abstract

    Adults prefer to interact with others that are similar to themselves. Even slight facial self-resemblance can elicit trust towards strangers. Here we investigate if preschoolers at the age of 5 years already use facial self-resemblance when they make social judgments about others. We found that, in the absence of any additional knowledge about prospective peers, children preferred those who look subtly like themselves over complete strangers. Thus, subtle morphological similarities trigger social preferences well before adulthood.
  • Rietbergen, M., Roelofs, A., Den Ouden, H., & Cools, R. (2018). Disentangling cognitive from motor control: Influence of response modality on updating, inhibiting, and shifting. Acta Psychologica, 191, 124-130. doi:10.1016/j.actpsy.2018.09.008.

    Abstract

    It is unclear whether cognitive and motor control are parallel and interactive or serial and independent processes. According to one view, cognitive control refers to a set of modality-nonspecific processes that act on supramodal representations and precede response modality-specific motor processes. An alternative view is that cognitive control represents a set of modality-specific operations that act directly on motor-related representations, implying dependence of cognitive control on motor control. Here, we examined the influence of response modality (vocal vs. manual) on three well-established subcomponent processes of cognitive control: shifting, inhibiting, and updating. We observed effects of all subcomponent processes in reaction times. The magnitude of these effects did not differ between response modalities for shifting and inhibiting, in line with a serial, supramodal view. However, the magnitude of the updating effect differed between modalities, in line with an interactive, modality-specific view. These results suggest that updating represents a modality-specific operation that depends on motor control, whereas shifting and inhibiting represent supramodal operations that act independently of motor control.
  • Rietveld, T., Van Hout, R., & Ernestus, M. (2004). Pitfalls in corpus research. Computers and the Humanities, 38(4), 343-362. doi:10.1007/s10579-004-1919-1.

    Abstract

    This paper discusses some pitfalls in corpus research and suggests solutions on the basis of examples and computer simulations. We first address reliability problems in language transcriptions, agreement between transcribers, and how disagreements can be dealt with. We then show that the frequencies of occurrence obtained from a corpus cannot always be analyzed with the traditional X2 test, as corpus data are often not sequentially independent and unit independent. Next, we stress the relevance of the power of statistical tests, and the sizes of statistically significant effects. Finally, we point out that a t-test based on log odds often provides a better alternative to a X2 analysis based on frequency counts.
  • Roberts, S. G., & Verhoef, T. (2016). Double-blind reviewing at EvoLang 11 reveals gender bias. Journal of Language Evolution, 1(2), 163-167. doi:10.1093/jole/lzw009.

    Abstract

    The impact of introducing double-blind reviewing in the most recent Evolution of Language conference is assessed. The ranking of papers is compared between EvoLang 11 (double-blind review) and EvoLang 9 and 10 (single-blind review). Main effects were found for first author gender by conference. The results mirror some findings in the literature on the effects of double-blind review, suggesting that it helps reduce a bias against female authors.

    Additional information

    SI.pdf
  • Roberts, S. G., Dediu, D., & Moisik, S. R. (2014). How to speak Neanderthal. New Scientist, 222(2969), 40-41. doi:10.1016/S0262-4079(14)60970-2.
  • Robinson, E. B., St Pourcain, B., Anttila, V., Kosmicki, J. A., Bulik-Sullivan, B., Grove, J., Maller, J., Samocha, K. E., Sanders, S. J., Ripke, S., Martin, J., Hollegaard, M. V., Werge, T., Hougaard, D. M., i Psych- S. S. I. Broad Autism Group, Neale, B. M., Evans, D. M., Skuse, D., Mortensen, P. B., Borglum, A. D., Ronald, A. and 2 moreRobinson, E. B., St Pourcain, B., Anttila, V., Kosmicki, J. A., Bulik-Sullivan, B., Grove, J., Maller, J., Samocha, K. E., Sanders, S. J., Ripke, S., Martin, J., Hollegaard, M. V., Werge, T., Hougaard, D. M., i Psych- S. S. I. Broad Autism Group, Neale, B. M., Evans, D. M., Skuse, D., Mortensen, P. B., Borglum, A. D., Ronald, A., Smith, G. D., & Daly, M. J. (2016). Genetic risk for autism spectrum disorders and neuropsychiatric variation in the general population. Nature Genetics, 48, 552-555. doi:10.1038/ng.3529.

    Abstract

    Almost all genetic risk factors for autism spectrum disorders (ASDs) can be found in the general population, but the effects of this risk are unclear in people not ascertained for neuropsychiatric symptoms. Using several large ASD consortium and population-based resources (total n > 38,000), we find genome-wide genetic links between ASDs and typical variation in social behavior and adaptive functioning. This finding is evidenced through both LD score correlation and de novo variant analysis, indicating that multiple types of genetic risk for ASDs influence a continuum of behavioral and developmental traits, the severe tail of which can result in diagnosis with an ASD or other neuropsychiatric disorder. A continuum model should inform the design and interpretation of studies of neuropsychiatric disease biology.

    Additional information

    ng.3529-S1.pdf
  • Rodenas-Cuadrado, P., Pietrafusa, N., Francavilla, T., La Neve, A., Striano, P., & Vernes, S. C. (2016). Characterisation of CASPR2 deficiency disorder - a syndrome involving autism, epilepsy and language impairment. BMC Medical Genetics, 17: 8. doi:10.1186/s12881-016-0272-8.

    Abstract

    Background Heterozygous mutations in CNTNAP2 have been identified in patients with a range of complex phenotypes including intellectual disability, autism and schizophrenia. However heterozygous CNTNAP2 mutations are also found in the normal population. Conversely, homozygous mutations are rare in patient populations and have not been found in any unaffected individuals. Case presentation We describe a consanguineous family carrying a deletion in CNTNAP2 predicted to abolish function of its protein product, CASPR2. Homozygous family members display epilepsy, facial dysmorphisms, severe intellectual disability and impaired language. We compared these patients with previously reported individuals carrying homozygous mutations in CNTNAP2 and identified a highly recognisable phenotype. Conclusions We propose that CASPR2 loss produces a syndrome involving early-onset refractory epilepsy, intellectual disability, language impairment and autistic features that can be recognized as CASPR2 deficiency disorder. Further screening for homozygous patients meeting these criteria, together with detailed phenotypic and molecular investigations will be crucial for understanding the contribution of CNTNAP2 to normal and disrupted development.
  • Rodenas-Cuadrado, P., Mengede, J., Baas, L., Devanna, P., Schmid, T. A., Yartsev, M., Firzlaff, U., & Vernes, S. C. (2018). Mapping the distribution of language related genes FoxP1, FoxP2 and CntnaP2 in the brains of vocal learning bat species. Journal of Comparative Neurology, 526(8), 1235-1266. doi:10.1002/cne.24385.

    Abstract

    Genes including FOXP2, FOXP1 and CNTNAP2, have been implicated in human speech and language phenotypes, pointing to a role in the development of normal language-related circuitry in the brain. Although speech and language are unique human phenotypes, a comparative approach is possible by addressing language-relevant traits in animal model systems. One such trait, vocal learning, represents an essential component of human spoken language, and is shared by cetaceans, pinnipeds, elephants, some birds and bats. Given their vocal learning abilities, gregarious nature, and reliance on vocalisations for social communication and navigation, bats represent an intriguing mammalian system in which to explore language-relevant genes. We used immunohistochemistry to detail the distribution of FoxP2, FoxP1 and Cntnap2 proteins, accompanied by detailed cytoarchitectural histology in the brains of two vocal learning bat species; Phyllostomus discolor and Rousettus aegyptiacus. We show widespread expression of these genes, similar to what has been previously observed in other species, including humans. A striking difference was observed in the adult Phyllostomus discolor bat, which showed low levels of FoxP2 expression in the cortex, contrasting with patterns found in rodents and non-human primates. We created an online, open-access database within which all data can be browsed, searched, and high resolution images viewed to single cell resolution. The data presented herein reveal regions of interest in the bat brain and provide new opportunities to address the role of these language-related genes in complex vocal-motor and vocal learning behaviours in a mammalian model system.
  • Rodenas-Cuadrado, P., Ho, J., & Vernes, S. C. (2014). Shining a light on CNTNAP2: Complex functions to complex disorders. European Journal of Human Genetics, 22(2), 171-178. doi:10.1038/ejhg.2013.100.

