Publications

Displaying 301 - 400 of 863
  • Harmon, Z., & Kapatsinski, V. (2016). Determinants of lengths of repetition disfluencies: Probabilistic syntactic constituency in speech production. In R. Burkholder, C. Cisneros, E. R. Coppess, J. Grove, E. A. Hanink, H. McMahan, C. Meyer, N. Pavlou, Ö. Sarıgül, A. R. Singerman, & A. Zhang (Eds.), Proceedings of the Fiftieth Annual Meeting of the Chicago Linguistic Society (pp. 237-248). Chicago: Chicago Linguistic Society.
  • Hartung, F., Burke, M., Hagoort, P., & Willems, R. M. (2016). Taking perspective: Personal pronouns affect experiential aspects of literary reading. PLoS One, 11(5): e0154732. doi:10.1371/journal.pone.0154732.

    Abstract

    Personal pronouns have been shown to influence cognitive perspective taking during comprehension. Studies using single sentences found that 3rd person pronouns facilitate the construction of a mental model from an observer’s perspective, whereas 2nd person pronouns support an actor’s perspective. The direction of the effect for 1st person pronouns seems to depend on the situational context. In the present study, we investigated how personal pronouns influence discourse comprehension when people read fiction stories and if this has consequences for affective components like emotion during reading or appreciation of the story. We wanted to find out if personal pronouns affect immersion and arousal, as well as appreciation of fiction. In a natural reading paradigm, we measured electrodermal activity and story immersion, while participants read literary stories with 1st and 3rd person pronouns referring to the protagonist. In addition, participants rated and ranked the stories for appreciation. Our results show that stories with 1st person pronouns lead to higher immersion. Two factors—transportation into the story world and mental imagery during reading—in particular showed higher scores for 1st person as compared to 3rd person pronoun stories. In contrast, arousal as measured by electrodermal activity seemed tentatively higher for 3rd person pronoun stories. The two measures of appreciation were not affected by the pronoun manipulation. Our findings underscore the importance of perspective for language processing, and additionally show which aspects of the narrative experience are influenced by a change in perspective.
  • Haun, D. B. M., Call, J., Janzen, G., & Levinson, S. C. (2006). Evolutionary psychology of spatial representations in the hominidae. Current Biology, 16(17), 1736-1740. doi:10.1016/j.cub.2006.07.049.

    Abstract

    Comparatively little is known about the inherited primate background underlying human cognition, the human cognitive “wild-type.” Yet it is possible to trace the evolution of human cognitive abilities and tendencies by contrasting the skills of our nearest cousins, not just chimpanzees, but all the extant great apes, thus showing what we are likely to have inherited from the common ancestor [1]. By looking at human infants early in cognitive development, we can also obtain insights into native cognitive biases in our species [2]. Here, we focus on spatial memory, a central cognitive domain. We show, first, that all nonhuman great apes and 1-year-old human infants exhibit a preference for place over feature strategies for spatial memory. This suggests the common ancestor of all great apes had the same preference. We then examine 3-year-old human children and find that this preference reverses. Thus, the continuity between our species and the other great apes is masked early in human ontogeny. These findings, based on both phylogenetic and ontogenetic contrasts, open up the prospect of a systematic evolutionary psychology resting upon the cladistics of cognitive preferences.
  • Haun, D. B. M., Rapold, C. J., Call, J., Janzen, G., & Levinson, S. C. (2006). Cognitive cladistics and cultural override in Hominid spatial cognition. Proceedings of the National Academy of Sciences of the United States of America, 103(46), 17568-17573. doi:10.1073/pnas.0607999103.

    Abstract

    Current approaches to human cognition often take a strong nativist stance based on Western adult performance, backed up where possible by neonate and infant research and almost never by comparative research across the Hominidae. Recent research suggests considerable cross-cultural differences in cognitive strategies, including relational thinking, a domain where infant research is impossible because of lack of cognitive maturation. Here, we apply the same paradigm across children and adults of different cultures and across all nonhuman great ape genera. We find that both child and adult spatial cognition systematically varies with language and culture but that, nevertheless, there is a clear inherited bias for one spatial strategy in the great apes. It is reasonable to conclude, we argue, that language and culture mask the native tendencies in our species. This cladistic approach suggests that the correct perspective on human cognition is neither nativist uniformitarian nor ‘‘blank slate’’ but recognizes the powerful impact that language and culture can have on our shared primate cognitive biases.
  • Heidlmayr, K., Doré-Mazars, K., Aparicio, X., & Isel, F. (2016). Multiple language use influences oculomotor task performance: Neurophysiological evidence of a shared substrate between language and motor control. PLoS One, 11(11): e0165029. doi:10.1371/journal.pone.0165029.

    Abstract

    In the present electroencephalographical study, we asked to which extent executive control processes are shared by both the language and motor domain. The rationale was to examine whether executive control processes whose efficiency is reinforced by the frequent use of a second language can lead to a benefit in the control of eye movements, i.e. a non-linguistic activity. For this purpose, we administrated to 19 highly proficient late French-German bilingual participants and to a control group of 20 French monolingual participants an antisaccade task, i.e. a specific motor task involving control. In this task, an automatic saccade has to be suppressed while a voluntary eye movement in the opposite direction has to be carried out. Here, our main hypothesis is that an advantage in the antisaccade task should be observed in the bilinguals if some properties of the control processes are shared between linguistic and motor domains. ERP data revealed clear differences between bilinguals and monolinguals. Critically, we showed an increased N2 effect size in bilinguals, thought to reflect better efficiency to monitor conflict, combined with reduced effect sizes on markers reflecting inhibitory control, i.e. cue-locked positivity, the target-locked P3 and the saccade-locked presaccadic positivity (PSP). Moreover, effective connectivity analyses (dynamic causal modelling; DCM) on the neuronal source level indicated that bilinguals rely more strongly on ACC-driven control while monolinguals rely on PFC-driven control. Taken together, our combined ERP and effective connectivity findings may reflect a dynamic interplay between strengthened conflict monitoring, associated with subsequently more efficient inhibition in bilinguals. Finally, L2 proficiency and immersion experience constitute relevant factors of the language background that predict efficiency of inhibition. To conclude, the present study provided ERP and effective connectivity evidence for domain-general executive control involvement in handling multiple language use, leading to a control advantage in bilingualism.
  • Heinemann, T. (2006). Will you or can't you? Displaying entitlement in interrogative requests. Journal of Pragmatics, 38(7), 1081-1104. doi:10.1016/j.pragma.2005.09.013.

