Publications

Displaying 201 - 300 of 343
  • Liszkowski, U. (2006). Infant pointing at twelve months: Communicative goals, motives, and social-cognitive abilities. In N. J. Enfield, & S. C. Levinson (Eds.), Roots of human sociality: culture, cognition and interaction (pp. 153-178). New York: Berg.
  • Liszkowski, U. (2014). Pointing. In P. Brooks, & V. Kempe (Eds.), Encyclopedia of language development (Vol. 15) (pp. 471-473). London: Sage.
  • Majid, A., van Leeuwen, T., & Dingemanse, M. (2009). Synaesthesia: A cross-cultural pilot. In A. Majid (Ed.), Field manual volume 12 (pp. 8-13). Nijmegen: Max Planck Institute for Psycholinguistics. doi:10.17617/2.883570.

    Abstract

    Synaesthesia is a condition in which stimulation of one sensory modality (e.g. hearing) causes additional experiences in a second, unstimulated modality (e.g. seeing colours). The goal of this task is to explore the types (and incidence) of synaesthesia in different cultures. Two simple tests can ascertain the existence of synaesthesia in your community.

    Additional information

    2009_Synaesthesia_audio_files.zip
  • Majid, A. (2012). A guide to stimulus-based elicitation for semantic categories. In N. Thieberger (Ed.), The Oxford handbook of linguistic fieldwork (pp. 54-71). New York: Oxford University Press.
  • Marti, M., Alhama, R. G., & Recasens, M. (2012). Los avances tecnológicos y la ciencia del lenguaje. In T. Jiménez Juliá, B. López Meirama, V. Vázquez Rozas, & A. Veiga (Eds.), Cum corde et in nova grammatica. Estudios ofrecidos a Guillermo Rojo (pp. 543-553). Santiago de Compostela: Universidade de Santiago de Compostela.

    Abstract

    La ciencia moderna nace de la conjunción entre postulados teóricos y el desarrollo de una infraestructura tecnológica que permite observar los hechos de manera adecuada, realizar experimentos y verificar las hipótesis. Desde Galileo, ciencia y tecnología han avanzado conjuntamente. En el mundo occidental, la ciencia ha evolucionado desde pro-puestas puramente especulativas (basadas en postulados apriorísticos) hasta el uso de métodos experimentales y estadísticos para explicar mejor nuestras observaciones. La tecnología se hermana con la ciencia facilitando al investigador una aproximación adecuada a los hechos que pretende explicar. Así, Galileo, para observar los cuerpos celestes, mejoró el utillaje óptico, lo que le permitió un acercamiento más preciso al objeto de estudio y, en consecuencia, unos fundamentos más sólidos para su propuesta teórica. De modo similar, actualmente el desarrollo tecnológico digital ha posibilitado la extracción masiva de datos y el análisis estadístico de éstos para verificar las hipótesis de partida: la lingüística no ha podido dar el paso desde la pura especulación hacia el análisis estadístico de los hechos hasta la aparición de las tecnologías digitales.
  • Martins, M., Raju, A., & Ravignani, A. (2014). Evaluating the role of quantitative modeling in language evolution. In L. McCrohon, B. Thompson, T. Verhoef, & H. Yamauchi (Eds.), The Past, Present and Future of Language Evolution Research: Student volume of the 9th International Conference on the Evolution of Language (pp. 84-93). Tokyo: EvoLang9 Organising Committee.

    Abstract

    Models are a flourishing and indispensable area of research in language evolution. Here we
    highlight critical issues in using and interpreting models, and suggest viable approaches. First,
    contrasting models can explain the same data and similar modelling techniques can lead to
    diverging conclusions. This should act as a reminder to use the extreme malleability of
    modelling parsimoniously when interpreting results. Second, quantitative techniques similar to
    those used in modelling language evolution have proven themselves inadequate in other
    disciplines. Cross-disciplinary fertilization is crucial to avoid mistakes which have previously
    occurred in other areas. Finally, experimental validation is necessary both to sharpen models'
    hypotheses, and to support their conclusions. Our belief is that models should be interpreted as
    quantitative demonstrations of logical possibilities, rather than as direct sources of evidence.
    Only an integration of theoretical principles, quantitative proofs and empirical validation can
    allow research in the evolution of language to progress.
  • Matic, D. (2014). Clues to information structure in field data. In D. El Zarka, & S. Heidinger (Eds.), Methodological Issues in the Study of Information Structure (pp. 25-42). Graz: Graz University Press.
  • Matić, D., Van Gijn, R., & Van Valin Jr., R. D. (2014). Information structure and reference tracking in complex sentences: An overview. In R. van Gijn, J. Hammond, D. Matić, S. van Putten, & A. Galucio (Eds.), Information structure and reference tracking in complex sentences. (pp. 1-42). Amsterdam: Benjamins.

    Abstract

    This volume is dedicated to exploring the crossroads where complex sentences and information management – more specifically information structure (IS) and reference tracking (RT) – come together. Complex sentences are a highly relevant but understudied domain for studying notions of IS and RT. On the one hand, a complex sentence can be studied as a mini-unit of discourse consisting of two or more elements describing events, situations, or processes, with its own internal information-structural and referential organisation. On the other hand, complex sentences can be studied as parts of larger discourse structures, such as narratives or conversations, in terms of how their information-structural characteristics relate to this wider context.We first focus on the interrelatedness of IS and RT (Section 1) and then define and discuss the notion of complex sentences and their subtypes in Section 2. Section 3 surveys issues of IS in complex sentences, while Section 4 focuses on RT in complex sentences. Sections 5 and 6 briefly consider IS and RT in a wider discourse context. Section 5 discusses the interaction between IS, RT, and other discourse factors, and Section 6 focuses on ways in which a specific RT system, switch reference, can function as an RT device beyond the sentence.
  • Matić, D. (2014). Questions and syntactic islands in Tundra Yukaghir. In R. van Gijn, J. Hammond, D. Matić, S. van Putten, & A. Galucio (Eds.), Information structure and reference tracking in complex sentences (pp. 127-162). Amsterdam: Benjamins.

    Abstract

    No island effects are observable in Tundra Yukaghir questions, which are possible in virtually all syntactic environments. It is argued that this feature of Tundra Yukaghir relates to its capability of explicitly marking focus domains. If a question word occurs in a syntactic island, the whole island is morphologically treated as a focus domain. In order to take scope and function as question markers, question words must remain within the focus domain, i.e. in the island clause. This syntactic configuration is reflected in the semantics of question islands, which are used to inquire about the identity of the whole island, not merely the denotation of the question word.
  • McDonough, L., Choi, S., Bowerman, M., & Mandler, J. M. (1998). The use of preferential looking as a measure of semantic development. In C. Rovee-Collier, L. P. Lipsitt, & H. Hayne (Eds.), Advances in Infancy Research. Volume 12. (pp. 336-354). Stamford, CT: Ablex Publishing.
  • McQueen, J. M., & Cutler, A. (1998). Morphology in word recognition. In A. M. Zwicky, & A. Spencer (Eds.), The handbook of morphology (pp. 406-427). Oxford: Blackwell.
  • Merolla, D., & Ameka, F. K. (2012). Reflections on video fieldwork: The making of Verba Africana IV on the Ewe Hogbetsotso Festival. In D. Merolla, J. Jansen, & K. Nait-Zerrad (Eds.), Multimedia research and documentation of oral genres in Africa - The step forward (pp. 123-132). Münster: Lit.
  • Mickan, A., Schiefke, M., & Anatol, S. (2014). Key is a llave is a Schlüssel: A failure to replicate an experiment from Boroditsky et al. 2003. In M. Hilpert, & S. Flach (Eds.), Yearbook of the German Cognitive Linguistics Association (pp. 39-50). Berlin: Walter de Gruyter. doi:doi.org/10.1515/gcla-2014-0004.