    Abstract

    The genetic basis of complex neurological disorders involving language are poorly understood, partly due to the multiple additive genetic risk factors that are thought to be responsible. Furthermore, these conditions are often syndromic in that they have a range of endophenotypes that may be associated with the disorder and that may be present in different combinations in patients. However, the emergence of individual genes implicated across multiple disorders has suggested that they might share similar underlying genetic mechanisms. The CNTNAP2 gene is an excellent example of this, as it has recently been implicated in a broad range of phenotypes including autism spectrum disorder (ASD), schizophrenia, intellectual disability, dyslexia and language impairment. This review considers the evidence implicating CNTNAP2 in these conditions, the genetic risk factors and mutations that have been identified in patient and population studies and how these relate to patient phenotypes. The role of CNTNAP2 is examined in the context of larger neurogenetic networks during development and disorder, given what is known regarding the regulation and function of this gene. Understanding the role of CNTNAP2 in diverse neurological disorders will further our understanding of how combinations of individual genetic risk factors can contribute to complex conditions
  • Roelofs, A. (2004). Seriality of phonological encoding in naming objects and reading their names. Memory & Cognition, 32(2), 212-222.

    Abstract

    There is a remarkable lack of research bringing together the literatures on oral reading and speaking.
    As concerns phonological encoding, both models of reading and speaking assume a process of segmental
    spellout for words, which is followed by serial prosodification in models of speaking (e.g., Levelt,
    Roelofs, & Meyer, 1999). Thus, a natural place to merge models of reading and speaking would be
    at the level of segmental spellout. This view predicts similar seriality effects in reading and object naming.
    Experiment 1 showed that the seriality of encoding inside a syllable revealed in previous studies
    of speaking is observed for both naming objects and reading their names. Experiment 2 showed that
    both object naming and reading exhibit the seriality of the encoding of successive syllables previously
    observed for speaking. Experiment 3 showed that the seriality is also observed when object naming and
    reading trials are mixed rather than tested separately, as in the first two experiments. These results suggest
    that a serial phonological encoding mechanism is shared between naming objects and reading
    their names.
  • Roelofs, A., Piai, V., Garrido Rodriguez, G., & Chwilla, D. J. (2016). Electrophysiology of Cross-Language Interference and Facilitation in Picture Naming. Cortex, 76, 1-16. doi:10.1016/j.cortex.2015.12.003.

    Abstract

    Disagreement exists about how bilingual speakers select words, in particular, whether words in another language compete, or competition is restricted to a target language, or no competition occurs. Evidence that competition occurs but is restricted to a target language comes from response time (RT) effects obtained when speakers name pictures in one language while trying to ignore distractor words in another language. Compared to unrelated distractor words, RT is longer when the picture name and distractor are semantically related, but RT is shorter when the distractor is the translation of the name of the picture in the other language. These effects suggest that distractor words from another language do not compete themselves but activate their counterparts in the target language, thereby yielding the semantic interference and translation facilitation effects. Here, we report an event-related brain potential (ERP) study testing the prediction that priming underlies both of these effects. The RTs showed semantic interference and translation facilitation effects. Moreover, the picture-word stimuli yielded an N400 response, whose amplitude was smaller on semantic and translation trials than on unrelated trials, providing evidence that interference and facilitation priming underlie the RT effects. We present the results of computer simulations showing the utility of a within-language competition account of our findings.
  • Roelofs, A. (2004). Error biases in spoken word planning and monitoring by aphasic and nonaphasic speakers: Comment on Rapp and Goldrick,2000. Psychological Review, 111(2), 561-572. doi:10.1037/0033-295X.111.2.561.

    Abstract

    B. Rapp and M. Goldrick (2000) claimed that the lexical and mixed error biases in picture naming by
    aphasic and nonaphasic speakers argue against models that assume a feedforward-only relationship
    between lexical items and their sounds in spoken word production. The author contests this claim by
    showing that a feedforward-only model like WEAVER ++ (W. J. M. Levelt, A. Roelofs, & A. S. Meyer,
    1999b) exhibits the error biases in word planning and self-monitoring. Furthermore, it is argued that
    extant feedback accounts of the error biases and relevant chronometric effects are incompatible.
    WEAVER ++ simulations with self-monitoring revealed that this model accounts for the chronometric
    data, the error biases, and the influence of the impairment locus in aphasic speakers.
  • Roelofs, A. (2004). Comprehension-based versus production-internal feedback in planning spoken words: A rejoinder to Rapp and Goldrick, 2004. Psychological Review, 111(2), 579-580. doi:10.1037/0033-295X.111.2.579.

    Abstract

    WEAVER++ has no backward links in its form-production network and yet is able to explain the lexical
    and mixed error biases and the mixed distractor latency effect. This refutes the claim of B. Rapp and M.
    Goldrick (2000) that these findings specifically support production-internal feedback. Whether their restricted interaction account model can also provide a unified account of the error biases and latency effect remains to be shown.
  • Roelofs, A. (1997). The WEAVER model of word-form encoding in speech production. Cognition, 64, 249-284. doi:10.1016/S0010-0277(97)00027-9.

    Abstract

    Lexical access in speaking consists of two major steps: lemma retrieval and word-form encoding. In Roelofs (Roelofs, A. 1992a. Cognition 42. 107-142; Roelofs. A. 1993. Cognition 47, 59-87.), I described a model of lemma retrieval. The present paper extends this work by presenting a comprehensive model of the second access step, word-form encoding. The model is called WEAVER (Word-form Encoding by Activation and VERification). Unlike other models of word-form generation, WEAVER is able to provide accounts of response time data, particularly from the picture-word interference paradigm and the implicit priming paradigm. Its key features are (1) retrieval by spreading activation, (2) verification of activated information by a production rule, (3) a rightward incremental construction of phonological representations using a principle of active syllabification, syllables are constructed on the fly rather than stored with lexical items, (4) active competitive selection of syllabic motor programs using a mathematical formalism that generates response times and (5) the association of phonological speech errors with the selection of syllabic motor programs due to the failure of verification.
  • Rojas-Berscia, L. M. (2016). Lóxoro, traces of a contemporary Peruvian genderlect. Borealis: An International Journal of Hispanic Linguistics, 5, 157-170.

    Abstract

    Not long after the premiere of Loxoro in 2011, a short-film by Claudia Llosa which presents the problems the transgender community faces in the capital of Peru, a new language variety became visible for the first time to the Lima society. Lóxoro [‘lok.so.ɾo] or Húngaro [‘uŋ.ga.ɾo], as its speakers call it, is a language spoken by transsexuals and the gay community of Peru. The first clues about its existence were given by a comedian, Fernando Armas, in the mid 90’s, however it is said to have appeared not before the 60’s. Following some previous work on gay languages by Baker (2002) and languages and society (cf. Halliday 1978), the main aim of the present article is to provide a primary sketch of this language in its phonological, morphological, lexical and sociological aspects, based on a small corpus extracted from the film of Llosa and natural dialogues from Peruvian TV-journals, in order to classify this variety within modern sociolinguistic models (cf. Muysken 2010) and argue for the “anti-language” (cf. Halliday 1978) nature of it
  • Rojas-Berscia, L. M. (2014). Towards an ontological theory of language: Radical minimalism, memetic linguistics and linguistic engineering, prolegomena. Ianua: Revista Philologica Romanica, 14(2), 69-81.

    Abstract

    In contrast to what has happened in other sciences, the establishment of what is the study object of linguistics as an autonomous discipline has not been resolved yet. Ranging from external explanations of language as a system (Saussure 1916), the existence of a mental innate language capacity or UG (Chomsky 1965, 1981, 1995), the cognitive complexity of the mental language capacity and the acquisition of languages in use (Langacker 1987, 1991, 2008; Croft & Cruse 2004; Evans & Levinson 2009) most, if not all, theoretical approaches have provided explanations that somehow isolated our discipline from developments in other major sciences, such as physics and evolutionary biology. In the present article I will present some of the basic issues regarding the current debate in the discipline, in order to identify some problems regarding the modern assumptions on language. Furthermore, a new proposal on how to approach linguistic phenomena will be given, regarding what I call «the main three» basic problems our discipline has to face ulteriorly. Finally, some preliminary ideas on a new paradigm of Linguistics which tries to answer these three basic problems will be presented, mainly based in the recently-born formal theory called Radical Minimalism (Krivochen 2011a, 2011b) and what I dub Memetic Linguistics and Linguistic Engineering
  • Rommers, J., & Federmeier, K. D. (2018). Lingering expectations: A pseudo-repetition effect for words previously expected but not presented. NeuroImage, 183, 263-272. doi:10.1016/j.neuroimage.2018.08.023.