    Abstract

    Interrogative structures such as ‘Could you pass the salt? and ‘Couldn’t you pass the salt?’ can be used for making requests. A study of such pairs within a conversation analytic framework suggests that these are not used interchangeably, and that they have different impacts on the interaction. Focusing on Danish interactions between elderly care recipients and their home help assistants, I demonstrate how the care recipient displays different degrees of stance towards whether she is entitled to make a request or not, depending on whether she formats her request as a positive or a negative interrogative. With a positive interrogative request, the care recipient orients to her request as one she is not entitled to make. This is underscored by other features, such as the use of mitigating devices and the choice of verb. When accounting for this type of request, the care recipient ties the request to the specific situation she is in, at the moment in which the request is produced. In turn, the home help assistant orients to the lack of entitlement by resisting the request. With a negative interrogative request, the care recipient, in contrast, orients to her request as one she is entitled to make. This is strengthened by the choice of verb and the lack of mitigating devices. When such requests are accounted for, the requested task is treated as something that should be routinely performed, and hence as something the home help assistant has neglected to do. In turn, the home help assistant orients to the display of entitlement by treating the request as unproblematic, and by complying with it immediately.
  • Hendricks, I., Lefever, E., Croijmans, I., Majid, A., & Van den Bosch, A. (2016). Very quaffable and great fun: Applying NLP to wine reviews. In Proceedings of the 54th Annual Meeting of the Association for Computational Linguistics: Vol 2 (pp. 306-312). Stroudsburg, PA: Association for Computational Linguistics.

    Abstract

    We automatically predict properties of
    wines on the basis of smell and flavor de-
    scriptions from experts’ wine reviews. We
    show wine experts are capable of describ-
    ing their smell and flavor experiences in
    wine reviews in a sufficiently consistent
    manner, such that we can use their descrip-
    tions to predict properties of a wine based
    solely on language. The experimental re-
    sults show promising F-scores when using
    lexical and semantic information to predict
    the color, grape variety, country of origin,
    and price of a wine. This demonstrates,
    contrary to popular opinion, that wine ex-
    perts’ reviews really are informative.
  • Herbst, L. E. (2006). The influence of language dominance on bilingual VOT: A case study. In Proceedings of the 4th University of Cambridge Postgraduate Conference on Language Research (CamLing 2006) (pp. 91-98). Cambridge: Cambridge University Press.

    Abstract

    Longitudinally collected VOT data from an early English-Italian bilingual who became increasingly English-dominant was analyzed. Stops in English were always produced with significantly longer VOT than in Italian. However, the speaker did not show any significant change in the VOT production in either language over time, despite the clear dominance of English in his every day language use later in his life. The results indicate that – unlike L2 learners – early bilinguals may remain unaffected by language use with respect to phonetic realization.
  • Heritage, J., & Stivers, T. (1999). Online commentary in acute medical visits: A method of shaping patient expectations. Social Science and Medicine, 49(11), 1501-1517. doi:10.1016/S0277-9536(99)00219-1.
  • Hintz, F., Meyer, A. S., & Huettig, F. (2016). Encouraging prediction during production facilitates subsequent comprehension: Evidence from interleaved object naming in sentence context and sentence reading. Quarterly Journal of Experimental Psychology, 69(6), 1056-1063. doi:10.1080/17470218.2015.1131309.

    Abstract

    Many studies have shown that a supportive context facilitates language comprehension. A currently influential view is that language production may support prediction in language comprehension. Experimental evidence for this, however, is relatively sparse. Here we explored whether encouraging prediction in a language production task encourages the use of predictive contexts in an interleaved comprehension task. In Experiment 1a, participants listened to the first part of a sentence and provided the final word by naming aloud a picture. The picture name was predictable or not predictable from the sentence context. Pictures were named faster when they could be predicted than when this was not the case. In Experiment 1b the same sentences, augmented by a final spill-over region, were presented in a self-paced reading task. No difference in reading times for predictive vs. non-predictive sentences was found. In Experiment 2, reading and naming trials were intermixed. In the naming task, the advantage for predictable picture names was replicated. More importantly, now reading times for the spill-over region were considerable faster for predictive vs. non-predictive sentences. We conjecture that these findings fit best with the notion that prediction in the service of language production encourages the use of predictive contexts in comprehension. Further research is required to identify the exact mechanisms by which production exerts its influence on comprehension.
  • Hintz, F., & Scharenborg, O. (2016). Neighbourhood density influences word recognition in native and non-native speech recognition in noise. In H. Van den Heuvel, B. Cranen, & S. Mattys (Eds.), Proceedings of the Speech Processing in Realistic Environments (SPIRE) workshop (pp. 46-47). Groningen.
  • Hintz, F., & Scharenborg, O. (2016). The effect of background noise on the activation of phonological and semantic information during spoken-word recognition. In Proceedings of Interspeech 2016: The 17th Annual Conference of the International Speech Communication Association (pp. 2816-2820).

    Abstract

    During spoken-word recognition, listeners experience phonological competition between multiple word candidates, which increases, relative to optimal listening conditions, when speech is masked by noise. Moreover, listeners activate semantic word knowledge during the word’s unfolding. Here, we replicated the effect of background noise on phonological competition and investigated to which extent noise affects the activation of semantic information in phonological competitors. Participants’ eye movements were recorded when they listened to sentences containing a target word and looked at three types of displays. The displays either contained a picture of the target word, or a picture of a phonological onset competitor, or a picture of a word semantically related to the onset competitor, each along with three unrelated distractors. The analyses revealed that, in noise, fixations to the target and to the phonological onset competitor were delayed and smaller in magnitude compared to the clean listening condition, most likely reflecting enhanced phonological competition. No evidence for the activation of semantic information in the phonological competitors was observed in noise and, surprisingly, also not in the clear. We discuss the implications of the lack of an effect and differences between the present and earlier studies.
  • Hoeks, J. C. J., Hendriks, P., Vonk, W., Brown, C. M., & Hagoort, P. (2006). Processing the noun phrase versus sentence coordination ambiguity: Thematic information does not completely eliminate processing difficulty. Quarterly Journal of Experimental Psychology, 59, 1581-1899. doi:10.1080/17470210500268982.

    Abstract

    When faced with the noun phrase (NP) versus sentence (S) coordination ambiguity as in, for example, The thief shot the jeweller and the cop hellip, readers prefer the reading with NP-coordination (e.g., "The thief shot the jeweller and the cop yesterday") over one with two conjoined sentences (e.g., "The thief shot the jeweller and the cop panicked"). A corpus study is presented showing that NP-coordinations are produced far more often than S-coordinations, which in frequency-based accounts of parsing might be taken to explain the NP-coordination preference. In addition, we describe an eye-tracking experiment investigating S-coordinated sentences such as Jasper sanded the board and the carpenter laughed, where the poor thematic fit between carpenter and sanded argues against NP-coordination. Our results indicate that information regarding poor thematic fit was used rapidly, but not without leaving some residual processing difficulty. This is compatible with claims that thematic information can reduce but not completely eliminate garden-path effects.
  • Hogekamp, Z., Blomster, J. B., Bursalioglu, A., Calin, M. C., Çetinçelik, M., Haastrup, L., & Van den Berg, Y. H. M. (2016). Examining the Importance of the Teachers' Emotional Support for Students' Social Inclusion Using the One-with-Many Design. Frontiers in Psychology, 7: 1014. doi:10.3389/fpsyg.2016.01014.