    Abstract

    In this paper, we present two attempts to replicate a widely-cited but never fully published experiment in which German and Spanish speakers were asked to associate adjectives with nouns of masculine and feminine grammati-cal gender (Boroditsky et al. 2003). The researchers claim that speakers associ-ated more stereotypically female adjectives with grammatically feminine nouns and more stereotypically male adjectives with grammatically masculine nouns. We were not able to replicate the results either in a word association task or in an analogous primed lexical decision task. This suggests that the results of the original experiment were either an artifact of some non-documented aspect of the experimental procedure or a statistical fluke. The question whether speakers assign sex-based interpretations to grammatical gender categories at all cannot be answered definitively, as the results in the published literature vary consider-ably. However, our experiments show that if such an effect exists, it is not strong enough to be measured indirectly via the priming of adjectives by nouns.
  • Mitterer, H., & Cutler, A. (2006). Speech perception. In K. Brown (Ed.), Encyclopedia of Language and Linguistics (vol. 11) (pp. 770-782). Amsterdam: Elsevier.

    Abstract

    The goal of speech perception is understanding a speaker's message. To achieve this, listeners must recognize the words that comprise a spoken utterance. This in turn implies distinguishing these words from other minimally different words (e.g., word from bird, etc.), and this involves making phonemic distinctions. The article summarizes research on the perception of phonemic distinctions, on how listeners cope with the continuity and variability of speech signals, and on how phonemic information is mapped onto the representations of words. Particular attention is paid to theories of speech perception and word recognition.
  • Moulin, C. A., Souchay, C., Bradley, R., Buchanan, S., Karadöller, D. Z., & Akan, M. (2014). Déjà vu in older adults. In B. L. Schwartz, & A. S. Brown (Eds.), Tip-of-the-tongue states and related phenomena (pp. 281-304). Cambridge: Cambridge University Press.
  • Muysken, P., Hammarström, H., Birchall, J., Danielsen, S., Eriksen, L., Galucio, A. V., Van Gijn, R., Van de Kerke, S., Kolipakam, V., Krasnoukhova, O., Müller, N., & O'Connor, L. (2014). The languages of South America: Deep families, areal relationships, and language contact. In P. Muysken, & L. O'Connor (Eds.), Language contact in South America (pp. 299-323). Cambridge: Cambridge University Press.
  • Narasimhan, B., & Brown, P. (2009). Getting the inside story: Learning to talk about containment in Tzeltal and Hindi. In V. C. Mueller-Gathercole (Ed.), Routes to language: Studies in honor of Melissa Bowerman (pp. 97-132). New York: Psychology Press.

    Abstract

    The present study examines young children's uses of semantically specific and general relational containment terms (e.g. in, enter) in Hindi and Tzeltal, and the extent to which their usage patterns are influenced by input frequency. We hypothesize that if children have a preference for relational terms that are semantically specific, this will be reflected in early acquisition of more semantically specific expressions and underextension of semantically general ones, regardless of the distributional patterns of use of these terms in the input. Our findings however show a strong role for input frequency in guiding children's patterns of use of containment terms in the two languages. Yet language-specific lexicalization patterns play a role as well, since object-specific containment verbs are used as early as the semantically general 'enter' verb by children acquiring Tzeltal.
  • Narasimhan, B., Kopecka, A., Bowerman, M., Gullberg, M., & Majid, A. (2012). Putting and taking events: A crosslinguistic perspective. In A. Kopecka, & B. Narasimhan (Eds.), Events of putting and taking: A crosslinguistic perspective (pp. 1-18). Amsterdam: Benjamins.
  • Narasimhan, B. (2012). Putting and Taking in Tamil and Hindi. In A. Kopecka, & B. Narasimhan (Eds.), Events of putting and taking: A crosslinguistic perspective (pp. 201-230). Amsterdam: Benjamins.

    Abstract

    Many languages have general or “light” verbs used by speakers to describe a wide range of situations owing to their relatively schematic meanings, e.g., the English verb do that can be used to describe many different kinds of actions, or the verb put that labels a range of types of placement of objects at locations. Such semantically bleached verbs often become grammaticalized and used to encode an extended (set of) meaning(s), e.g., Tamil veyyii ‘put/place’ is used to encode causative meaning in periphrastic causatives (e.g., okkara veyyii ‘make sit’, nikka veyyii ‘make stand’). But do general verbs in different languages have the same kinds of (schematic) meanings and extensional ranges? Or do they reveal different, perhaps even cross-cutting, ways of structuring the same semantic domain in different languages? These questions require detailed crosslinguistic investigation using comparable methods of eliciting data. The present study is a first step in this direction, and focuses on the use of general verbs to describe events of placement and removal in two South Asian languages, Hindi and Tamil.
  • Noordman, L. G., & Vonk, W. (1998). Discourse comprehension. In A. D. Friederici (Ed.), Language comprehension: a biological perspective (pp. 229-262). Berlin: Springer.

    Abstract

    The human language processor is conceived as a system that consists of several interrelated subsystems. Each subsystem performs a specific task in the complex process of language comprehension and production. A subsystem receives a particular input, performs certain specific operations on this input and yields a particular output. The subsystems can be characterized in terms of the transformations that relate the input representations to the output representations. An important issue in describing the language processing system is to identify the subsystems and to specify the relations between the subsystems. These relations can be conceived in two different ways. In one conception the subsystems are autonomous. They are related to each other only by the input-output channels. The operations in one subsystem are not affected by another system. The subsystems are modular, that is they are independent. In the other conception, the different subsystems influence each other. A subsystem affects the processes in another subsystem. In this conception there is an interaction between the subsystems.
  • Nordhoff, S., & Hammarström, H. (2014). Archiving grammatical descriptions. In P. K. Austin (Ed.), Language Documentation and Description. Vol. 12 (pp. 164-186). London: SOAS.
  • Nouaouri, N. (2012). The semantics of placement and removal predicates in Moroccan Arabic. In A. Kopecka, & B. Narasimhan (Eds.), Events of putting and taking: A crosslinguistic perspective (pp. 99-122). Amsterdam: Benjamins.

    Abstract

    This article explores the expression of placement and removal events in Moroccan Arabic, particularly the semantic features of ‘putting’ and ‘taking’ verbs, classified in accordance with their combination with Goal and/or Source NPs. Moroccan Arabic verbs encode a variety of components of placement and removal events, including containment, attachment, features of the figure, and trajectory. Furthermore, accidental events are distinguished from deliberate events either by the inherent semantics of predicates or denoted syntactically. The postures of the Figures, in spite of some predicates distinguishing them, are typically not specified as they are in other languages, such as Dutch. Although Ground locations are frequently mentioned in both source-oriented and goal-oriented clauses, they are used more often in goal-oriented clauses.
  • O'Connor, L. (2006). Sobre los predicados complejos en el Chontal de la baja. In A. Oseguera (Ed.), Historia y etnografía entre los Chontales de Oaxaca (pp. 119-161). Oaxaca: Instituto Nacional de Antroplogía e Historia.
  • O'Connor, L., & Kolipakam, V. (2014). Human migrations, dispersals, and contacts in South America. In L. O'Connor, & P. Muysken (Eds.), The native languages of South America: Origins, development, typology (pp. 29-55). Cambridge: Cambridge University Press.
  • O’Connor, L. (2012). Take it up, down, and away: Encoding placement and removal in Lowland Chontal. In A. Kopecka, & B. Narasimhan (Eds.), Events of putting and taking: A crosslinguistic perspective (pp. 297-326). Amsterdam: Benjamins.