    Abstract

    Prediction can help support rapid language processing. However, it is unclear whether prediction has downstream
    consequences, beyond processing in the moment. In particular, when a prediction is disconfirmed, does it linger,
    or is it suppressed? This study manipulated whether words were actually seen or were only expected, and probed
    their fate in memory by presenting the words (again) a few sentences later. If disconfirmed predictions linger,
    subsequent processing of the previously expected (but never presented) word should be similar to actual word
    repetition. At initial presentation, electrophysiological signatures of prediction disconfirmation demonstrated that
    participants had formed expectations. Further downstream, relative to unseen words, repeated words elicited a
    strong N400 decrease, an enhanced late positive complex (LPC), and late alpha band power decreases. Critically,
    like repeated words, words previously expected but not presented also attenuated the N400. This “pseudorepetition
    effect” suggests that disconfirmed predictions can linger at some stages of processing, and demonstrates
    that prediction has downstream consequences beyond rapid on-line processing
  • Rommers, J., & Federmeier, K. D. (2018). Predictability's aftermath: Downstream consequences of word predictability as revealed by repetition effects. Cortex, 101, 16-30. doi:10.1016/j.cortex.2017.12.018.

    Abstract

    Stimulus processing in language and beyond is shaped by context, with predictability having a
    particularly well-attested influence on the rapid processes that unfold during the presentation
    of a word. But does predictability also have downstream consequences for the quality of the
    constructed representations? On the one hand, the ease of processing predictablewordsmight
    free up time or cognitive resources, allowing for relatively thorough processing of the input. On
    the other hand, predictabilitymight allowthe systemto run in a top-down “verificationmode”,
    at the expense of thorough stimulus processing. This electroencephalogram (EEG) study
    manipulated word predictability, which reduced N400 amplitude and inter-trial phase clustering
    (ITPC), and then probed the fate of the (un)predictable words in memory by presenting
    them again. More thorough processing of predictable words should increase repetition effects,
    whereas less thorough processing should decrease them. Repetition was reflected in N400 decreases,
    late positive complex (LPC) enhancements, and late alpha/beta band power decreases.
    Critically, prior predictability tended to reduce the repetition effect on the N400, suggesting less
    priming, and eliminated the repetition effect on the LPC, suggesting a lack of episodic recollection.
    These findings converge on a top-down verification account, on which the brain processes
    more predictable input less thoroughly. More generally, the results demonstrate that
    predictability hasmultifaceted downstreamconsequences beyond processing in the moment
  • Roorda, D., Kalkman, G., Naaijer, M., & Van Cranenburgh, A. (2014). LAF-Fabric: A data analysis tool for linguistic annotation framework with an application to the Hebrew Bible. Computational linguistics in the Netherlands, 4, 105-120.

    Abstract

    The Linguistic Annotation Framework (LAF) provides a general, extensible stand-o markup system for corpora. This paper discusses LAF-Fabric, a new tool to analyse LAF resources in general with an extension to process the Hebrew Bible in particular. We rst walk through the history of the Hebrew Bible as text database in decennium-wide steps. Then we describe how LAF-Fabric may serve as an analysis tool for this corpus. Finally, we describe three analytic projects/work ows that benet from the new LAF representation: 1) the study of linguistic variation: extract cooccurrence data of common nouns between the books of the Bible (Martijn Naaijer); 2) the study of the grammar of Hebrew poetry in the Psalms: extract clause typology (Gino Kalkman); 3) construction of a parser of classical Hebrew by Data Oriented Parsing: generate tree structures from the database (Andreas van Cranenburgh).
  • Rossi, G. (2018). Composite social actions: The case of factual declaratives in everyday interaction. Research on Language and Social Interaction, 51(4), 379-397. doi:10.1080/08351813.2018.1524562.

    Abstract

    When taking a turn at talk, a speaker normally accomplishes a sequential action such as a question, answer, complaint, or request. Sometimes, however, a turn at talk may accomplish not a single but a composite action, involving a combination of more than one action. I show that factual declaratives (e.g., “the feed drip has finished”) are recurrently used to implement composite actions consisting of both an informing and a request or, alternatively, a criticism and a request. A key determinant between these is the recipient’s epistemic access to what the speaker is describing. Factual declaratives afford a range of possible responses, which can tell us how the composite action has been understood and give us insights into its underlying structure. Evidence for the stacking of composite actions, however, is not always directly available in the response and may need to be pieced together with the help of other linguistic and contextual considerations. Data are in Italian with English translation.
  • Rossi, G., & Zinken, J. (2016). Grammar and social agency: The pragmatics of impersonal deontic statements. Language, 92(4), e296-e325. doi:10.1353/lan.2016.0083.

    Abstract

    Sentence and construction types generally have more than one pragmatic function. Impersonal deontic declaratives such as ‘it is necessary to X’ assert the existence of an obligation or necessity without tying it to any particular individual. This family of statements can accomplish a range of functions, including getting another person to act, explaining or justifying the speaker’s own behavior as he or she undertakes to do something, or even justifying the speaker’s behavior while simultaneously getting another person to help. How is an impersonal deontic declarative fit for these different functions? And how do people know which function it has in a given context? We address these questions using video recordings of everyday interactions among speakers of Italian and Polish. Our analysis results in two findings. The first is that the pragmatics of impersonal deontic declaratives is systematically shaped by (i) the relative responsibility of participants for the necessary task and (ii) the speaker’s nonverbal conduct at the time of the statement. These two factors influence whether the task in question will be dealt with by another person or by the speaker, often giving the statement the force of a request or, alternatively, of an account of the speaker’s behavior. The second finding is that, although these factors systematically influence their function, impersonal deontic declaratives maintain the potential to generate more complex interactions that go beyond a simple opposition between requests and accounts, where participation in the necessary task may be shared, negotiated, or avoided. This versatility of impersonal deontic declaratives derives from their grammatical makeup: by being deontic and impersonal, they can both mobilize or legitimize an act by different participants in the speech event, while their declarative form does not constrain how they should be responded to. These features make impersonal deontic declaratives a special tool for the management of social agency.
  • Roswandowitz, C., Mathias, S. R., Hintz, F., Kreitewolf, J., Schelinski, S., & von Kriegstein, K. (2014). Two cases of selective developmental voice-recognition impairments. Current Biology, 24(19), 2348-2353. doi:10.1016/j.cub.2014.08.048.

    Abstract

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

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  • Rowbotham, S. J., Holler, J., Wearden, A., & Lloyd, D. M. (2016). I see how you feel: Recipients obtain additional information from speakers’ gestures about pain. Patient Education and Counseling, 99(8), 1333-1342. doi:10.1016/j.pec.2016.03.007.

    Abstract

    Objective

    Despite the need for effective pain communication, pain is difficult to verbalise. Co-speech gestures frequently add information about pain that is not contained in the accompanying speech. We explored whether recipients can obtain additional information from gestures about the pain that is being described.
    Methods

    Participants (n = 135) viewed clips of pain descriptions under one of four conditions: 1) Speech Only; 2) Speech and Gesture; 3) Speech, Gesture and Face; and 4) Speech, Gesture and Face plus Instruction (short presentation explaining the pain information that gestures can depict). Participants provided free-text descriptions of the pain that had been described. Responses were scored for the amount of information obtained from the original clips.
    Findings

    Participants in the Instruction condition obtained the most information, while those in the Speech Only condition obtained the least (all comparisons p<.001).
    Conclusions

    Gestures produced during pain descriptions provide additional information about pain that recipients are able to pick up without detriment to their uptake of spoken information.
    Practice implications

    Healthcare professionals may benefit from instruction in gestures to enhance uptake of information about patients’ pain experiences.
  • Rowbotham, S., Wardy, A. J., Lloyd, D. M., Wearden, A., & Holler, J. (2014). Increased pain intensity is associated with greater verbal communication difficulty and increased production of speech and co-speech gestures. PLoS One, 9(10): e110779. doi:10.1371/journal.pone.0110779.

    Abstract

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

    Abstract

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

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  • Rowland, C. F. (2018). The principles of scientific inquiry. Linguistic Approaches to Bilingualism, 8(6), 770-775. doi:10.1075/lab.18056.row.
  • Rubio-Fernández, P. (2018). Trying to discredit the Duplo task with a partial replication: Reply to Paulus and Kammermeier (2018). Cognitive Development, 48, 286-288. doi:10.1016/j.cogdev.2018.07.006.