    Abstract

    The importance of high quality teacher–student relationships for students' well-being has been long documented. Nonetheless, most studies focus either on teachers' perceptions of provided support or on students' perceptions of support. The degree to which teachers and students agree is often neither measured nor taken into account. In the current study, we will therefore use a dyadic analysis strategy called the one-with-many design. This design takes into account the nestedness of the data and looks at the importance of reciprocity when examining the influence of teacher support for students' academic and social functioning. Two samples of teachers and their students from Grade 4 (age 9–10 years) have been recruited in primary schools, located in Turkey and Romania. By using the one-with-many design we can first measure to what degree teachers' perceptions of support are in line with students' experiences. Second, this level of consensus is taken into account when examining the influence of teacher support for students' social well-being and academic functioning.
  • Holler, J., & Stevens, R. (2006). How speakers represent size information in referential communication for knowing and unknowing recipients. In D. Schlangen, & R. Fernandez (Eds.), Brandial '06 Proceedings of the 10th Workshop on the Semantics and Pragmatics of Dialogue, Potsdam, Germany, September 11-13.
  • Holler, J., Kendrick, K. H., Casillas, M., & Levinson, S. C. (Eds.). (2016). Turn-Taking in Human Communicative Interaction. Lausanne: Frontiers Media. doi:10.3389/978-2-88919-825-2.

    Abstract

    The core use of language is in face-to-face conversation. This is characterized by rapid turn-taking. This turn-taking poses a number central puzzles for the psychology of language.

    Consider, for example, that in large corpora the gap between turns is on the order of 100 to 300 ms, but the latencies involved in language production require minimally between 600ms (for a single word) or 1500 ms (for as simple sentence). This implies that participants in conversation are predicting the ends of the incoming turn and preparing in advance. But how is this done? What aspects of this prediction are done when? What happens when the prediction is wrong? What stops participants coming in too early? If the system is running on prediction, why is there consistently a mode of 100 to 300 ms in response time?

    The timing puzzle raises further puzzles: it seems that comprehension must run parallel with the preparation for production, but it has been presumed that there are strict cognitive limitations on more than one central process running at a time. How is this bottleneck overcome? Far from being 'easy' as some psychologists have suggested, conversation may be one of the most demanding cognitive tasks in our everyday lives. Further questions naturally arise: how do children learn to master this demanding task, and what is the developmental trajectory in this domain?

    Research shows that aspects of turn-taking such as its timing are remarkably stable across languages and cultures, but the word order of languages varies enormously. How then does prediction of the incoming turn work when the verb (often the informational nugget in a clause) is at the end? Conversely, how can production work fast enough in languages that have the verb at the beginning, thereby requiring early planning of the whole clause? What happens when one changes modality, as in sign languages -- with the loss of channel constraints is turn-taking much freer? And what about face-to-face communication amongst hearing individuals -- do gestures, gaze, and other body behaviors facilitate turn-taking? One can also ask the phylogenetic question: how did such a system evolve? There seem to be parallels (analogies) in duetting bird species, and in a variety of monkey species, but there is little evidence of anything like this among the great apes.

    All this constitutes a neglected set of problems at the heart of the psychology of language and of the language sciences. This research topic welcomes contributions from right across the board, for example from psycholinguists, developmental psychologists, students of dialogue and conversation analysis, linguists interested in the use of language, phoneticians, corpus analysts and comparative ethologists or psychologists. We welcome contributions of all sorts, for example original research papers, opinion pieces, and reviews of work in subfields that may not be fully understood in other subfields.
  • Huang, L., Zhou, G., Liu, Z., Dang, X., Yang, Z., Kong, X., Wang, X., Song, Y., Zhen, Z., & Liu, J. (2016). A Multi-Atlas Labeling Approach for Identifying Subject-Specific Functional Regions of Interest. PLoS One, 11(1): e0146868. doi:10.1371/journal.pone.0146868.

    Abstract

    The functional region of interest (fROI) approach has increasingly become a favored methodology in functional magnetic resonance imaging (fMRI) because it can circumvent inter-subject anatomical and functional variability, and thus increase the sensitivity and functional resolution of fMRI analyses. The standard fROI method requires human experts to meticulously examine and identify subject-specific fROIs within activation clusters. This process is time-consuming and heavily dependent on experts’ knowledge. Several algorithmic approaches have been proposed for identifying subject-specific fROIs; however, these approaches cannot easily incorporate prior knowledge of inter-subject variability. In the present study, we improved the multi-atlas labeling approach for defining subject-specific fROIs. In particular, we used a classifier-based atlas-encoding scheme and an atlas selection procedure to account for the large spatial variability across subjects. Using a functional atlas database for face recognition, we showed that with these two features, our approach efficiently circumvented inter-subject anatomical and functional variability and thus improved labeling accuracy. Moreover, in comparison with a single-atlas approach, our multi-atlas labeling approach showed better performance in identifying subject-specific fROIs.

    Additional information

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  • Hubers, F., Snijders, T. M., & De Hoop, H. (2016). How the brain processes violations of the grammatical norm: An fMRI study. Brain and Language, 163, 22-31. doi:10.1016/j.bandl.2016.08.006.

    Abstract

    Native speakers of Dutch do not always adhere to prescriptive grammar rules in their daily speech. These grammatical norm violations can elicit emotional reactions in language purists, mostly high-educated people, who claim that for them these constructions are truly ungrammatical. However, linguists generally assume that grammatical norm violations are in fact truly grammatical, especially when they occur frequently in a language. In an fMRI study we investigated the processing of grammatical norm violations in the brains of language purists, and compared them with truly grammatical and truly ungrammatical sentences. Grammatical norm violations were found to be unique in that their processing resembled not only the processing of truly grammatical sentences (in left medial Superior Frontal Gyrus and Angular Gyrus), but also that of truly ungrammatical sentences (in Inferior Frontal Gyrus), despite what theories of grammar would usually lead us to believe
  • Huettig, F., & Janse, E. (2016). Individual differences in working memory and processing speed predict anticipatory spoken language processing in the visual world. Language, Cognition and Neuroscience, 31(1), 80-93. doi:10.1080/23273798.2015.1047459.

    Abstract

    It is now well established that anticipation of up-coming input is a key characteristic of spoken language comprehension. Several mechanisms of predictive language processing have been proposed. The possible influence of mediating factors such as working memory and processing speed however has hardly been explored. We sought to find evidence for such an influence using an individual differences approach. 105 participants from 32 to 77 years of age received spoken instructions (e.g., "Kijk naar deCOM afgebeelde pianoCOM" - look at the displayed piano) while viewing four objects. Articles (Dutch “het” or “de”) were gender-marked such that the article agreed in gender only with the target. Participants could thus use gender information from the article to predict the upcoming target object. The average participant anticipated the target objects well in advance of the critical noun. Multiple regression analyses showed that working memory and processing speed had the largest mediating effects: Enhanced working memory abilities and faster processing speed supported anticipatory spoken language processing. These findings suggest that models of predictive language processing must take mediating factors such as working memory and processing speed into account. More generally, our results are consistent with the notion that working memory grounds language in space and time, linking linguistic and visual-spatial representations.
  • Huettig, F., & Mani, N. (2016). Is prediction necessary to understand language? Probably not. Language, Cognition and Neuroscience, 31(1), 19-31. doi:10.1080/23273798.2015.1072223.