    Abstract

    This paper offers a structural and semantic analysis of expressions of caused motion in Lowland Chontal of Oaxaca, an indigenous language of southern Mexico. The data were collected using a video stimulus designed to elicit a wide range of caused motion event descriptions. The most frequent event types in the corpus depict caused motion to and from relations of support and containment, fundamental notions in the de­scription of spatial relations between two entities and critical semantic components of the linguistic encoding of caused motion in this language. Formal features of verbal construction type and argument realization are examined by sorting event descriptions into semantic types of placement and removal, to and from support and to and from containment. Together with typological factors that shape the distribution of spatial semantics and referent expression, separate treatments of support and containment relations serve to clarify notable asymmetries in patterns of predicate type and argument realization.
  • Ozyurek, A. (2012). Gesture. In R. Pfau, M. Steinbach, & B. Woll (Eds.), Sign language: An international handbook (pp. 626-646). Berlin: Mouton.

    Abstract

    Gestures are meaningful movements of the body, the hands, and the face during communication,
    which accompany the production of both spoken and signed utterances. Recent
    research has shown that gestures are an integral part of language and that they contribute
    semantic, syntactic, and pragmatic information to the linguistic utterance. Furthermore,
    they reveal internal representations of the language user during communication in ways
    that might not be encoded in the verbal part of the utterance. Firstly, this chapter summarizes
    research on the role of gesture in spoken languages. Subsequently, it gives an overview
    of how gestural components might manifest themselves in sign languages, that is,
    in a situation in which both gesture and sign are expressed by the same articulators.
    Current studies are discussed that address the question of whether gestural components are the same or different in the two language modalities from a semiotic as well as from a cognitive and processing viewpoint. Understanding the role of gesture in both sign and
    spoken language contributes to our knowledge of the human language faculty as a multimodal communication system.
  • Peeters, D., Vanlangendonck, F., & Willems, R. M. (2012). Bestaat er een talenknobbel? Over taal in ons brein. In M. Boogaard, & M. Jansen (Eds.), Alles wat je altijd al had willen weten over taal: De taalcanon (pp. 41-43). Amsterdam: Meulenhoff.

    Abstract

    Wanneer iemand goed is in het spreken van meerdere talen, wordt wel gezegd dat zo iemand een talenknobbel heeft. Iedereen weet dat dat niet letterlijk bedoeld is: iemand met een talenknobbel herkennen we niet aan een grote bult op zijn hoofd. Toch dacht men vroeger wel degelijk dat mensen een letterlijke talenknobbel konden ontwikkelen. Een goed ontwikkeld taalvermogen zou gepaard gaan met het groeien van het hersengebied dat hiervoor verantwoordelijk was. Dit deel van het brein zou zelfs zo groot kunnen worden dat het van binnenuit tegen de schedel drukte, met name rond de ogen. Nu weten we wel beter. Maar waar in het brein bevindt de taal zich dan wel precies?
  • Perniss, P. M. (2012). Use of sign space. In R. Pfau, M. Steinbach, & B. Woll (Eds.), Sign Language: an International Handbook (pp. 412-431). Berlin: Mouton de Gruyter.

    Abstract

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

    Abstract

    In Kalasha, an Indo-Aryan language spoken in Northwest Pakistan, the linguistic encoding of ‘put’ and ‘take’ events reveals a symmetry between lexical ‘put’ and ‘take’ verbs that implies ‘placement on’ and ‘removal from’ a supporting surface. As regards ‘placement in’ and ‘removal from’ an enclosure, the data reveal a lexical asymmetry as ‘take’ verbs display a larger degree of linguistic elaboration of the Figure-Ground relation and the type of caused motion than ‘put’ verbs. When considering syntactic patterns, more instances of asymmetry between these two event types show up. The analysis presented here supports the proposal that an asymmetry exists in the encoding of goals versus sources as suggested in Nam (2004) and Ikegami (1987), but it calls into question the statement put forward by Regier and Zheng (2007) that endpoints (goals) are more finely differentiated semantically than starting points (sources).
  • Petersson, K. M., & Reis, A. (2006). Characteristics of illiterate and literate cognitive processing: Implications of brain- behavior co-constructivism. In P. B. Baltes, P. Reuter-Lorenz, & F. Rösler (Eds.), Lifespan development and the brain: The perspective of biocultural co-constructivism (pp. 279-305). Cambridge: Cambridge University Press.

    Abstract

    Literacy and education represent essential aspects of contemporary society and subserve important aspects of socialization and cultural transmission. The study of illiterate subjects represents one approach to investigate the interactions between neurobiological and cultural factors in cognitive development, individual learning, and their influence on the functional organization of the brain. In this chapter we review some recent cognitive, neuroanatomic, and functional neuroimaging results indicating that formal education influences important aspects of the human brain. Taken together this provides strong support for the idea that the brain is modulated by literacy and formal education, which in turn change the brains capacity to interact with its environment, including the individual's contemporary culture. In other words, the individual is able to participate in, interact with, and actively contribute to the process of cultural transmission in new ways through acquired cognitive skills.
  • Petersson, K. M., Ingvar, M., & Reis, A. (2009). Language and literacy from a cognitive neuroscience perspective. In D. Olsen, & N. Torrance (Eds.), Cambridge handbook of literacy (pp. 152-181). Cambridge: Cambridge University Press.
  • Poletiek, F. H. (2006). Natural sampling of stimuli in (artificial) grammar learning. In K. Fiedler, & P. Juslin (Eds.), Information sampling and adaptive cognition (pp. 440-455). Cambridge: Cambridge University Press.
  • Puccini, D., Hassemer, M., Salomo, D., & Liszkowski, U. (2012). The type of shared activity shapes caregiver and infant communication [Reprint]. In J.-M. Colletta, & M. Guidetti (Eds.), Gesture and multimodal development (pp. 157-174). Amsterdam: John Benjamins.

    Abstract

    For the beginning language learner, communicative input is not based on linguistic codes alone. This study investigated two extralinguistic factors which are important for infants’ language development: the type of ongoing shared activity and non-verbal, deictic gestures. The natural interactions of 39 caregivers and their 12-month-old infants were recorded in two semi-natural contexts: a free play situation based on action and manipulation of objects, and a situation based on regard of objects, broadly analogous to an exhibit. Results show that the type of shared activity structures both caregivers’ language usage and caregivers’ and infants’ gesture usage. Further, there is a specific pattern with regard to how caregivers integrate speech with particular deictic gesture types. The findings demonstrate a pervasive influence of shared activities on human communication, even before language has emerged. The type of shared activity and caregivers’ systematic integration of specific forms of deictic gestures with language provide infants with a multimodal scaffold for a usage-based acquisition of language.
  • Rakoczy, H., & Haun, D. B. M. (2012). Vor- und nichtsprachliche Kognition. In W. Schneider, & U. Lindenberger (Eds.), Entwicklungspsychologie. 7. vollständig überarbeitete Auflage (pp. 337-362). Weinheim: Beltz Verlag.
  • Ramus, F., & Fisher, S. E. (2009). Genetics of language. In M. S. Gazzaniga (Ed.), The cognitive neurosciences, 4th ed. (pp. 855-871). Cambridge, MA: MIT Press.