    Abstract

    Kammermeier and Paulus (2018) report a partial replication of the results of Rubio-Fernández and Geurts (2013) but present their study as a failed replication. Paulus and Kammermeier (2018) insist on a negative interpretation of their findings, discrediting the Duplo task against their own empirical evidence. Here I argue that Paulus and Kammermeier may try to make an impactful contribution to the field by adding to the growing skepticism towards early Theory of Mind studies, but fail to make any significant contribution to our understanding of young children’s Theory of Mind abilities.
  • Rubio-Fernández, P. (2018). What do failed (and successful) replications with the Duplo task show? Cognitive Development, 48, 316-320. doi:10.1016/j.cogdev.2018.07.004.
  • Rubio-Fernández, P., Cummins, C., & Tian, Y. (2016). Are single and extended metaphors processed differently? A test of two Relevance-Theoretic accounts. Journal of Pragmatics, 94, 15-28. doi:10.1016/j.pragma.2016.01.005.

    Abstract

    Carston (2010) proposes that metaphors can be processed via two different routes. In line with the standard Relevance-Theoretic account of loose use, single metaphors are interpreted by a local pragmatic process of meaning adjustment, resulting in the construction of an ad hoc concept. In extended metaphorical passages, by contrast, the reader switches to a second processing mode because the various semantic associates in the passage are mutually reinforcing, which makes the literal meaning highly activated relative to possible meaning adjustments. In the second processing mode the literal meaning of the whole passage is metarepresented and entertained as an ‘imaginary world’ and the intended figurative implications are derived later in processing. The results of three experiments comparing the interpretation of the same target expressions across literal, single-metaphorical and extended-metaphorical contexts, using self-paced reading (Experiment 1), eye-tracking during natural reading (Experiment 2) and cued recall (Experiment 3), offered initial support to Carston's distinction between the processing of single and extended metaphors. We end with a comparison between extended metaphors and allegories, and make a call for further theoretical and experimental work to increase our understanding of the similarities and differences between the interpretation and processing of different figurative uses, single and extended.
  • Rubio-Fernández, P. (2016). How redundant are redundant color adjectives? An efficiency-based analysis of color overspecification. Frontiers in Psychology, 7: 153. doi:10.3389/fpsyg.2016.00153.

    Abstract

    Color adjectives tend to be used redundantly in referential communication. I propose that redundant color adjectives (RCAs) are often intended to exploit a color contrast in the visual context and hence facilitate object identification, despite not being necessary to establish unique reference. Two language-production experiments investigated two types of factors that may affect the use of RCAs: factors related to the efficiency of color in the visual context and factors related to the semantic category of the noun. The results of Experiment 1 confirmed that people produce RCAs when color may facilitate object recognition; e.g., they do so more often in polychrome displays than in monochrome displays, and more often in English (pre-nominal position) than in Spanish (post-nominal position). RCAs are also used when color is a central property of the object category; e.g., people referred to the color of clothes more often than to the color of geometrical figures (Experiment 1), and they overspecified atypical colors more often than variable and stereotypical colors (Experiment 2). These results are relevant for pragmatic models of referential communication based on Gricean pragmatics and informativeness. An alternative analysis is proposed, which focuses on the efficiency and pertinence of color in a given referential situation.
  • Rubio-Fernández, P., & Grassmann, S. (2016). Metaphors as second labels: Difficult for preschool children? Journal of Psycholinguistic Research, 45, 931-944. doi:10.1007/s10936-015-9386-y.

    Abstract

    This study investigates the development of two cognitive abilities that are involved in metaphor comprehension: implicit analogical reasoning and assigning an unconventional label to a familiar entity (as in Romeo’s ‘Juliet is the sun’). We presented 3- and 4-year-old children with literal object-requests in a pretense setting (e.g., ‘Give me the train with the hat’). Both age-groups succeeded in a baseline condition that used building blocks as props (e.g., placed either on the front or the rear of a train engine) and only required spatial analogical reasoning to interpret the referential expression. Both age-groups performed significantly worse in the critical condition, which used familiar objects as props (e.g., small dogs as pretend hats) and required both implicit analogical reasoning and assigning second labels. Only the 4-year olds succeeded in this condition. These results offer a new perspective on young children’s difficulties with metaphor comprehension in the preschool years.
  • Rubio-Fernández, P., & Geurts, B. (2016). Don’t mention the marble! The role of attentional processes in false-belief tasks. Review of Philosophy and Psychology, 7, 835-850. doi:10.1007/s13164-015-0290-z.
  • Russel, A., & Trilsbeek, P. (2004). ELAN Audio Playback. Language Archive Newsletter, 1(4), 12-13.
  • Russel, A., & Wittenburg, P. (2004). ELAN Native Media Handling. Language Archive Newsletter, 1(3), 12-12.
  • Sach, M., Seitz, R. J., & Indefrey, P. (2004). Unified inflectional processing of regular and irregular verbs: A PET study. NeuroReport, 15(3), 533-537. doi:10.1097/01.wnr.0000113529.32218.92.

    Abstract

    Psycholinguistic theories propose different models of inflectional processing of regular and irregular verbs: dual mechanism models assume separate modules with lexical frequency sensitivity for irregular verbs. In contradistinction, connectionist models propose a unified process in a single module.We conducted a PET study using a 2 x 2 design with verb regularity and frequency.We found significantly shorter voice onset times for regular verbs and high frequency verbs irrespective of regularity. The PET data showed activations in inferior frontal gyrus (BA 45), nucleus lentiformis, thalamus, and superior medial cerebellum for both regular and irregular verbs but no dissociation for verb regularity.Our results support common processing components for regular and irregular verb inflection.
  • Sadakata, M., & McQueen, J. M. (2014). Individual aptitude in Mandarin lexical tone perception predicts effectiveness of high-variability training. Frontiers in Psychology, 5: 1318. doi:10.3389/fpsyg.2014.01318.

    Abstract

    Although the high-variability training method can enhance learning of non-native speech categories, this can depend on individuals’ aptitude. The current study asked how general the effects of perceptual aptitude are by testing whether they occur with training materials spoken by native speakers and whether they depend on the nature of the to-be-learned material. Forty-five native Dutch listeners took part in a five-day training procedure in which they identified bisyllabic Mandarin pseudowords (e.g., asa) pronounced with different lexical tone combinations. The training materials were presented to different groups of listeners at three levels of variability: low (many repetitions of a limited set of words recorded by a single speaker), medium (fewer repetitions of a more variable set of words recorded by 3 speakers) and high (similar to medium but with 5 speakers). Overall, variability did not influence learning performance, but this was due to an interaction with individuals’ perceptual aptitude: increasing variability hindered improvements in performance for low-aptitude perceivers while it helped improvements in performance for high-aptitude perceivers. These results show that the previously observed interaction between individuals’ aptitude and effects of degree of variability extends to natural tokens of Mandarin speech. This interaction was not found, however, in a closely-matched study in which native Dutch listeners were trained on the Japanese geminate/singleton consonant contrast. This may indicate that the effectiveness of high-variability training depends not only on individuals’ aptitude in speech perception but also on the nature of the categories being acquired.
  • San Roque, L. (2016). 'Where' questions and their responses in Duna (Papua New Guinea). Open Linguistics, 2(1), 85-104. doi:10.1515/opli-2016-0005.

    Abstract

    Despite their central role in question formation, content interrogatives in spontaneous conversation remain relatively under-explored cross-linguistically. This paper outlines the structure of ‘where’ expressions in Duna, a language spoken in Papua New Guinea, and examines where-questions in a small Duna data set in terms of their frequency, function, and the responses they elicit. Questions that ask ‘where?’ have been identified as a useful tool in studying the language of space and place, and, in the Duna case and elsewhere, show high frequency and functional flexibility. Although where-questions formulate place as an information gap, they are not always answered through direct reference to canonical places. While some question types may be especially “socially costly” (Levinson 2012), asking ‘where’ perhaps provides a relatively innocuous way of bringing a particular event or situation into focus.
  • San Roque, L., Kendrick, K. H., Norcliffe, E., & Majid, A. (2018). Universal meaning extensions of perception verbs are grounded in interaction. Cognitive Linguistics, 29, 371-406. doi:10.1515/cog-2017-0034.
  • Sánchez-Fernández, M., & Rojas-Berscia, L. M. (2016). Vitalidad lingüística de la lengua paipai de Santa Catarina, Baja California. LIAMES, 16(1), 157-183. doi:10.20396/liames.v16i1.8646171.