    Abstract

    Many psycholinguistic experiments suggest that prediction is an important characteristic of language processing. Some recent theoretical accounts in the cognitive sciences (e.g., Clark, 2013; Friston, 2010) and psycholinguistics (e.g., Dell & Chang, 2014) appear to suggest that prediction is even necessary to understand language. In the present opinion paper we evaluate this proposal. We first critically discuss several arguments that may appear to be in line with the notion that prediction is necessary for language processing. These arguments include that prediction provides a unified theoretical principle of the human mind and that it pervades cortical function. We discuss whether evidence of human abilities to detect statistical regularities is necessarily evidence for predictive processing and evaluate suggestions that prediction is necessary for language learning. Five arguments are then presented that question the claim that all language processing is predictive in nature. We point out that not all language users appear to predict language and that suboptimal input makes prediction often very challenging. Prediction, moreover, is strongly context-dependent and impeded by resource limitations. We also argue that it may be problematic that most experimental evidence for predictive language processing comes from 'prediction-encouraging' experimental set-ups. Finally, we discuss possible ways that may lead to a further resolution of this debate. We conclude that languages can be learned and understood in the absence of prediction. Claims that all language processing is predictive in nature are premature.
  • Huettig, F., Quinlan, P. T., McDonald, S. A., & Altmann, G. T. M. (2006). Models of high-dimensional semantic space predict language-mediated eye movements in the visual world. Acta Psychologica, 121(1), 65-80. doi:10.1016/j.actpsy.2005.06.002.

    Abstract

    In the visual world paradigm, participants are more likely to fixate a visual referent that has some semantic relationship with a heard word, than they are to fixate an unrelated referent [Cooper, R. M. (1974). The control of eye fixation by the meaning of spoken language. A new methodology for the real-time investigation of speech perception, memory, and language processing. Cognitive Psychology, 6, 813–839]. Here, this method is used to examine the psychological validity of models of high-dimensional semantic space. The data strongly suggest that these corpus-based measures of word semantics predict fixation behavior in the visual world and provide further evidence that language-mediated eye movements to objects in the concurrent visual environment are driven by semantic similarity rather than all-or-none categorical knowledge. The data suggest that the visual world paradigm can, together with other methodologies, converge on the evidence that may help adjudicate between different theoretical accounts of the psychological semantics.
  • Hugh-Jones, D., Verweij, K. J. H., St Pourcain, B., & Abdellaoui, A. (2016). Assortative mating on educational attainment leads to genetic spousal resemblance for causal alleles. Intelligence, 59, 103-108. doi:10.1016/j.intell.2016.08.005.

    Abstract

    We examined whether assortative mating for educational attainment (“like marries like”) can be detected in the genomes of ~ 1600 UK spouse pairs of European descent. Assortative mating on heritable traits like educational attainment increases the genetic variance and heritability of the trait in the population, which may increase social inequalities. We test for genetic assortative mating in the UK on educational attainment, a phenotype that is indicative of socio-economic status and has shown substantial levels of assortative mating. We use genome-wide allelic effect sizes from a large genome-wide association study on educational attainment (N ~ 300 k) to create polygenic scores that are predictive of educational attainment in our independent sample (r = 0.23, p < 2 × 10− 16). The polygenic scores significantly predict partners' educational outcome (r = 0.14, p = 4 × 10− 8 and r = 0.19, p = 2 × 10− 14, for prediction from males to females and vice versa, respectively), and are themselves significantly correlated between spouses (r = 0.11, p = 7 × 10− 6). Our findings provide molecular genetic evidence for genetic assortative mating on education in the UK
  • Humphries, S., Holler, J., Crawford, T. J., Herrera, E., & Poliakoff, E. (2016). A third-person perspective on co-speech action gestures in Parkinson’s disease. Cortex, 78, 44-54. doi:10.1016/j.cortex.2016.02.009.

    Abstract

    A combination of impaired motor and cognitive function in Parkinson’s disease (PD) can impact on language and communication, with patients exhibiting a particular difficulty processing action verbs. Co-speech gestures embody a link between action and language and contribute significantly to communication in healthy people. Here, we investigated how co-speech gestures depicting actions are affected in PD, in particular with respect to the visual perspective—or the viewpoint – they depict. Gestures are closely related to mental imagery and motor simulations, but people with PD may be impaired in the way they simulate actions from a first-person perspective and may compensate for this by relying more on third-person visual features. We analysed the action-depicting gestures produced by mild-moderate PD patients and age-matched controls on an action description task and examined the relationship between gesture viewpoint, action naming, and performance on an action observation task (weight judgement). Healthy controls produced the majority of their action gestures from a first-person perspective, whereas PD patients produced a greater proportion of gestures produced from a third-person perspective. We propose that this reflects a compensatory reliance on third-person visual features in the simulation of actions in PD. Performance was also impaired in action naming and weight judgement, although this was unrelated to gesture viewpoint. Our findings provide a more comprehensive understanding of how action-language impairments in PD impact on action communication, on the cognitive underpinnings of this impairment, as well as elucidating the role of action simulation in gesture production
  • Hwang, S.-O., Tomita, N., Morgan, H., Ergin, R., İlkbaşaran, D., Seegers, S., Lepic, R., & Padden, C. (2016). Of the body and the hands: patterned iconicity for semantic categories. Language and Cognition, 9(4), 573-602. doi:10.1017/langcog.2016.28.

    Abstract

    This paper examines how gesturers and signers use their bodies to express concepts such as instrumentality and humanness. Comparing across eight sign languages (American, Japanese, German, Israeli, and Kenyan Sign Languages, Ha Noi Sign Language of Vietnam, Central Taurus Sign Language of Turkey, and Al-Sayyid Bedouin Sign Language of Israel) and the gestures of American non-signers, we find recurring patterns for naming entities in three semantic categories (tools, animals, and fruits & vegetables). These recurring patterns are captured in a classification system that identifies iconic strategies based on how the body is used together with the hands. Across all groups, tools are named with manipulation forms, where the head and torso represent those of a human agent. Animals tend to be identified with personification forms, where the body serves as a map for a comparable non-human body. Fruits & vegetables tend to be identified with object forms, where the hands act independently from the rest of the body to represent static features of the referent. We argue that these iconic patterns are rooted in using the body for communication, and provide a basis for understanding how meaningful communication emerges quickly in gesture and persists in emergent and established sign languages.
  • Iliadis, S. I., Sylvén, S., Hellgren, C., Olivier, J. D., Schijven, D., Comasco, E., Chrousos, G. P., Sundström Poromaa, I., & Skalkidou, A. (2016). Mid-pregnancy corticotropin-releasing hormone levels in association with postpartum depressive symptoms. Depression and Anxiety, 33(11), 1023-1030. doi:10.1002/da.22529.