    Abstract

    It has long been hypothesised that the human faculty to acquire a language is in some way encoded in our genetic program. However, only recently has genetic evidence been available to begin to substantiate the presumed genetic basis of language. Here we review the first data from molecular genetic studies showing association between gene variants and language disorders (specific language impairment, speech sound disorder, developmental dyslexia), we discuss the biological function of these genes, and we further speculate on the more general question of how the human genome builds a brain that can learn a language.
  • Rapold, C. J., & Zaugg-Coretti, S. (2009). Exploring the periphery of the central Ethiopian Linguistic area: Data from Yemsa and Benchnon. In J. Crass, & R. Meyer (Eds.), Language contact and language change in Ethiopia (pp. 59-81). Köln: Köppe.
  • Rapold, C. J. (2012). The encoding of placement and removal events in ǂAkhoe Haiǁom. In A. Kopecka, & B. Narasimhan (Eds.), Events of putting and taking: A crosslinguistic perspective (pp. 79-98). Amsterdam: Benjamins.

    Abstract

    This paper explores the semantics of placement and removal verbs in Ākhoe Hai om based on event descriptions elicited with a set of video stimuli. After a brief sketch of the morphosyntax of placement/removal constructions in Ākhoe Haiom, four situation types are identified semantically that cover both placement and removal events. The language exhibits a clear tendency to make more fine-grained semantic distinctions in placement verbs, as opposed to semantically more general removal verbs.
  • Reesink, G. (2009). A connection between Bird's Head and (Proto) Oceanic. In B. Evans (Ed.), Discovering history through language, papers in honor of Malcolm Ross (pp. 181-192). Canberra: Pacific Linguistics.
  • Reesink, G. (2014). Topic management and clause combination in the Papuan language Usan. In R. Van Gijn, J. Hammond, D. Matic, S. van Putten, & A.-V. Galucio (Eds.), Information Structure and Reference Tracking in Complex Sentences. (pp. 231-262). Amsterdam: John Benjamins.

    Abstract

    This chapter describes topic management in the Papuan language Usan. The notion of ‘topic’ is defined by its pre-theoretical meaning ‘what someone’s speech is about’. This notion cannot be restricted to simple clausal or sentential constructions, but requires the wider context of long stretches of natural text. The tracking of a topic is examined in its relationship to clause combining mechanisms. Coordinating clause chaining with its switch reference mechanism is contrasted with subordinating strategies called ‘domain-creating’ constructions. These different strategies are identified by language-specific signals, such as intonation and morphosyntactic cues like nominalizations and scope of negation and other modalities.
  • Rietveld, T., & Chen, A. (2006). How to obtain and process perceptual judgements of intonational meaning. In S. Sudhoff, D. Lenertová, R. Meyer, S. Pappert, P. Augurzky, I. Mleinek, N. Richter, & J. Schliesser (Eds.), Methods in empirical prosody research (pp. 283-319). Berlin: Mouton de Gruyter.
  • Roberts, S. G. (2014). Monolingual Biases in Simulations of Cultural Transmission. In V. Dignum, & F. Dignum (Eds.), Perspectives on Culture and Agent-based Simulations (pp. 111-125). Cham: Springer. doi:10.1007/978-3-319-01952-9_7.

    Abstract

    Recent research suggests that the evolution of language is affected by the inductive biases of its learners. I suggest that there is an implicit assumption that one of these biases is to expect a single linguistic system in the input. Given the prevalence of bilingual cultures, this may not be a valid abstraction. This is illustrated by demonstrating that the ‘minimal naming game’ model, in which a shared lexicon evolves in a population of agents, includes an implicit mutual exclusivity bias. Since recent research suggests that children raised in bilingual cultures do not exhibit mutual exclusivity, the individual learning algorithm of the agents is not as abstract as it appears to be. A modification of this model demonstrates that communicative success can be achieved without mutual exclusivity. It is concluded that complex cultural phenomena, such as bilingualism, do not necessarily result from complex individual learning mechanisms. Rather, the cultural process itself can bring about this complexity.
  • Roberts, S. G., & Quillinan, J. (2014). The Chimp Challenge: Working memory in chimps and humans. In L. McCrohon, B. Thompson, T. Verhoef, & H. Yamauchi (Eds.), The Past, Present and Future of Language Evolution Research: Student volume of the 9th International Conference on the Evolution of Language (pp. 31-39). Tokyo: EvoLang9 Organising Committee.

    Abstract

    Matsuzawa (2012) presented work at Evolang demonstrating the working memory abilities of chimpanzees. (Inoue & Matsuzawa, 2007) found that chimpanzees can correctly remember the location of 9 randomly arranged numerals displayed for 210ms - shorter than an average human eye saccade. Humans, however, perform poorly at this task. Matsuzawa suggests a semantic link hypothesis: while chimps have good visual, eidetic memory, humans are good at symbolic associations. The extra information in the semantic, linguistic links that humans possess increase the load on working memory and make this task difficult for them. We were interested to see if a wider search could find humans that matched the performance of the chimpanzees. We created an online version of the experiment and challenged people to play. We also attempted to run a non-semantic version of the task to see if this made the task easier. We found that, while humans can perform better than Inoue and Matsuzawa (2007) suggest, chimpanzees can perform better still. We also found no evidence to support the semantic link hypothesis.
  • Roberts, L. (2012). Sentence and discourse processing in second language comprehension. In C. A. Chapelle (Ed.), Encyclopedia of Applied Linguistics. Chicester: Wiley-Blackwell. doi:10.1002/9781405198431.wbeal1063.

    Abstract

    n applied linguistics (AL), researchers have always been concerned with second language (L2) learners' knowledge of the target language (TL), investigating the development of TL grammar, vocabulary, and phonology, for instance.
  • Rossano, F., Brown, P., & Levinson, S. C. (2009). Gaze, questioning and culture. In J. Sidnell (Ed.), Conversation analysis: Comparative perspectives (pp. 187-249). Cambridge University Press.