    Abstract

    In the last few decades little to nothing has been said about the sociolinguistic situation of Yumanan languages in Mexico. In order to cope with this lack of studies, we present a first study on linguistic vitality in Paipai, as it is spoken in Santa Catarina, Baja California, Mexico. Since languages such as Mexican Spanish and Ko’ahl coexist with this language in the same ecology, both are part of the study as well. This first approach hoists from two axes: on one hand, providing a theoretical framework that explains the sociolinguistic dynamics in the ecology of the language (Mufwene 2001), and, on the other hand, bringing over a quantitative study based on MSF (Maximum Shared Facility) (Terborg & Garcìa 2011), which explains the state of linguistic vitality of paipai, enriched by qualitative information collected in situ
  • Sanchis-Trilles, G., Alabau, V., Buck, C., Carl, M., Casacuberta, F., García Martínez, M., Germann, U., González Rubio, J., Hill, R. L., Koehn, P., Leiva, L. A., Mesa-Lao, B., Ortiz Martínez, D., Saint-Amand, H., Tsoukala, C., & Vidal, E. (2014). Interactive translation prediction versus conventional post-editing in practice: a study with the CasMaCat workbench. Machine Translation, 28(3-4), 217-235. doi:10.1007/s10590-014-9157-9.

    Abstract

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

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  • Sassenhagen, J., & Alday, P. M. (2016). A common misapplication of statistical inference: Nuisance control with null-hypothesis significance tests. Brain and Language, 162, 42-45. doi:10.1016/j.bandl.2016.08.001.

    Abstract

    Experimental research on behavior and cognition frequently rests on stimulus or subject selection where not all characteristics can be fully controlled, even when attempting strict matching. For example, when contrasting patients to controls, variables such as intelligence or socioeconomic status are often correlated with patient status. Similarly, when presenting word stimuli, variables such as word frequency are often correlated with primary variables of interest. One procedure very commonly employed to control for such nuisance effects is conducting inferential tests on confounding stimulus or subject characteristics. For example, if word length is not significantly different for two stimulus sets, they are considered as matched for word length. Such a test has high error rates and is conceptually misguided. It reflects a common misunderstanding of statistical tests: interpreting significance not to refer to inference about a particular population parameter, but about 1. the sample in question, 2. the practical relevance of a sample difference (so that a nonsignificant test is taken to indicate evidence for the absence of relevant differences). We show inferential testing for assessing nuisance effects to be inappropriate both pragmatically and philosophically, present a survey showing its high prevalence, and briefly discuss an alternative in the form of regression including nuisance variables.
  • Sauppe, S. (2016). Verbal semantics drives early anticipatory eye movements during the comprehension of verb-initial sentences. Frontiers in Psychology, 7: 95. doi:10.3389/fpsyg.2016.00095.

    Abstract

    Studies on anticipatory processes during sentence comprehension often focus on the prediction of postverbal direct objects. In subject-initial languages (the target of most studies so far), however, the position in the sentence, the syntactic function, and the semantic role of arguments are often conflated. For example, in the sentence “The frog will eat the fly” the syntactic object (“fly”) is at the same time also the last word and the patient argument of the verb. It is therefore not apparent which kind of information listeners orient to for predictive processing during sentence comprehension. A visual world eye tracking study on the verb-initial language Tagalog (Austronesian) tested what kind of information listeners use to anticipate upcoming postverbal linguistic input. The grammatical structure of Tagalog allows to test whether listeners' anticipatory gaze behavior is guided by predictions of the linear order of words, by syntactic functions (e.g., subject/object), or by semantic roles (agent/patient). Participants heard sentences of the type “Eat frog fly” or “Eat fly frog” (both meaning “The frog will eat the fly”) while looking at displays containing an agent referent (“frog”), a patient referent (“fly”) and a distractor. The verb carried morphological marking that allowed the order and syntactic function of agent and patient to be inferred. After having heard the verb, listeners fixated on the agent irrespective of its syntactic function or position in the sentence. While hearing the first-mentioned argument, listeners fixated on the corresponding referent in the display accordingly and then initiated saccades to the last-mentioned referent before it was encountered. The results indicate that listeners used verbal semantics to identify referents and their semantic roles early; information about word order or syntactic functions did not influence anticipatory gaze behavior directly after the verb was heard. In this verb-initial language, event semantics takes early precedence during the comprehension of sentences, while arguments are anticipated temporally more local to when they are encountered. The current experiment thus helps to better understand anticipation during language processing by employing linguistic structures not available in previously studied subject-initial languages.
  • Scerri, T. S., Fisher, S. E., Francks, C., MacPhie, I. L., Paracchini, S., Richardson, A. J., Stein, J. F., & Monaco, A. P. (2004). Putative functional alleles of DYX1C1 are not associated with dyslexia susceptibility in a large sample of sibling pairs from the UK [Letter to JMG]. Journal of Medical Genetics, 41(11), 853-857. doi:10.1136/jmg.2004.018341.
  • Schaeffer, J., van Witteloostuijn, M., & Creemers, A. (2018). Article choice, theory of mind, and memory in children with high-functioning autism and children with specific language impairment. Applied Psycholinguistics, 39(1), 89-115. doi:10.1017/S0142716417000492.

    Abstract

    Previous studies show that young, typically developing (TD) children (age 5) make errors in the choice between a definite and an indefinite article. Suggested explanations for overgeneration of the definite article include failure to distinguish speaker from hearer assumptions, and for overgeneration of the indefinite article failure to draw scalar implicatures, and weak working memory. However, no direct empirical evidence for these accounts is available. In this study, 27 Dutch-speaking children with high-functioning autism, 27 children with SLI, and 27 TD children aged 5–14 were administered a pragmatic article choice test, a nonverbal theory of mind test, and three types of memory tests (phonological memory, verbal, and nonverbal working memory). The results show that the children with high-functioning autism and SLI (a) make similar errors, that is, they overgenerate the indefinite article; (b) are TD-like at theory of mind, but (c) perform significantly more poorly than the TD children on phonological memory and verbal working memory. We propose that weak memory skills prevent the integration of the definiteness scale with the preceding discourse, resulting in the failure to consistently draw the relevant scalar implicature. This in turn yields the occasional erroneous choice of the indefinite article a in definite contexts.
  • Schepens, J., Van der Silk, F., & Van Hout, R. (2016). L1 and L2 Distance Effects in Learning L3 Dutch. Language Learning, 66, 224-256. doi:10.1111/lang.12150.

    Abstract

    Many people speak more than two languages. How do languages acquired earlier affect the learnability of additional languages? We show that linguistic distances between speakers' first (L1) and second (L2) languages and their third (L3) language play a role. Larger distances from the L1 to the L3 and from the L2 to the L3 correlate with lower degrees of L3 learnability. The evidence comes from L3 Dutch speaking proficiency test scores obtained by candidates who speak a diverse set of L1s and L2s. Lexical and morphological distances between the L1s of the learners and Dutch explained 47.7% of the variation in proficiency scores. Lexical and morphological distances between the L2s of the learners and Dutch explained 32.4% of the variation in proficiency scores in multilingual learners. Cross-linguistic differences require language learners to bridge varying linguistic gaps between their L1 and L2 competences and the target language.
  • Schertz, J., & Ernestus, M. (2014). Variability in the pronunciation of non-native English the: Effects of frequency and disfluencies. Corpus Linguistics and Linguistic Theory, 10, 329-345. doi:10.1515/cllt-2014-0024.

    Abstract

    This study examines how lexical frequency and planning problems can predict phonetic variability in the function word ‘the’ in conversational speech produced by non-native speakers of English. We examined 3180 tokens of ‘the’ drawn from English conversations between native speakers of Czech or Norwegian. Using regression models, we investigated the effect of following word frequency and disfluencies on three phonetic parameters: vowel duration, vowel quality, and consonant quality. Overall, the non-native speakers showed variation that is very similar to the variation displayed by native speakers of English. Like native speakers, Czech speakers showed an effect of frequency on vowel durations, which were shorter in more frequent word sequences. Both groups of speakers showed an effect of frequency on consonant quality: the substitution of another consonant for /ð/ occurred more often in the context of more frequent words. The speakers in this study also showed a native-like allophonic distinction in vowel quality, in which /ði/ occurs more often before vowels and /ðə/ before consonants. Vowel durations were longer in the presence of following disfluencies, again mirroring patterns in native speakers, and the consonant quality was more likely to be the target /ð/ before disfluencies, as opposed to a different consonant. The fact that non-native speakers show native-like sensitivity to lexical frequency and disfluencies suggests that these effects are consequences of a general, non-language-specific production mechanism governing language planning. On the other hand, the non-native speakers in this study did not show native-like patterns of vowel quality in the presence of disfluencies, suggesting that the pattern attested in native speakers of English may result from language-specific processes separate from the general production mechanisms
  • Schijven, D., Kofink, D., Tragante, V., Verkerke, M., Pulit, S. L., Kahn, R. S., Veldink, J. H., Vinkers, C. H., Boks, M. P., & Luykx, J. J. (2018). Comprehensive pathway analyses of schizophrenia risk loci point to dysfunctional postsynaptic signaling. Schizophrenia Research, 199, 195-202. doi:10.1016/j.schres.2018.03.032.