    Abstract

    Background Peripartum depression is a common cause of pregnancy- and postpartum-related morbidity. The production of corticotropin-releasing hormone (CRH) from the placenta alters the profile of hypothalamus–pituitary–adrenal axis hormones and may be associated with postpartum depression. The purpose of this study was to assess, in nondepressed pregnant women, the possible association between CRH levels in pregnancy and depressive symptoms postpartum. Methods A questionnaire containing demographic data and the Edinburgh Postnatal Depression Scale (EPDS) was filled in gestational weeks 17 and 32, and 6 week postpartum. Blood samples were collected in week 17 for assessment of CRH. A logistic regression model was constructed, using postpartum EPDS score as the dependent variable and log-transformed CRH levels as the independent variable. Confounding factors were included in the model. Subanalyses after exclusion of study subjects with preterm birth, newborns small for gestational age (SGA), and women on corticosteroids were performed. Results Five hundred thirty-five women without depressive symptoms during pregnancy were included. Logistic regression showed an association between high CRH levels in gestational week 17 and postpartum depressive symptoms, before and after controlling for several confounders (unadjusted OR = 1.11, 95% CI 1.01–1.22; adjusted OR = 1.13, 95% CI 1.02–1.26; per 0.1 unit increase in log CRH). Exclusion of women with preterm birth and newborns SGA as well as women who used inhalation corticosteroids during pregnancy did not alter the results. Conclusions This study suggests an association between high CRH levels in gestational week 17 and the development of postpartum depressive symptoms, among women without depressive symptoms during pregnancy.
  • Indefrey, P., & Levelt, W. J. M. (1999). A meta-analysis of neuroimaging experiments on word production. Neuroimage, 7, 1028.
  • Indefrey, P. (2006). A meta-analysis of hemodynamic studies on first and second language processing: Which suggested differences can we trust and what do they mean? Language Learning, 56(suppl. 1), 279-304. doi:10.1111/j.1467-9922.2006.00365.x.

    Abstract

    This article presents the results of a meta-analysis of 30 hemodynamic experiments comparing first language (L1) and second language (L2) processing in a range of tasks. The results suggest that reliably stronger activation during L2 processing is found (a) only for task-specific subgroups of L2 speakers and (b) within some, but not all regions that are also typically activated in native language processing. A tentative interpretation based on the functional roles of frontal and temporal regions is suggested.
  • Indefrey, P., & Gullberg, M. (2006). Introduction. Language Learning, 56(suppl. 1), 1-8. doi:10.1111/j.1467-9922.2006.00352.x.

    Abstract

    This volume is a harvest of articles from the first conference in a series on the cognitive neuroscience of language. The first conference focused on the cognitive neuroscience of second language acquisition (henceforth SLA). It brought together experts from as diverse fields as second language acquisition, bilingualism, cognitive neuroscience, and neuroanatomy. The articles and discussion articles presented here illustrate state-of-the-art findings and represent a wide range of theoretical approaches to classic as well as newer SLA issues. The theoretical themes cover age effects in SLA related to the so-called Critical Period Hypothesis and issues of ultimate attainment and focus both on age effects pertaining to childhood and to aging. Other familiar SLA topics are the effects of proficiency and learning as well as issues concerning the difference between the end product and the process that yields that product, here discussed in terms of convergence and degeneracy. A topic more related to actual usage of a second language once acquired concerns how multilingual speakers control and regulate their two languages.
  • Indefrey, P. (2006). It is time to work toward explicit processing models for native and second language speakers. Journal of Applied Psycholinguistics, 27(1), 66-69. doi:10.1017/S0142716406060103.
  • Indefrey, P. (2016). On putative shortcomings and dangerous future avenues: response to Strijkers & Costa. Language, Cognition and Neuroscience, 31(4), 517-520. doi:10.1080/23273798.2015.1128554.
  • Indefrey, P. (1999). Some problems with the lexical status of nondefault inflection. Behavioral and Brain Sciences, 22(6), 1025. doi:10.1017/S0140525X99342229.

    Abstract

    Clahsen's characterization of nondefault inflection as based exclusively on lexical entries does not capture the full range of empirical data on German inflection. In the verb system differential effects of lexical frequency seem to be input-related rather than affecting morphological production. In the noun system, the generalization properties of -n and -e plurals exceed mere analogy-based productivity.
  • Irivine, E., & Roberts, S. G. (2016). Deictic tools can limit the emergence of referential symbol systems. In S. G. Roberts, C. Cuskley, L. McCrohon, L. Barceló-Coblijn, O. Feher, & T. Verhoef (Eds.), The Evolution of Language: Proceedings of the 11th International Conference (EVOLANG11). Retrieved from http://evolang.org/neworleans/papers/99.html.

    Abstract

    Previous experiments and models show that the pressure to communicate can lead to the emergence of symbols in specific tasks. The experiment presented here suggests that the ability to use deictic gestures can reduce the pressure for symbols to emerge in co-operative tasks. In the 'gesture-only' condition, pairs built a structure together in 'Minecraft', and could only communicate using a small range of gestures. In the 'gesture-plus' condition, pairs could also use sound to develop a symbol system if they wished. All pairs were taught a pointing convention. None of the pairs we tested developed a symbol system, and performance was no different across the two conditions. We therefore suggest that deictic gestures, and non-referential means of organising activity sequences, are often sufficient for communication. This suggests that the emergence of linguistic symbols in early hominids may have been late and patchy with symbols only emerging in contexts where they could significantly improve task success or efficiency. Given the communicative power of pointing however, these contexts may be fewer than usually supposed. An approach for identifying these situations is outlined.
  • Irizarri van Suchtelen, P. (2016). Spanish as a heritage language in the Netherlands. A cognitive linguistic exploration. PhD Thesis, Radboud University Nijmegen, Nijmegen.
  • Ito, A., Corley, M., Pickering, M. J., Martin, A. E., & Nieuwland, M. S. (2016). Predicting form and meaning: Evidence from brain potentials. Journal of Memory and Language, 86, 157-171. doi:10.1016/j.jml.2015.10.007.

    Abstract

    We used ERPs to investigate the pre-activation of form and meaning in language comprehension. Participants read high-cloze sentence contexts (e.g., “The student is going to the library to borrow a…”), followed by a word that was predictable (book), form-related (hook) or semantically related (page) to the predictable word, or unrelated (sofa). At a 500 ms SOA (Experiment 1), semantically related words, but not form-related words, elicited a reduced N400 compared to unrelated words. At a 700 ms SOA (Experiment 2), semantically related words and form-related words elicited reduced N400 effects, but the effect for form-related words occurred in very high-cloze sentences only. At both SOAs, form-related words elicited an enhanced, post-N400 posterior positivity (Late Positive Component effect). The N400 effects suggest that readers can pre-activate meaning and form information for highly predictable words, but form pre-activation is more limited than meaning pre-activation. The post-N400 LPC effect suggests that participants detected the form similarity between expected and encountered input. Pre-activation of word forms crucially depends upon the time that readers have to make predictions, in line with production-based accounts of linguistic prediction.
  • Janse, E. (2006). Auditieve woordherkenning bij afasie: Waarneming van mismatch items. Afasiologie, 28(4), 64-67.
  • Janse, E. (2006). Lexical competition effects in aphasia: Deactivation of lexical candidates in spoken word processing. Brain and Language, 97, 1-11. doi:10.1016/j.bandl.2005.06.011.