    Abstract

    Relatively little work has examined the function of gaze in interaction. Previous research has mainly addressed issues such as next speaker selection (e.g. Lerner 2003) or engagement and disengagement in the conversation (Goodwin 1981). It has looked for gaze behavior in relation to the roles participants are enacting locally, (e.g., speaker or hearer) and in relation to the unit “turn” in the turn taking system (Goodwin 1980, 1981; Kendon 1967). In his seminal work Kendon (1967) claimed that “there is a very clear and quite consistent pattern, namely, that [the speaker] tends to look away as he begins a long utterance, and in many cases somewhat in advance of it; and that he looks up at his interlocutor as the end of the long utterance approaches, usually during the last phase, and he continues to look thereafter.” Goodwin (Goodwin 1980) introducing the listener into the picture proposed the following two rules: Rule1: A speaker should obtain the gaze of his recipient during the course of a turn of talk. Rule2: a recipient should be gazing at the speaker when the speaker is gazing at the hearer. Rossano’s work (2005) has suggested the possibility of a different level of order for gaze in interaction: the sequential level. In particular he found that gaze withdrawal after sustained mutual gaze tends to occur at sequence possible completion and if both participants withdraw the sequence is complete. By sequence here we refer to a unit that is structured around the notion of adjacency pair. The latter refers to two turns uttered by different speakers orderly organized (first part and second part) and pair type related (greeting-greeting, question-answer). These two turns are related by conditional relevance (Schegloff 1968) that is to say that the first part requires the production of the second and the absence of the latter is noticeable and accountable. Question-anwers are very typical examples of adjacency pairs. In this paper we compare the use of gaze in question-answer sequences in three different populations: Italians, speakers of Mayan Tzeltal (Mexico) and speakers of Yeli Ndye (Russel Island, Papua New Guinea). Relying mainly on dyadic interactions and ordinary conversation we will provide a comparison of the occurrence of gaze in each turn (to compare with the claims of Goodwin and Kendon) and we will describe whether gaze has any effect on the other participant response and whether it persists also during the answer. The three languages and cultures that will be compared here belong to three different continents and have been previously described as potentially following opposite rules: for speakers of Italian and Yeli Ndye unproblematic and preferred engagement of mutual gaze while for speakers of Tzeltal strong mutual gaze avoidance. This paper tries to provide an accurate description of their gaze behavior in this specific type of sequential conversation.
  • Rossi, G. (2014). When do people not use language to make requests? In P. Drew, & E. Couper-Kuhlen (Eds.), Requesting in social interaction (pp. 301-332). Amsterdam: John Benjamins.

    Abstract

    In everyday joint activities (e.g. playing cards, preparing potatoes, collecting empty plates), participants often request others to pass, move or otherwise deploy objects. In order to get these objects to or from the requestee, requesters need to manipulate them, for example by holding them out, reaching for them, or placing them somewhere. As they perform these manual actions, requesters may or may not accompany them with language (e.g. Take this potato and cut it or Pass me your plate). This study shows that adding or omitting language in the design of a request is influenced in the first place by a criterion of recognition. When the requested action is projectable from the advancement of an activity, presenting a relevant object to the requestee is enough for them to understand what to do; when, on the other hand, the requested action is occasioned by a contingent development of the activity, requesters use language to specify what the requestee should do. This criterion operates alongside a perceptual criterion, to do with the affordances of the visual and auditory modality. When the requested action is projectable but the requestee is not visually attending to the requester’s manual behaviour, the requester can use just enough language to attract the requestee’s attention and secure immediate recipiency. This study contributes to a line of research concerned with the organisation of verbal and nonverbal resources for requesting. Focussing on situations in which language is not – or only minimally – used, it demonstrates the role played by visible bodily behaviour and by the structure of everyday activities in the formation and understanding of requests.
  • Rowland, C. F., Noble, C. H., & Chan, A. (2014). Competition all the way down: How children learn word order cues to sentence meaning. In B. MacWhinney, A. Malchukov, & E. Moravcsik (Eds.), Competing Motivations in Grammar and Usage (pp. 125-143). Oxford: Oxford University Press.

    Abstract

    Most work on competing cues in language acquisition has focussed on what happens when cues compete within a certain construction. There has been far less work on what happens when constructions themselves compete. The aim of the present chapter was to explore how the acquisition mechanism copes when constructions compete in a language. We present three experimental studies, all of which focus on the acquisition of the syntactic function of word order as a marker of the Theme-Recipient relation in ditransitives (form-meaning mapping). In Study 1 we investigated how quickly English children acquire form-meaning mappings when there are two competing structures in the language. We demonstrated that English speaking 4-year- olds, but not 3-year-olds, correctly interpreted both preposition al and double object datives, assigning Theme and Recipient participant roles on the basis of word order cues. There was no advantage for the double object dative despite its greater frequency in child directed speech. In Study 2 we looked at acquisition in a language which has no dative alternation –Welsh–to investigate how quickly children acquire form-meaning mapping when there is no competing structure. We demonstrated that Welsh children (Study 2) acquired the prepositional dative at age 3 years, which was much earlier than English children. Finally, in Study 3 we examined bei2 (give) ditransitives in Cantonese, to investigate what happens when there is no dative alternation (as in Welsh), but when the child hears alternative, and possibly competing, word orders in the input. Like the English 3-year-olds, the Cantonese 3-year-olds had not yet acquired the word order marking constraints of bei2 ditransitives. We conclude that there is not only competition between cues but competition between constructions in language acquisition. We suggest an extension to the competition model (Bates & MacWhinney, 1982) whereby generalisations take place across constructions as easily as they take place within constructions, whenever there are salient similarities to form the basis of the generalisation.
  • De Ruiter, J. P., Noordzij, M. L., Newman-Norlund, S., Newman-Norlund, R., Hagoort, P., Levinson, S. C., & Toni, I. (2012). Exploring the cognitive infrastructure of communication. In B. Galantucci, & S. Garrod (Eds.), Experimental Semiotics: Studies on the emergence and evolution of human communication (pp. 51-78). Amsterdam: Benjamins.

    Abstract

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

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  • Salomo, D., & Liszkowski, U. (2009). Socialisation of prelinguistic communication. In A. Majid (Ed.), Field manual volume 12 (pp. 56-57). Nijmegen: Max Planck Institute for Psycholinguistics. doi:10.17617/2.844597.

    Abstract

    Little is known about cultural differences in interactional practices with infants. The goal of this task is to document the nature and emergence of caregiver-infant interaction/ communication in different cultures. There are two tasks: Task 1 – a brief documentation about the culture under investigation with respect to infant-caregiver interaction and parental beliefs. Task 2 – the “decorated room”, a task designed to elicit infant and caregiver.
  • Sankoff, G., & Brown, P. (2009). The origins of syntax in discourse: A case study of Tok Pisin relatives [reprint of 1976 article in Language]. In J. Holm, & S. Michaelis (Eds.), Contact languages (vol. II) (pp. 433-476). London: Routledge.
  • Sauter, D. (2009). Emotion concepts. In A. Majid (Ed.), Field manual volume 12 (pp. 20-30). Nijmegen: Max Planck Institute for Psycholinguistics. doi:10.17617/2.883578.

    Abstract

    The goal of this task is to investigate emotional categories across linguistic and cultural boundaries. There are three core tasks. In order to conduct this task you will need emotional vocalisation stimuli on your computer and you must translate the scenarios at the end of this entry into your local language.
  • Schimke, S. (2009). Does finiteness mark assertion? A picture selection study with Turkish learners and native speakers of German. In C. Dimroth, & P. Jordens (Eds.), Functional categories in learner language (pp. 169-202). Berlin: Mouton de Gruyter.
  • Schimke, S., Verhagen, J., & Turco, G. (2012). The different role of additive and negative particles in the development of finiteness in early adult L2 German and L2 Dutch. In M. Watorek, S. Benazzo, & M. Hickmann (Eds.), Comparative perspectives on language acquisition: A tribute to Clive Perdue (pp. 73-91). Bristol: Multilingual Matters.
  • Schoffelen, J.-M., & Gross, J. (2014). Studying dynamic neural interactions with MEG. In S. Supek, & C. J. Aine (Eds.), Magnetoencephalography: From signals to dynamic cortical networks (pp. 405-427). Berlin: Springer.
  • Scott, S. K., Sauter, D., & McGettigan, C. (2009). Brain mechanisms for processing perceived emotional vocalizations in humans. In S. M. Brudzynski (Ed.), Handbook of mammalian vocalization: An integrative neuroscience approach (pp. 187-198). London: Academic Press.