    Abstract

    Large-scale genome-wide association studies (GWAS) have implicated many low-penetrance loci in schizophrenia. However, its pathological mechanisms are poorly understood, which in turn hampers the development of novel pharmacological treatments. Pathway and gene set analyses carry the potential to generate hypotheses about disease mechanisms and have provided biological context to genome-wide data of schizophrenia. We aimed to examine which biological processes are likely candidates to underlie schizophrenia by integrating novel and powerful pathway analysis tools using data from the largest Psychiatric Genomics Consortium schizophrenia GWAS (N=79,845) and the most recent 2018 schizophrenia GWAS (N=105,318). By applying a primary unbiased analysis (Multi-marker Analysis of GenoMic Annotation; MAGMA) to weigh the role of biological processes from the Molecular Signatures Database (MSigDB), we identified enrichment of common variants in synaptic plasticity and neuron differentiation gene sets. We supported these findings using MAGMA, Meta-Analysis Gene-set Enrichment of variaNT Associations (MAGENTA) and Interval Enrichment Analysis (INRICH) on detailed synaptic signaling pathways from the Kyoto Encyclopedia of Genes and Genomes (KEGG) and found enrichment in mainly the dopaminergic and cholinergic synapses. Moreover, shared genes involved in these neurotransmitter systems had a large contribution to the observed enrichment, protein products of top genes in these pathways showed more direct and indirect interactions than expected by chance, and expression profiles of these genes were largely similar among brain tissues. In conclusion, we provide strong and consistent genetics and protein-interaction informed evidence for the role of postsynaptic signaling processes in schizophrenia, opening avenues for future translational and psychopharmacological studies.
  • Schijven, D., Sousa, V. C., Roelofs, J., Olivier, B., & Olivier, J. D. A. (2014). Serotonin 1A receptors and sexual behavior in a genetic model of depression. Pharmacology, Biochemistry and Behavior, 121, 82-87. doi:10.1016/j.pbb.2013.12.012.

    Abstract

    The Flinder Sensitive Line (FSL) is a rat strain that displays distinct behavioral and neurochemical features of major depression. Chronic selective serotonin reuptake inhibitors (SSRIs) are able to reverse these symptoms in FSL rats. It is well known that several abnormalities in the serotonergic system have been found in FSL rats, including increased 5-HT brain tissue levels and reduced 5-HT synthesis. SSRIs are known to exert (part of) their effects by desensitization of the 5-HT1A receptor and FSL rats appear to have lower 5-HT1A receptor densities compared with Flinder Resistant Line (FRL) rats. We therefore studied the sensitivity of this receptor on the sexual behavior performance in both FRL and FSL rats. First, basal sexual performance was studied after saline treatment followed by treatment of two different doses of the 5-HT1A receptor agonist ±8-OH-DPAT. Finally we measured the effect of a 5-HT1A receptor antagonist to check for specificity of the 5-HT1A receptor activation. Our results show that FSL rats have higher ejaculation frequencies compared with FRL rats which do not fit with a more depressive-like phenotype. Moreover FRL rats are more sensitive to effects of ±8-OH-DPAT upon EL and IF than FSL rats. The blunted response of FSL rats to the effects of ±8-OH-DPAT may be due to lower densities of 5-HT1A receptors.
  • Schilberg, L., Engelen, T., Ten Oever, S., Schuhmann, T., De Gelder, B., De Graaf, T. A., & Sack, A. T. (2018). Phase of beta-frequency tACS over primary motor cortex modulates corticospinal excitability. Cortex, 103, 142-152. doi:10.1016/j.cortex.2018.03.001.

    Abstract

    The assessment of corticospinal excitability by means of transcranial magnetic stimulation-induced motor evoked potentials is an established diagnostic tool in neurophysiology and a widely used procedure in fundamental brain research. However, concern about low reliability of these measures has grown recently. One possible cause of high variability of MEPs under identical acquisition conditions could be the influence of oscillatory neuronal activity on corticospinal excitability. Based on research showing that transcranial alternating current stimulation can entrain neuronal oscillations we here test whether alpha or beta frequency tACS can influence corticospinal excitability in a phase-dependent manner. We applied tACS at individually calibrated alpha- and beta-band oscillation frequencies, or we applied sham tACS. Simultaneous single TMS pulses time locked to eight equidistant phases of the ongoing tACS signal evoked MEPs. To evaluate offline effects of stimulation frequency, MEP amplitudes were measured before and after tACS. To evaluate whether tACS influences MEP amplitude, we fitted one-cycle sinusoids to the average MEPs elicited at the different phase conditions of each tACS frequency. We found no frequency-specific offline effects of tACS. However, beta-frequency tACS modulation of MEPs was phase-dependent. Post hoc analyses suggested that this effect was specific to participants with low (<19 Hz) intrinsic beta frequency. In conclusion, by showing that beta tACS influences MEP amplitude in a phase-dependent manner, our results support a potential role attributed to neuronal oscillations in regulating corticospinal excitability. Moreover, our findings may be useful for the development of TMS protocols that improve the reliability of MEPs as a meaningful tool for research applications or for clinical monitoring and diagnosis. (C) 2018 Elsevier Ltd. All rights reserved.
  • Schiller, N. O., Fikkert, P., & Levelt, C. C. (2004). Stress priming in picture naming: An SOA study. Brain and Language, 90(1-3), 231-240. doi:10.1016/S0093-934X(03)00436-X.

    Abstract

    This study investigates whether or not the representation of lexical stress information can be primed during speech production. In four experiments, we attempted to prime the stress position of bisyllabic target nouns (picture names) having initial and final stress with auditory prime words having either the same or different stress as the target (e.g., WORtel–MOtor vs. koSTUUM–MOtor; capital letters indicate stressed syllables in prime–target pairs). Furthermore, half of the prime words were semantically related, the other half unrelated. Overall, picture names were not produced faster when the prime word had the same stress as the target than when the prime had different stress, i.e., there was no stress-priming effect in any experiment. This result would not be expected if stress were stored in the lexicon. However, targets with initial stress were responded to faster than final-stress targets. The reason for this effect was neither the quality of the pictures nor frequency of occurrence or voice-key characteristics. We hypothesize here that this stress effect is a genuine encoding effect, i.e., words with stress on the second syllable take longer to be encoded because their stress pattern is irregular with respect to the lexical distribution of bisyllabic stress patterns, even though it can be regular with respect to metrical stress rules in Dutch. The results of the experiments are discussed in the framework of models of phonological encoding.
  • Schiller, N. O., & De Ruiter, J. P. (2004). Some notes on priming, alignment, and self-monitoring [Commentary]. Behavioral and Brain Sciences, 27(2), 208-209. doi:10.1017/S0140525X0441005X.

    Abstract

    Any complete theory of speaking must take the dialogical function of language use into account. Pickering & Garrod (P&G) make some progress on this point. However, we question whether their interactive alignment model is the optimal approach. In this commentary, we specifically criticize (1) their notion of alignment being implemented through priming, and (2) their claim that self-monitoring can occur at all levels of linguistic representation.
  • Schiller, N. O. (2004). The onset effect in word naming. Journal of Memory and Language, 50(4), 477-490. doi:10.1016/j.jml.2004.02.004.

    Abstract

    This study investigates whether or not masked form priming effects in the naming task depend on the number of shared segments between prime and target. Dutch participants named bisyllabic words, which were preceded by visual masked primes. When primes shared the initial segment(s) with the target, naming latencies were shorter than in a control condition (string of percent signs). Onset complexity (singleton vs. complex word onset) did not modulate this priming effect in Dutch. Furthermore, significant priming due to shared final segments was only found when the prime did not contain a mismatching onset, suggesting an interfering role of initial non-target segments. It is concluded that (a) degree of overlap (segmental match vs. mismatch), and (b) position of overlap (initial vs. final) influence the magnitude of the form priming effect in the naming task. A modification of the segmental overlap hypothesis (Schiller, 1998) is proposed to account for the data.
  • Schiller, N. O., Meyer, A. S., & Levelt, W. J. M. (1997). The syllabic structure of spoken words: Evidence from the syllabification of intervocalic consonants. Language and Speech, 40(2), 103-140.