    Abstract

    Research has shown that Broca’s and Wernicke’s aphasic patients show different impairments in auditory lexical processing. The results of an experiment with form-overlapping primes showed an inhibitory effect of form-overlap for control adults and a weak inhibition trend for Broca’s aphasic patients, but a facilitatory effect of form-overlap was found for Wernicke’s aphasic participants. This suggests that Wernicke’s aphasic patients are mainly impaired in suppression of once-activated word candidates and selection of one winning candidate, which may be related to their problems in auditory language comprehension.
  • Janse, E., & Quené, H. (1999). On the suitability of the cross-modal semantic priming task. In Proceedings of the XIVth International Congress of Phonetic Sciences (pp. 1937-1940).
  • Janssen, D. (1999). Producing past and plural inflections. PhD Thesis, Radboud University Nijmegen, Nijmegen. doi:10.17617/2.2057667.
  • Janssen, R., Nolfi, S., Haselager, W. F. G., & Sprinkhuizen-Kuyper, I. G. (2016). Cyclic Incrementality in Competitive Coevolution: Evolvability through Pseudo-Baldwinian Switching-Genes. Artificial Life, 22(3), 319-352. doi:10.1162/ARTL_a_00208.

    Abstract

    Coevolving systems are notoriously difficult to understand. This is largely due to the Red Queen effect that dictates heterospecific fitness interdependence. In simulation studies of coevolving systems, master tournaments are often used to obtain more informed fitness measures by testing evolved individuals against past and future opponents. However, such tournaments still contain certain ambiguities. We introduce the use of a phenotypic cluster analysis to examine the distribution of opponent categories throughout an evolutionary sequence. This analysis, adopted from widespread usage in the bioinformatics community, can be applied to master tournament data. This allows us to construct behavior-based category trees, obtaining a hierarchical classification of phenotypes that are suspected to interleave during cyclic evolution. We use the cluster data to establish the existence of switching-genes that control opponent specialization, suggesting the retention of dormant genetic adaptations, that is, genetic memory. Our overarching goal is to reiterate how computer simulations may have importance to the broader understanding of evolutionary dynamics in general. We emphasize a further shift from a component-driven to an interaction-driven perspective in understanding coevolving systems. As yet, it is unclear how the sudden development of switching-genes relates to the gradual emergence of genetic adaptability. Likely, context genes gradually provide the appropriate genetic environment wherein the switching-gene effect can be exploited
  • Janssen, R., Winter, B., Dediu, D., Moisik, S. R., & Roberts, S. G. (2016). Nonlinear biases in articulation constrain the design space of language. In S. G. Roberts, C. Cuskley, L. McCrohon, L. Barceló-Coblijn, O. Feher, & T. Verhoef (Eds.), The Evolution of Language: Proceedings of the 11th International Conference (EVOLANG11). Retrieved from http://evolang.org/neworleans/papers/86.html.

    Abstract

    In Iterated Learning (IL) experiments, a participant’s learned output serves as the next participant’s learning input (Kirby et al., 2014). IL can be used to model cultural transmission and has indicated that weak biases can be amplified through repeated cultural transmission (Kirby et al., 2007). So, for example, structural language properties can emerge over time because languages come to reflect the cognitive constraints in the individuals that learn and produce the language. Similarly, we propose that languages may also reflect certain anatomical biases. Do sound systems adapt to the affordances of the articulation space induced by the vocal tract?
    The human vocal tract has inherent nonlinearities which might derive from acoustics and aerodynamics (cf. quantal theory, see Stevens, 1989) or biomechanics (cf. Gick & Moisik, 2015). For instance, moving the tongue anteriorly along the hard palate to produce a fricative does not result in large changes in acoustics in most cases, but for a small range there is an abrupt change from a perceived palato-alveolar [ʃ] to alveolar [s] sound (Perkell, 2012). Nonlinearities such as these might bias all human speakers to converge on a very limited set of phonetic categories, and might even be a basis for combinatoriality or phonemic ‘universals’.
    While IL typically uses discrete symbols, Verhoef et al. (2014) have used slide whistles to produce a continuous signal. We conducted an IL experiment with human subjects who communicated using a digital slide whistle for which the degree of nonlinearity is controlled. A single parameter (α) changes the mapping from slide whistle position (the ‘articulator’) to the acoustics. With α=0, the position of the slide whistle maps Bark-linearly to the acoustics. As α approaches 1, the mapping gets more double-sigmoidal, creating three plateaus where large ranges of positions map to similar frequencies. In more abstract terms, α represents the strength of a nonlinear (anatomical) bias in the vocal tract.
    Six chains (138 participants) of dyads were tested, each chain with a different, fixed α. Participants had to communicate four meanings by producing a continuous signal using the slide-whistle in a ‘director-matcher’ game, alternating roles (cf. Garrod et al., 2007).
    Results show that for high αs, subjects quickly converged on the plateaus. This quick convergence is indicative of a strong bias, repelling subjects away from unstable regions already within-subject. Furthermore, high αs lead to the emergence of signals that oscillate between two (out of three) plateaus. Because the sigmoidal spaces are spatially constrained, participants increasingly used the sequential/temporal dimension. As a result of this, the average duration of signals with high α was ~100ms longer than with low α. These oscillations could be an expression of a basis for phonemic combinatoriality.
    We have shown that it is possible to manipulate the magnitude of an articulator-induced non-linear bias in a slide whistle IL framework. The results suggest that anatomical biases might indeed constrain the design space of language. In particular, the signaling systems in our study quickly converged (within-subject) on the use of stable regions. While these conclusions were drawn from experiments using slide whistles with a relatively strong bias, weaker biases could possibly be amplified over time by repeated cultural transmission, and likely lead to similar outcomes.
  • Janssen, R., Dediu, D., & Moisik, S. R. (2016). Simple agents are able to replicate speech sounds using 3d vocal tract model. In S. G. Roberts, C. Cuskley, L. McCrohon, L. Barceló-Coblijn, O. Feher, & T. Verhoef (Eds.), The Evolution of Language: Proceedings of the 11th International Conference (EVOLANG11). Retrieved from http://evolang.org/neworleans/papers/97.html.

    Abstract

    Many factors have been proposed to explain why groups of people use different speech sounds in their language. These range from cultural, cognitive, environmental (e.g., Everett, et al., 2015) to anatomical (e.g., vocal tract (VT) morphology). How could such anatomical properties have led to the similarities and differences in speech sound distributions between human languages?

    It is known that hard palate profile variation can induce different articulatory strategies in speakers (e.g., Brunner et al., 2009). That is, different hard palate profiles might induce a kind of bias on speech sound production, easing some types of sounds while impeding others. With a population of speakers (with a proportion of individuals) that share certain anatomical properties, even subtle VT biases might become expressed at a population-level (through e.g., bias amplification, Kirby et al., 2007). However, before we look into population-level effects, we should first look at within-individual anatomical factors. For that, we have developed a computer-simulated analogue for a human speaker: an agent. Our agent is designed to replicate speech sounds using a production and cognition module in a computationally tractable manner.