    Abstract

    Humans express emotional information in their facial expressions and body movements, as well as in their voice. In this chapter we consider the neural processing of a specific kind of vocal expressions, non-verbal emotional vocalizations e.g. laughs and sobs. We outline evidence, from patient studies and functional imaging studies, for both emotion specific and more general processing of emotional information in the voice. We relate these findings to evidence for both basic and dimensional accounts of the representations of emotion. We describe in detail an fMRI study of positive and negative non-verbal expressions of emotion, which revealed that prefrontal areas involved in the control of oro-facial movements were also sensitive to different kinds of vocal emotional information.
  • Senft, G. (2006). Prolegomena to Kilivila grammar of space. In S. C. Levinson, & D. P. Wilkins (Eds.), Grammars of space: Explorations in cognitive diversity (pp. 206-229). Cambridge: Cambridge University Press.

    Abstract

    This paper presents preliminary remarks on some of the central linguistic means speakers of Kilivila use in expressing their conceptions of space and for referring to objects, persons, and events in space . After a brief characterisation of the language and its speakers, I sketch how specific topological relations are encoded, how motion events are described, and what frames of spatial reference are preferred in what contexts for what means and ends.
  • Senft, G. (2009). Bronislaw Kasper Malinowski. In G. Senft, J.-O. Östman, & J. Verschueren (Eds.), Culture and language use (pp. 210-225). Amsterdam: John Benjamins.
  • Senft, G. (2012). Das Erlernen von Fremdsprachen als Voraussetzung für erfolgreiche Feldforschung. In J. Kruse, S. Bethmann, D. Niermann, & C. Schmieder (Eds.), Qualitative Interviewforschung in und mit fremden Sprachen: Eine Einführung in Theorie und Praxis (pp. 121-135). Weinheim: Beltz Juventa.
  • Senft, G. (2009). Elicitation. In G. Senft, J.-O. Östman, & J. Verschueren (Eds.), Culture and language use (pp. 105-109). Amsterdam: John Benjamins.
  • Senft, G. (1998). 'Noble Savages' and the 'Islands of Love': Trobriand Islanders in 'Popular Publications'. In J. Wassmann (Ed.), Pacific answers to Western hegemony: Cultural practices of identity construction (pp. 119-140). Oxford: Berg Publishers.
  • Senft, G. (2012). 67 Wörter + 1 Foto für Roland Posner. In E. Fricke, & M. Voss (Eds.), 68 Zeichen für Roland Posner - Ein semiotisches Mosaik / 68 signs for Roland Posner - A semiotic mosaic (pp. 473-474). Tübingen: Stauffenberg Verlag.
  • Senft, G. (2009). Fieldwork. In G. Senft, J.-O. Östman, & J. Verschueren (Eds.), Culture and language use (pp. 131-139). Amsterdam: John Benjamins.
  • Senft, G. (2009). Linguistische Feldforschung. In H. M. Müller (Ed.), Arbeitsbuch Linguistik (2nd rev. ed., pp. 353-363). Paderborn: Schöningh UTB.

    Abstract

    This article provides a brief introduction into field research, its aims, its methods and the various phases of fieldwork.
  • Senft, G. (2009). Introduction. In G. Senft, J.-O. Östman, & J. Verschueren (Eds.), Culture and language use (pp. 1-17). Amsterdam: John Benjamins.
  • Senft, G. (2012). Ethnolinguistik. In B. Beer, & H. Fischer (Eds.), Ethnologie - Einführung und Überblick. 7. überarbeitete und erweiterte Auflage (pp. 271-286). Berlin: Reimer.
  • Senft, G. (2009). Phatic communion. In G. Senft, J.-O. Östman, & J. Verschueren (Eds.), Culture and language use (pp. 226-233). Amsterdam: John Benjamins.
  • Senft, G. (2012). Referring to colour and taste in Kilivila: Stability and change in two lexical domains of sensual perception. In A. C. Schalley (Ed.), Practical theories and empirical practice (pp. 71-98). Amsterdam: John Benjamins.

    Abstract

    This chapter first compares data collected on Kilivila colour terms in 1983 with data collected in 2008. The Kilivila lexicon has changed from a typical stage IIIb into a stage VII colour term lexicon (Berlin and Kay 1969). The chapter then compares data on the Kilivila taste vocabulary collected in 1982/83 with data collected in 2008. No substantial change was found. Finally the chapter compares the 2008 results on taste terms with a paper on the taste vocabulary of the Torres Strait Islanders published in 1904 by Charles S. Myers. Kilivila provides evidence that traditional terms used for talking about colour and terms used to refer to tastes have remained relatively stable over time.
  • Senft, G. (2009). Sind die emotionalen Gesichtsausdrücke des Menschen in allen Kulturen gleich? In Max Planck Society (Ed.), Max-Planck-Gesellschaft Jahrbuch 2008/09 Tätigkeitsberichte und Publikationen (DVD) (pp. 1-4). München: Max Planck Society for the Advancement of Science.

    Abstract

    This paper presents a project which tests the hypothesis of the universality of facial expressions of emotions crossculturally and crosslinguistically. First results are presented which contradict the hypothesis.
  • Senft, G. (1998). Zeichenkonzeptionen in Ozeanien. In R. Posner, T. Robering, & T.. Sebeok (Eds.), Semiotics: A handbook on the sign-theoretic foundations of nature and culture (Vol. 2) (pp. 1971-1976). Berlin: de Gruyter.
  • Senft, G. (2009). Trobriand Islanders' forms of ritual communication. In G. Senft, & E. B. Basso (Eds.), Ritual communication (pp. 81-101). Oxford: Berg.
  • Seuren, P. A. M. (2006). Sentence-oriented semantic approaches in generative grammar. In S. Auroux, E. Koerner, H. J. Niederehe, & K. Versteegh (Eds.), History of the Language Sciences: An International Handbook on the Evolution of the Study of Language from the Beginnings to the Present (pp. 2201-2213). Berlin: Walter de Gruyter.

    Abstract

    1. Introduction 2. A generative grammar as an algorithm 3. The semantic component 4. Bibliography 1. Introduction Throughout the 20th century up to the present day grammar and semantics have been uneasy bedfellows. A look at the historical background will make it clear how this curious situation came about. 20th-century linguistics has been characterized by an almost exclusive concern with the structure of words, word groups and sentences. This concern was reinforced, especially on the American side of the Atlantic, by the sudden rise and subsequent dominance of behaviorism during the 1920s. It started in psychology but quickly permeated all the human sciences, including linguistics, until the early 1960s, when it collapsed as suddenly as it had arisen.
  • Seuren, P. A. M. (2006). Presupposition. In K. Brown (Ed.), Encyclopedia of Language and Linguistics (vol. 10) (pp. 80-87). Amsterdam: Elsevier.

    Abstract

    Presupposition is a semantic device built into natural language to make sentences fit for use in certain contexts but not in others. A sentence carrying a presupposition thus evokes a context in which that presupposition is fulfilled. The study of presupposition was triggered by the behavior of natural language negation, which tends to preserve presuppositions either as invited inferences or as entailments. As the role of discourse became more apparent in semantics, presupposition began to be seen increasingly as a discourse-semantic phenomenon with consequences for the logic of language.
  • Seuren, P. A. M. (2006). Projection problem. In K. Brown (Ed.), Encyclopedia of Language and Linguistics (vol. 10) (pp. 128-131). Amsterdam: Elsevier.