    Abstract

    A series of experiments was carried out to investigate the syllable affiliation of intervocalic consonants following short vowels, long vowels, and schwa in Dutch. Special interest was paid to words such as letter ['leter] ''id.,'' where a short vowel is followed by a single consonant. On phonological grounds one may predict that the first syllable should always be closed, but earlier psycholinguistic research had shown that speakers tend to leave these syllables open. In our experiments, bisyllabic word forms were presented aurally, and participants produced their syllables in reversed order (Experiments 1 through 5), or repeated the words inserting a pause between the syllables (Experiment 6). The results showed that participants generally closed syllables with a short vowel. However, in a significant number of the cases they produced open short vowel syllables. Syllables containing schwa, like syllables with a long vowel, were hardly ever closed. Word stress, the phonetic quality of the vowel in the first syllable, and the experimental context influenced syllabification. Taken together, the experiments show that native speakers syllabify bisyllabic Dutch nouns in accordance with a small set of prosodic output constraints. To account for the variability of the results, we propose that these constraints differ in their probabilities of being applied.
  • Schillingmann, L., Ernst, J., Keite, V., Wrede, B., Meyer, A. S., & Belke, E. (2018). AlignTool: The automatic temporal alignment of spoken utterances in German, Dutch, and British English for psycholinguistic purposes. Behavior Research Methods, 50(2), 466-489. doi:10.3758/s13428-017-1002-7.

    Abstract

    In language production research, the latency with which speakers produce a spoken response to a stimulus and the onset and offset times of words in longer utterances are key dependent variables. Measuring these variables automatically often yields partially incorrect results. However, exact measurements through the visual inspection of the recordings are extremely time-consuming. We present AlignTool, an open-source alignment tool that establishes preliminarily the onset and offset times of words and phonemes in spoken utterances using Praat, and subsequently performs a forced alignment of the spoken utterances and their orthographic transcriptions in the automatic speech recognition system MAUS. AlignTool creates a Praat TextGrid file for inspection and manual correction by the user, if necessary. We evaluated AlignTool’s performance with recordings of single-word and four-word utterances as well as semi-spontaneous speech. AlignTool performs well with audio signals with an excellent signal-to-noise ratio, requiring virtually no corrections. For audio signals of lesser quality, AlignTool still is highly functional but its results may require more frequent manual corrections. We also found that audio recordings including long silent intervals tended to pose greater difficulties for AlignTool than recordings filled with speech, which AlignTool analyzed well overall. We expect that by semi-automatizing the temporal analysis of complex utterances, AlignTool will open new avenues in language production research.
  • Schmidt, J., Herzog, D., Scharenborg, O., & Janse, E. (2016). Do hearing aids improve affect perception? Advances in Experimental Medicine and Biology, 894, 47-55. doi:10.1007/978-3-319-25474-6_6.

    Abstract

    Normal-hearing listeners use acoustic cues in speech to interpret a speaker's emotional state. This study investigates the effect of hearing aids on the perception of the emotion dimensions arousal (aroused/calm) and valence (positive/negative attitude) in older adults with hearing loss. More specifically, we investigate whether wearing a hearing aid improves the correlation between affect ratings and affect-related acoustic parameters. To that end, affect ratings by 23 hearing-aid users were compared for aided and unaided listening. Moreover, these ratings were compared to the ratings by an age-matched group of 22 participants with age-normal hearing.For arousal, hearing-aid users rated utterances as generally more aroused in the aided than in the unaided condition. Intensity differences were the strongest indictor of degree of arousal. Among the hearing-aid users, those with poorer hearing used additional prosodic cues (i.e., tempo and pitch) for their arousal ratings, compared to those with relatively good hearing. For valence, pitch was the only acoustic cue that was associated with valence. Neither listening condition nor hearing loss severity (differences among the hearing-aid users) influenced affect ratings or the use of affect-related acoustic parameters. Compared to the normal-hearing reference group, ratings of hearing-aid users in the aided condition did not generally differ in both emotion dimensions. However, hearing-aid users were more sensitive to intensity differences in their arousal ratings than the normal-hearing participants.We conclude that the use of hearing aids is important for the rehabilitation of affect perception and particularly influences the interpretation of arousal
  • Schmidt, J., Janse, E., & Scharenborg, O. (2016). Perception of emotion in conversational speech by younger and older listeners. Frontiers in Psychology, 7: 781. doi:10.3389/fpsyg.2016.00781.

    Abstract

    This study investigated whether age and/or differences in hearing sensitivity influence the perception of the emotion dimensions arousal (calm vs. aroused) and valence (positive vs. negative attitude) in conversational speech. To that end, this study specifically focused on the relationship between participants' ratings of short affective utterances and the utterances' acoustic parameters (pitch, intensity, and articulation rate) known to be associated with the emotion dimensions arousal and valence. Stimuli consisted of short utterances taken from a corpus of conversational speech. In two rating tasks, younger and older adults either rated arousal or valence using a 5-point scale. Mean intensity was found to be the main cue participants used in the arousal task (i.e., higher mean intensity cueing higher levels of arousal) while mean F-0 was the main cue in the valence task (i.e., higher mean F-0 being interpreted as more negative). Even though there were no overall age group differences in arousal or valence ratings, compared to younger adults, older adults responded less strongly to mean intensity differences cueing arousal and responded more strongly to differences in mean F-0 cueing valence. Individual hearing sensitivity among the older adults did not modify the use of mean intensity as an arousal cue. However, individual hearing sensitivity generally affected valence ratings and modified the use of mean F-0. We conclude that age differences in the interpretation of mean F-0 as a cue for valence are likely due to age-related hearing loss, whereas age differences in rating arousal do not seem to be driven by hearing sensitivity differences between age groups (as measured by pure-tone audiometry).
  • Schoenmakers, G.-J., & Piepers, J. (2018). Echter kan het wel. Levende Talen Magazine, 105(4), 10-13.
  • Schoot, L., Menenti, L., Hagoort, P., & Segaert, K. (2014). A little more conversation - The influence of communicative context on syntactic priming in brain and behavior. Frontiers in Psychology, 5: 208. doi:10.3389/fpsyg.2014.00208.

    Abstract

    We report on an fMRI syntactic priming experiment in which we measure brain activity for participants who communicate with another participant outside the scanner. We investigated whether syntactic processing during overt language production and comprehension is influenced by having a (shared) goal to communicate. Although theory suggests this is true, the nature of this influence remains unclear. Two hypotheses are tested: i. syntactic priming effects (fMRI and RT) are stronger for participants in the communicative context than for participants doing the same experiment in a non-communicative context, and ii. syntactic priming magnitude (RT) is correlated with the syntactic priming magnitude of the speaker’s communicative partner. Results showed that across conditions, participants were faster to produce sentences with repeated syntax, relative to novel syntax. This behavioral result converged with the fMRI data: we found repetition suppression effects in the left insula extending into left inferior frontal gyrus (BA 47/45), left middle temporal gyrus (BA 21), left inferior parietal cortex (BA 40), left precentral gyrus (BA 6), bilateral precuneus (BA 7), bilateral supplementary motor cortex (BA 32/8) and right insula (BA 47). We did not find support for the first hypothesis: having a communicative intention does not increase the magnitude of syntactic priming effects (either in the brain or in behavior) per se. We did find support for the second hypothesis: if speaker A is strongly/weakly primed by speaker B, then speaker B is primed by speaker A to a similar extent. We conclude that syntactic processing is influenced by being in a communicative context, and that the nature of this influence is bi-directional: speakers are influenced by each other.
  • Schoot, L., Heyselaar, E., Hagoort, P., & Segaert, K. (2016). Does syntactic alignment effectively influence how speakers are perceived by their conversation partner. PLoS One, 11(4): e015352. doi:10.1371/journal.pone.0153521.

    Abstract

    The way we talk can influence how we are perceived by others. Whereas previous studies have started to explore the influence of social goals on syntactic alignment, in the current study, we additionally investigated whether syntactic alignment effectively influences conversation partners’ perception of the speaker. To this end, we developed a novel paradigm in which we can measure the effect of social goals on the strength of syntactic alignment for one participant (primed participant), while simultaneously obtaining usable social opinions about them from their conversation partner (the evaluator). In Study 1, participants’ desire to be rated favorably by their partner was manipulated by assigning pairs to a Control (i.e., primed participants did not know they were being evaluated) or Evaluation context (i.e., primed participants knew they were being evaluated). Surprisingly, results showed no significant difference in the strength with which primed participants aligned their syntactic choices with their partners’ choices. In a follow-up study, we used a Directed Evaluation context (i.e., primed participants knew they were being evaluated and were explicitly instructed to make a positive impression). However, again, there was no evidence supporting the hypothesis that participants’ desire to impress their partner influences syntactic alignment. With respect to the influence of syntactic alignment on perceived likeability by the evaluator, a negative relationship was reported in Study 1: the more primed participants aligned their syntactic choices with their partner, the more that partner decreased their likeability rating after the experiment. However, this effect was not replicated in the Directed Evaluation context of Study 2. In other words, our results do not support the conclusion that speakers’ desire to be liked affects how much they align their syntactic choices with their partner, nor is there convincing evidence that there is a reliable relationship between syntactic alignment and perceived likeability.