    Previous agent models have often used more abstract (e.g., symbolic) signals. (e.g., Kirby et al., 2007). We have equipped our agent with a three-dimensional model of the VT (the production module, based on Birkholz, 2005) to which we made numerous adjustments. Specifically, we used a 4th-order Bezier curve that is able to capture hard palate variation on the mid-sagittal plane (XXX, 2015). Using an evolutionary algorithm, we were able to fit the model to human hard palate MRI tracings, yielding high accuracy fits and using as little as two parameters. Finally, we show that the samples map well-dispersed to the parameter-space, demonstrating that the model cannot generate unrealistic profiles. We can thus use this procedure to import palate measurements into our agent’s production module to investigate the effects on acoustics. We can also exaggerate/introduce novel biases.

    Our agent is able to control the VT model using the cognition module.

    Previous research has focused on detailed neurocomputation (e.g., Kröger et al., 2014) that highlights e.g., neurobiological principles or speech recognition performance. However, the brain is not the focus of our current study. Furthermore, present-day computing throughput likely does not allow for large-scale deployment of these architectures, as required by the population model we are developing. Thus, the question whether a very simple cognition module is able to replicate sounds in a computationally tractable manner, and even generalize over novel stimuli, is one worthy of attention in its own right.

    Our agent’s cognition module is based on running an evolutionary algorithm on a large population of feed-forward neural networks (NNs). As such, (anatomical) bias strength can be thought of as an attractor basin area within the parameter-space the agent has to explore. The NN we used consists of a triple-layered (fully-connected), directed graph. The input layer (three neurons) receives the formants frequencies of a target-sound. The output layer (12 neurons) projects to the articulators in the production module. A hidden layer (seven neurons) enables the network to deal with nonlinear dependencies. The Euclidean distance (first three formants) between target and replication is used as fitness measure. Results show that sound replication is indeed possible, with Euclidean distance quickly approaching a close-to-zero asymptote.

    Statistical analysis should reveal if the agent can also: a) Generalize: Can it replicate sounds not exposed to during learning? b) Replicate consistently: Do different, isolated agents always converge on the same sounds? c) Deal with consolidation: Can it still learn new sounds after an extended learning phase (‘infancy’) has been terminated? Finally, a comparison with more complex models will be used to demonstrate robustness.
  • Janzen, G. (2006). Memory for object location and route direction in virtual large-scale space. Ouarterly Journal of Experimental Psychology, 59(3), 493-508. doi:10.1080/02724980443000746.

    Abstract

    In everyday life people have to deal with tasks such as finding a novel path to a certain goal location, finding one’s way back, finding a short cut, or making a detour. In all of these tasks people acquire route knowledge. For finding the same way back they have to remember locations of objects like buildings and additionally direction changes. In three experiments using recognition tasks as well as conscious and unconscious spatial priming paradigms memory processes underlying wayfinding behaviour were investigated. Participants learned a route through a virtual environment with objects either placed at intersections (i.e., decision points) where another route could be chosen or placed along the route (non-decision points). Analyses indicate first that objects placed at decision points are recognized faster than other objects. Second, they indicate that the direction in which a route is travelled is represented only at locations that are relevant for wayfinding (e.g., decision points). The results point out the efficient way in which memory for object location and memory for route direction interact.
  • Jaspers, D., & Seuren, P. A. M. (2016). The Square of opposition in catholic hands: A chapter in the history of 20th-century logic. Logique et Analyse, 59(233), 1-35.

    Abstract

    The present study describes how three now almost forgotten mid-20th-century logicians, the American Paul Jacoby and the Frenchmen Augustin Sesmat and Robert Blanché, all three ardent Catholics, tried to restore traditional predicate logic to a position of respectability by expanding the classic Square of Opposition to a hexagon of logical relations, showing the logical and cognitive advantages of such an expansion. The nature of these advantages is discussed in the context of modern research regarding the relations between logic, language, and cognition. It is desirable to call attention to these attempts, as they are, though almost totally forgotten, highly relevant against the backdrop of the clash between modern and traditional logic. It is argued that this clash was and is unnecessary, as both forms of predicate logic are legitimate, each in its own right. The attempts by Jacoby, Sesmat, and Blanché are, moreover, of interest to the history of logic in a cultural context in that, in their own idiosyncratic ways, they fit into the general pattern of the Catholic cultural revival that took place roughly between the years 1840 and 1960. The Catholic Church had put up stiff resistance to modern mathematical logic, considering it dehumanizing and a threat to Catholic doctrine. Both the wider cultural context and the specific implications for logic are described and analyzed, in conjunction with the more general philosophical and doctrinal issues involved.
  • Jeske, J., Kember, H., & Cutler, A. (2016). Native and non-native English speakers' use of prosody to predict sentence endings. In Proceedings of the 16th Australasian International Conference on Speech Science and Technology (SST2016).
  • Jiang, T., Zhang, W., Wen, W., Zhu, H., Du, H., Zhu, X., Gao, X., Zhang, H., Dong, Q., & Chen, C. (2016). Reevaluating the two-representation model of numerical magnitude processing. Memory & Cognition, 44, 162-170. doi:10.3758/s13421-015-0542-2.

    Abstract

    One debate in mathematical cognition centers on the single-representation model versus the two-representation model. Using an improved number Stroop paradigm (i.e., systematically manipulating physical size distance), in the present study we tested the predictions of the two models for number magnitude processing. The results supported the single-representation model and, more importantly, explained how a design problem (failure to manipulate physical size distance) and an analytical problem (failure to consider the interaction between congruity and task-irrelevant numerical distance) might have contributed to the evidence used to support the two-representation model. This study, therefore, can help settle the debate between the single-representation and two-representation models. © 2015 The Author(s)
  • St. John-Saaltink, E. (2016). When the past influences the present: Modulations of the sensory response by prior knowledge and task set. PhD Thesis, Radboud University, Nijmegen.
  • Jones, S., Nyberg, L., Sandblom, J., Stigsdotter Neely, A., Ingvar, M., Petersson, K. M., & Bäckman, L. (2006). Cognitive and neural plasticity in aging: General and task-specific limitations. Neuroscience and Biobehavioral Reviews, 30(6), 864-871. doi:10.1016/j.neubiorev.2006.06.012.