    Abstract

    The property of presuppositions to be sometimes preserved through embeddings, albeit often in a weakened form, is called projection. The projection problem consists in formulating the conditions under which the presuppositions of an embedded clause (a) are kept as presuppositions of the superordinate structure, or (b) remain as an invited inference that can be overruled by context, or (c) are canceled. Over the past 25 years it has been recognized that the projection problem is to be solved in the context of a wider theory of presupposition and discourse incrementation.
  • Seuren, P. A. M. (2006). Propositional and predicate logic-linguistic aspects. In K. Brown (Ed.), Encyclopedia of Language and Linguistics (vol. 10) (pp. 146-153). Amsterdam: Elsevier.

    Abstract

    Logic was discovered by Aristotle when he saw that the semantic behavior of the negation word not is different in sentences with a definite and in those with a quantified subject term. Until the early 20th century, logic remained firmly language-based, but for the past century it has been mainly a tool in the hands of mathematicians, which has meant an alienation from linguistic reality. With the help of new techniques, it is now possible to revert to the logic of language, which is seen as based on a semantic analysis of the logical words (constants) involved. This new perspective, combined with much improved insights into the semantically defined discourse dependency of natural language sentences, leads to a novel and more functionally oriented approach to logic and to a reappraisal of traditional predicate calculus, whose main fault, undue existential import, evaporates when discourse dependency, in particular the presuppositional aspect, is brought into play. Traditional predicate calculus is seen to have a much greater logical power and a much greater functionality than modern predicate calculus. There is also full isomorphism, neglected in modern logic, between traditional predicate calculus and propositional calculus, which raises the question of any possible deeper causes.
  • Seuren, P. A. M. (2006). Virtual objects. In K. Brown (Ed.), Encyclopedia of Language and Linguistics (vol. 13) (pp. 438-441). Amsterdam: Elsevier.

    Abstract

    Virtual objects are objects thought up by a thinking individual. Although 20th-century philosophy has tried to ban them from ontology, they make it impossible to account for the truth of sentences such as Apollo was worshipped in the island of Delos, in which a property is assigned to the nonexisting, virtual entity Apollo. Such facts are the reason why virtual objects are slowly being recognized again.
  • Seuren, P. A. M. (2012). Does a leaking O-corner save the square? In J.-Y. Béziau, & D. Jacquette (Eds.), Around and beyond the square of opposition (pp. 129-138). Basel: Springer.

    Abstract

    It has been known at least since Abelard (12th century) that the classic Square of Opposition suffers from so-called undue existential import (UEI) in that this system of predicate logic collapses when the class denoted by the restrictor predicate is empty. It is usually thought that this mistake was made by Aristotle himself, but it has now become clear that this is not so: Aristotle did not have the Conversions but only one-way entailments, which ‘saves’ the Square. The error of UEI was introduced by his later commentators, especially Apuleius and Boethius. Abelard restored Aristotle’s original logic. After Abelard, some 14th- and 15th-century philosophers (mainly Buridan and Ockham) meant to save the Square by declaring the O-corner true when the restrictor class is empty. This ‘leaking O-corner analysis’, or LOCA, was taken up again around 1950 by some American philosopher-logicians, who now have a fairly large following. LOCA does indeed save the Square from logical disaster, but modern analysis shows that this makes it impossible to give a uniform semantic definition of the quantifiers, which thus become ambiguous—an intolerable state of affairs in logic. Klima (Ars Artium, Essays in Philosophical Semantics, Medieval and Modern, Institute of Philosophy, Hungarian Academy of Sciences, Budapest, 1988) and Parsons (in Zalta (ed.), The Stanford Encyclopedia of Philosophy, http://plato.standford.edu/entries/square/, 2006; Logica Univers. 2:3–11, 2008) have tried to circumvent this problem by introducing a ‘zero’ element into the ontology, standing for non-existing entities and yielding falsity when used for variable substitution. LOCA, both without and with the zero element, is critically discussed and rejected on internal logical and external ontological grounds.
  • Seuren, P. A. M. (2006). Factivity. In K. Brown (Ed.), Encyclopedia of Language and Linguistics (vol. 4) (pp. 423-424). Amsterdam: Elsevier.

    Abstract

    Some predicates are ‘factive’ in that they induce the presupposition that what is said in their subordinate that clause is true.
  • Seuren, P. A. M. (2006). Donkey sentences. In K. Brown (Ed.), Encyclopedia of Language and Linguistics (vol. 3) (pp. 763-766). Amsterdam: Elsevier.

    Abstract

    The term ‘donkey sentences’ derives from the medieval philosopher Walter Burleigh, whose example sentences contain mention of donkeys. The modern philosopher Peter Geach rediscovered Burleigh's sentences and the associated problem. The problem is that natural language anaphoric pronouns are sometimes used in a way that cannot be accounted for in terms of modern predicate calculus. The solution lies in establishing a separate category of anaphoric pronouns that refer via the intermediary of a contextually given antecedent, possibly an existentially quantified expression.
  • Seuren, P. A. M. (2006). Early formalization tendencies in 20th-century American linguistics. In S. Auroux, E. Koerner, H.-J. Niederehe, & K. Versteegh (Eds.), History of the Language Sciences: An International Handbook on the Evolution of the Study of Language from the Beginnings to the Present (pp. 2026-2034). Berlin: Walter de Gruyter.
  • Seuren, P. A. M. (2006). Discourse domain. In K. Brown (Ed.), Encyclopedia of language and lingusitics (vol. 1) (pp. 638-639). Amsterdam: Elsevier.

    Abstract

    A discourse domain D is a form of middle-term memory for the storage of the information embodied in the discourse at hand. The information carried by a new utterance u is added to D (u is incremented to D). The processes involved and the specific structure of D are a matter of ongoing research.
  • Seuren, P. A. M. (2006). Discourse semantics. In K. Brown (Ed.), Encyclopedia of language and linguistics (vol. 3) (pp. 669-677). Amsterdam: Elsevier.

    Abstract

    Discourse semantics (DSx) is based on the fact that the interpretation of uttered sentences is dependent on and co-determined by the information stored in a specialized middle-term cognitive memory called discourse domain (D). DSx studies the structure and dynamics of Ds and the conditions to be fulfilled by D for proper interpretation. It does so in the light of the truth-conditional criteria for semantics, with an emphasis on intensionality phenomena. It requires the assumption of virtual entities and virtual facts. Any model-theoretic interpretation holds between discourse structures and pre-established verification domains.
  • Seuren, P. A. M. (2006). Aristotle and linguistics. In K. Brown (Ed.), Encyclopedia of language and lingusitics (vol.1) (pp. 469-471). Amsterdam: Elsevier.