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  • Schoot, L., Hagoort, P., & Segaert, K. (2016). What can we learn from a two-brain approach to verbal interaction? Neuroscience and Biobehavioral Reviews, 68, 454-459. doi:10.1016/j.neubiorev.2016.06.009.

    Abstract

    Verbal interaction is one of the most frequent social interactions humans encounter on a daily basis. In the current paper, we zoom in on what the multi-brain approach has contributed, and can contribute in the future, to our understanding of the neural mechanisms supporting verbal interaction. Indeed, since verbal interaction can only exist between individuals, it seems intuitive to focus analyses on inter-individual neural markers, i.e. between-brain neural coupling. To date, however, there is a severe lack of theoretically-driven, testable hypotheses about what between-brain neural coupling actually reflects. In this paper, we develop a testable hypothesis in which between-pair variation in between-brain neural coupling is of key importance. Based on theoretical frameworks and empirical data, we argue that the level of between-brain neural coupling reflects speaker-listener alignment at different levels of linguistic and extra-linguistic representation. We discuss the possibility that between-brain neural coupling could inform us about the highest level of inter-speaker alignment: mutual understanding
  • Schreiweis, C., Bornschein, U., Burguière, E., Kerimoglu, C., Schreiter, S., Dannemann, M., Goyal, S., Rea, E., French, C. A., Puliyadi, R., Groszer, M., Fisher, S. E., Mundry, R., Winter, C., Hevers, W., Pääbo, S., Enard, W., & Graybiel, A. M. (2014). Humanized Foxp2 accelerates learning by enhancing transitions from declarative to procedural performance. Proceedings of the National Academy of Sciences of the United States of America, 111, 14253-14258. doi:10.1073/pnas.1414542111.

    Abstract

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

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  • Schumacher, M., & Skiba, R. (1992). Prädikative und modale Ausdrucksmittel in den Lernervarietäten einer polnischen Migrantin: Eine Longitudinalstudie. Teil I. Linguistische Berichte, 141, 371-400.
  • Schumacher, M., & Skiba, R. (1992). Prädikative und modale Ausdrucksmittel in den Lernervarietäten einer polnischen Migrantin: Eine Longitudinalstudie. Teil II. Linguistische Berichte, 142, 451-475.
  • Schweinfurth, M. K., De Troy, S. E., Van Leeuwen, E. J. C., Call, J., & Haun, D. B. M. (2018). Spontaneous social tool use in Chimpanzees (Pan troglodytes). Journal of Comparative Psychology, 132(4), 455-463. doi:10.1037/com0000127.

    Abstract

    Although there is good evidence that social animals show elaborate cognitive skills to deal with others, there are few reports of animals physically using social agents and their respective responses as means to an end—social tool use. In this case study, we investigated spontaneous and repeated social tool use behavior in chimpanzees (Pan troglodytes). We presented a group of chimpanzees with an apparatus, in which pushing two buttons would release juice from a distantly located fountain. Consequently, any one individual could only either push the buttons or drink from the fountain but never push and drink simultaneously. In this scenario, an adult male attempted to retrieve three other individuals and push them toward the buttons that, if pressed, released juice from the fountain. With this strategy, the social tool user increased his juice intake 10-fold. Interestingly, the strategy was stable over time, which was possibly enabled by playing with the social tools. With over 100 instances, we provide the biggest data set on social tool use recorded among nonhuman animals so far. The repeated use of other individuals as social tools may represent a complex social skill linked to Machiavellian intelligence.
  • Schwichtenberg, B., & Schiller, N. O. (2004). Semantic gender assignment regularities in German. Brain and Language, 90(1-3), 326-337. doi:10.1016/S0093-934X(03)00445-0.

    Abstract

    Gender assignment relates to a native speaker's knowledge of the structure of the gender system of his/her language, allowing the speaker to select the appropriate gender for each noun. Whereas categorical assignment rules and exceptional gender assignment are well investigated, assignment regularities, i.e., tendencies in the gender distribution identified within the vocabulary of a language, are still controversial. The present study is an empirical contribution trying to shed light on the gender assignment system native German speakers have at their disposal. Participants presented with a category (e.g., predator) and a pair of gender-marked pseudowords (e.g., der Trelle vs. die Stisse) preferentially selected the pseudo-word preceded by the gender-marked determiner ‘‘associated’’ with the category (e.g., masculine). This finding suggests that semantic regularities might be part of the gender assignment system of native speakers.
  • Scott, D. R., & Cutler, A. (1984). Segmental phonology and the perception of syntactic structure. Journal of Verbal Learning and Verbal Behavior, 23, 450-466. Retrieved from http://www.sciencedirect.com/science//journal/00225371.

    Abstract

    Recent research in speech production has shown that syntactic structure is reflected in segmental phonology--the application of certain phonological rules of English (e.g., palatalization and alveolar flapping) is inhibited across phrase boundaries. We examined whether such segmental effects can be used in speech perception as cues to syntactic structure, and the relation between the use of these segmental features as syntactic markers in production and perception. Speakers of American English (a dialect in which the above segmental effects occur) could indeed use the segmental cues in syntax perception; speakers of British English (in which the effects do not occur) were unable to make use of them, while speakers of British English who were long-term residents of the United States showed intermediate performance.
  • Seeliger, K., Fritsche, M., Güçlü, U., Schoenmakers, S., Schoffelen, J.-M., Bosch, S. E., & Van Gerven, M. A. J. (2018). Convolutional neural network-based encoding and decoding of visual object recognition in space and time. NeuroImage, 180, 253-266. doi:10.1016/j.neuroimage.2017.07.018.

    Abstract

    Representations learned by deep convolutional neural networks (CNNs) for object recognition are a widely
    investigated model of the processing hierarchy in the human visual system. Using functional magnetic resonance
    imaging, CNN representations of visual stimuli have previously been shown to correspond to processing stages in
    the ventral and dorsal streams of the visual system. Whether this correspondence between models and brain
    signals also holds for activity acquired at high temporal resolution has been explored less exhaustively. Here, we
    addressed this question by combining CNN-based encoding models with magnetoencephalography (MEG).
    Human participants passively viewed 1,000 images of objects while MEG signals were acquired. We modelled
    their high temporal resolution source-reconstructed cortical activity with CNNs, and observed a feed-forward
    sweep across the visual hierarchy between 75 and 200 ms after stimulus onset. This spatiotemporal cascade
    was captured by the network layer representations, where the increasingly abstract stimulus representation in the
    hierarchical network model was reflected in different parts of the visual cortex, following the visual ventral
    stream. We further validated the accuracy of our encoding model by decoding stimulus identity in a left-out
    validation set of viewed objects, achieving state-of-the-art decoding accuracy.
  • Segaert, K., Mazaheri, A., & Hagoort, P. (2018). Binding language: Structuring sentences through precisely timed oscillatory mechanisms. European Journal of Neuroscience, 48(7), 2651-2662. doi:10.1111/ejn.13816.

    Abstract

    Syntactic binding refers to combining words into larger structures. Using EEG, we investigated the neural processes involved in syntactic binding. Participants were auditorily presented two-word sentences (i.e. pronoun and pseudoverb such as ‘I grush’, ‘she grushes’, for which syntactic binding can take place) and wordlists (i.e. two pseudoverbs such as ‘pob grush’, ‘pob grushes’, for which no binding occurs). Comparing these two conditions, we targeted syntactic binding while minimizing contributions of semantic binding and of other cognitive processes such as working memory. We found a converging pattern of results using two distinct analysis approaches: one approach using frequency bands as defined in previous literature, and one data-driven approach in which we looked at the entire range of frequencies between 3-30 Hz without the constraints of pre-defined frequency bands. In the syntactic binding (relative to the wordlist) condition, a power increase was observed in the alpha and beta frequency range shortly preceding the presentation of the target word that requires binding, which was maximal over frontal-central electrodes. Our interpretation is that these signatures reflect that language comprehenders expect the need for binding to occur. Following the presentation of the target word in a syntactic binding context (relative to the wordlist condition), an increase in alpha power maximal over a left lateralized cluster of frontal-temporal electrodes was observed. We suggest that this alpha increase relates to syntactic binding taking place. Taken together, our findings suggest that increases in alpha and beta power are reflections of distinct the neural processes underlying syntactic binding.

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