    Abstract

    Aristotle's importance in the professional study of language consists first of all in the fact that he demythologized language and made it an object of rational investigation. In the context of his theory of truth as correspondence, he also provided the first semantic analysis of propositions in that he distinguished two main constituents, the predicate, which expresses a property, and the remainder of the proposition, referring to a substance to which the property is assigned. That assignment is either true or false. Later, the ‘remainder’ was called subject term, and the Aristotelian predicate was identified with the verb in the sentence. The Aristotelian predicate, however, is more like what is now called the ‘comment,’ whereas his remainder corresponds to the topic. Aristotle, furthermore, defined nouns and verbs as word classes. In addition, he introduced the term ‘case’ for paradigmatic morphological variation.
  • Seuren, P. A. M. (2006). Meaning, the cognitive dependency of lexical meaning. In K. Brown (Ed.), Encyclopedia of Language and Linguistics (vol. 7) (pp. 575-577). Amsterdam: Elsevier.

    Abstract

    There is a growing awareness among theoretical linguists and philosophers of language that the linguistic definition of lexical meanings, which must be learned when one learns a language, underdetermines not only full utterance interpretation but also sentence meaning. The missing information must be provided by cognition – that is, either general encyclopedic or specific situational knowledge. This fact crucially shows the basic insufficiency of current standard model-theoretic semantics as a paradigm for the analysis and description of linguistic meaning.
  • Seuren, P. A. M. (2006). Lexical conditions. In K. Brown (Ed.), Encyclopedia of Language and Linguistics (vol. 7) (pp. 77-79). Amsterdam: Elsevier.

    Abstract

    The lexical conditions, also known as satisfaction conditions, of a predicate P are the conditions that must be satisfied by the term referents of P for P applied to these term referents to yield a true sentence. In view of presupposition theory it makes sense to distinguish two categories of lexical conditions, the preconditions that must be satisfied for the sentence to be usable in any given discourse, and the update conditions which must be satisfied for the sentence to yield truth.
  • Seuren, P. A. M. (2006). Multivalued logics. In K. Brown (Ed.), Encyclopedia of Language and Linguistics (vol. 8) (pp. 387-390). Amsterdam: Elsevier.

    Abstract

    The widely prevailing view that standard bivalent logic is the only possible sound logical system, imposed by metaphysical necessity, has been shattered by the development of multivalent logics during the 20th century. It is now clear that standard bivalent logic is merely the minimal representative of a wide variety of viable logics with any number of truth values. These viable logics can be subdivided into families. In this article, the Kleene family and the PPCn family are subjected to special examination, as they appear to be most relevant for the study of the logical properties of human language.
  • Seuren, P. A. M. (2009). Hesseling, Dirk Christiaan. In H. Stammerjohann (Ed.), Lexicon Grammaticorum: A bio-bibliographical companion to the history of linguistics. Volume 1. (2nd ed.) (pp. 649-650). Berlin: DeGruyter.
  • Seuren, P. A. M. (1973). The comparative. In F. Kiefer, & N. Ruwet (Eds.), Generative grammar in Europe (pp. 528-564). Reidel: Dordrecht.

    Abstract

    No idea is older in the history of linguistics than the thought that there is, somehow hidden underneath the surface of sentences, a form or a structure which provides a semantic analysis and lays bare their logical structure. In Plato’s Cratylus the theory was proposed, deriving from Heraclitus’ theory of explanatory underlying structure in physical nature, that words contain within themselves bits of syntactic structure giving their meanings. The Stoics held the same view and maintained moreover that every sentence has an underlying logical structure, which for them was the Aristotelian subject- predicate form. They even proposed transformational processes to derive the surface from the deep structure. The idea of a semantically analytic logical form underlying the sentences of every language kept reappearing in various guises at various times. Quite recently it re-emerged under the name of generative semantics.
  • Seuren, P. A. M. (1973). The new approach to the study of language. In B. Douglas (Ed.), Linguistics and the mind (pp. 11-20). Sydney: Sydney University Extension Board.
  • Seuren, P. A. M. (2009). Voorhoeve, Jan. In H. Stammerjohann (Ed.), Lexicon Grammaticorum: A bio-bibliographical companion to the history of linguistics. Volume 2. (2nd ed.) (pp. 1593-1594). Berlin: DeGruyter.
  • Seuren, P. A. M. (1998). Towards a discourse-semantic account of donkey anaphora. In S. Botley, & T. McEnery (Eds.), New Approaches to Discourse Anaphora: Proceedings of the Second Colloquium on Discourse Anaphora and Anaphor Resolution (DAARC2) (pp. 212-220). Lancaster: Universiy Centre for Computer Corpus Research on Language, Lancaster University.
  • Seuren, P. A. M. (2014). Universe restriction in the logic of language. In J. Hoeksema, & D. Gilbers (Eds.), Black Book: A Festschrift in Honor of Frans Zwarts (pp. 282-300). Groningen: University of Groningen.
  • Sicoli, M. A., Majid, A., & Levinson, S. C. (2009). The language of sound: II. In A. Majid (Ed.), Field manual volume 12 (pp. 14-19). Nijmegen: Max Planck Institute for Psycholinguistics. doi:10.17617/2.446294.

    Abstract

    The task is designed to elicit vocabulary for simple sounds. The primary goal is to establish how people describe sound and what resources the language provides generally for encoding this domain. More specifically: (1) whether there is dedicated vocabulary for encoding simple sound contrasts and (2) how much consistency there is within a community in descriptions. This develops on materials used in The language of sound
  • Sidnell, J., & Enfield, N. J. (2014). Deixis and the interactional foundations of reference. In Y. Huang (Ed.), The Oxford handbook of pragmatics.
  • Sidnell, J., Kockelman, P., & Enfield, N. J. (2014). Community and social life. In N. J. Enfield, P. Kockelman, & J. Sidnell (Eds.), The Cambridge handbook of linguistic anthropology (pp. 481-483). Cambridge: Cambridge University Press.
  • Sidnell, J., Enfield, N. J., & Kockelman, P. (2014). Interaction and intersubjectivity. In N. J. Enfield, P. Kockelman, & J. Sidnell (Eds.), The Cambridge handbook of linguistic anthropology (pp. 343-345). Cambridge: Cambridge University Press.
  • Sidnell, J., & Enfield, N. J. (2014). The ontology of action, in interaction. In N. J. Enfield, P. Kockelman, & J. Sidnell (Eds.), The Cambridge handbook of linguistic anthropology (pp. 423-446). Cambridge: Cambridge University Press.
  • Skiba, R. (2006). Computeranalyse/Computer Analysis. In U. Amon, N. Dittmar, K. Mattheier, & P. Trudgill (Eds.), Sociolinguistics: An international handbook of the science of language and society [2nd completely revised and extended edition] (pp. 1187-1197). Berlin, New York: de Gruyter.
  • Sloetjes, H. (2014). ELAN: Multimedia annotation application. In J. Durand, U. Gut, & G. Kristoffersen (Eds.), The Oxford Handbook of Corpus Phonology (pp. 305-320). Oxford: Oxford University Press.
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    Abstract

    Multimodal integration is a central characteristic of human cognition. However our understanding of the interaction between modalities and its influence on behaviour is still in its infancy. This paper examines the value of the Hub & Spoke framework (Plaut, 2002; Rogers et al., 2004; Dilkina et al., 2008; 2010) as a tool for exploring multimodal interaction in cognition. We present a Hub and Spoke model of language–vision information interaction and report the model’s ability to replicate a range of phonological, visual and semantic similarity word-level effects reported in the Visual World Paradigm (Cooper, 1974; Tanenhaus et al, 1995). The model provides an explicit connection between the percepts of language and the distribution of eye gaze and demonstrates the scope of the Hub-and-Spoke architectural framework by modelling new aspects of multimodal cognition.
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