    Abstract

    There is evidence for cognitive as well as neural plasticity across the adult life span, although aging is associated with certain constraints on plasticity. In the current paper, we argue that the age-related reduction in cognitive plasticity may be due to (a) deficits in general processing resources, and (b) failure to engage in task-relevant cognitive operations. Memory-training research suggests that age-related processing deficits (e.g., executive functions, speed) hinder older adults from utilizing mnemonic techniques as efficiently as the young, and that this age difference is reflected by diminished frontal activity during mnemonic use. Additional constraints on memory plasticity in old age are related to difficulties that are specific to the task, such as creating visual images, as well as in binding together the information to be remembered. These deficiencies are paralleled by reduced activity in occipito-parietal and medial–temporal regions, respectively. Future attempts to optimize intervention-related gains in old age should consider targeting both general processing and task-specific origins of age-associated reductions in cognitive plasticity.
  • Jongman, S. R. (2016). Sustained attention in language production. PhD Thesis, Radboud University Nijmegen, Nijmegen.
  • Jordens, P., & Dimroth, C. (2006). Finiteness in children and adults learning Dutch. In N. Gagarina, & I. Gülzow (Eds.), The acquisition of verbs and their grammar: The effect of particular languages (pp. 173-200). Dordrecht: Springer.
  • Jordens, P. (2006). Inversion as an artifact: The acquisition of topicalization in child L1- and adult L2-Dutch. In S. H. Foster-Cohen, M. Medved Krajnovic, & J. Mihaljevic Djigunovic (Eds.), EUROSLA Yearbook 6 (pp. 101-120).
  • Kartushina, N., Hervais-Adelman, A., Frauenfelder, U. H., & Golestani, N. (2016). Mutual influences between native and non-native vowels in production: Evidence from short-term visual articulatory feedback training. Journal of Phonetics, 57, 21-39. doi:10.1016/j.wocn.2016.05.001.

    Abstract

    We studied mutual influences between native and non-native vowel production during learning, i.e., before and after short-term visual articulatory feedback training with non-native sounds. Monolingual French speakers were trained to produce two non-native vowels: the Danish /ɔ/, which is similar to the French /o/, and the Russian /ɨ/, which is dissimilar from French vowels. We examined relationships between the production of French and non-native vowels before training, and the effects of training with non-native vowels on the production of French ones. We assessed for each participant the acoustic position and compactness of the trained vowels, and of the French /o/, /ø/, /y/ and /i/ vowels, which are acoustically closest to the trained vowels. Before training, the compactness of the French vowels was positively related to the accuracy and compactness in the production of non-native vowels. After training, French speakers’ accuracy and stability in the production of the two trained vowels improved on average by 19% and 37.5%, respectively. Interestingly, the production of native vowels was also affected by this learning process, with a drift towards non-native vowels. The amount of phonetic drift appears to depend on the degree of similarity between the native and non-native sounds.
  • Kavaklioglu, T., Ajmal, M., Hameed, A., & Francks, C. (2016). Whole exome sequencing for handedness in a large and highly consanguineous family. Neuropsychologia, 93, part B, 342-349. doi:10.1016/j.neuropsychologia.2015.11.010.

    Abstract

    Pinpointing genes involved in non-right-handedness has the potential to clarify developmental contributions to human brain lateralization. Major-gene models have been considered for human handedness which allow for phenocopy and reduced penetrance, i.e. an imperfect correspondence between genotype and phenotype. However, a recent genome-wide association scan did not detect any common polymorphisms with substantial genetic effects. Previous linkage studies in families have also not yielded significant findings. Genetic heterogeneity and/or polygenicity are therefore indicated, but it remains possible that relatively rare, or even unique, major-genetic effects may be detectable in certain extended families with many non-right-handed members. Here we applied whole exome sequencing to 17 members from a single, large consanguineous family from Pakistan. Multipoint linkage analysis across all autosomes did not yield clear candidate genomic regions for involvement in the trait and single-point analysis of exomic variation did not yield clear candidate mutations/genes. Any genetic contribution to handedness in this unusual family is therefore likely to have a complex etiology, as at the population level.
  • Kember, H., Choi, J., & Cutler, A. (2016). Processing advantages for focused words in Korean. In J. Barnes, A. Brugos, S. Shattuck-Hufnagel, & N. Veilleux (Eds.), Proceedings of Speech Prosody 2016 (pp. 702-705).

    Abstract

    In Korean, focus is expressed in accentual phrasing. To ascertain whether words focused in this manner enjoy a processing advantage analogous to that conferred by focus as expressed in, e.g, English and Dutch, we devised sentences with target words in one of four conditions: prosodic focus, syntactic focus, prosodic + syntactic focus, and no focus as a control. 32 native speakers of Korean listened to blocks of 10 sentences, then were presented visually with words and asked whether or not they had heard them. Overall, words with focus were recognised significantly faster and more accurately than unfocused words. In addition, words with syntactic focus or syntactic + prosodic focus were recognised faster than words with prosodic focus alone. As for other languages, Korean focus confers processing advantage on the words carrying it. While prosodic focus does provide an advantage, however, syntactic focus appears to provide the greater beneficial effect for recognition memory
  • Kempen, G., Anbeek, G., Desain, P., Konst, L., & De Smedt, K. (1987). Auteursomgevingen: Vijfde-generatie tekstverwerkers. Informatie, 29, 988-993.
  • Kempen, G., Anbeek, G., Desain, P., Konst, L., & De Semdt, K. (1987). Author environments: Fifth generation text processors. In Commission of the European Communities. Directorate-General for Telecommunications, Information Industries, and Innovation (Ed.), Esprit'86: Results and achievements (pp. 365-372). Amsterdam: Elsevier Science Publishers.
  • Kempen, G., Anbeek, G., Desain, P., Konst, L., & De Smedt, K. (1987). Author environments: Fifth generation text processors. In Commission of the European Communities. Directorate-General for Telecommunications, Information Industries, and Innovation (Ed.), Esprit'86: Results and achievements (pp. 365-372). Amsterdam: Elsevier Science Publishers.
  • Kempen, G. (1979). A study of syntactic bookkeeping during sentence production. In H. Ueckert, & D. Rhenius (Eds.), Komplexe menschliche Informationsverarbeitung (pp. 361-368). Bern: Hans Huber.

    Abstract

    It is an important feature of the human sentence production system that semantic and syntactic processes may overlap in time and do not proceed strictly serially. That is, the process of building the syntactic form of an utterance does not always wait until the complete semantic content for that utterance has been decided upon. On the contrary, speakers will often start pronouncing the first words of a sentence while still working on further details of its semantic content. An important advantage is memory economy. Semantic and syntactic fragments do not have to occupy working memory until complete semantic and syntactic structures for an utterance have been computed. Instead, each semantic and syntactic fragment is processed as soon as possible and is kept in working memory for a minimum period of time. This raises the question of how the sentence production system can maintain syntactic coherence across syntactic fragments. Presumably there are processes of "syntactic bookkeeping" which (1) store in working memory those syntactic properties of a fragmentary sentence which are needed to eliminate ungrammatical continuations, and (2) check whether a prospective continuation is indeed compatible with the sentence constructed so far. In reaction time experiments where subjects described, under time pressure, simple static pictures of an action performed by an actor, the second aspect of syntactic bookkeeping could be demonstrated. This evidence is used for modelling bookkeeping processes as part of a computational sentence generator which aims at simulating the syntactic operations people carry out during spontaneous speech.
  • Kempen, G., & Hoenkamp, E. (1987). An incremental procedural grammar for sentence formulation. Cognitive Science, 11(2), 201-258.

    Abstract

    This paper presents a theory of the syntactic aspects of human sentence production. An important characteristic of unprepared speech is that overt pronunciation of a sentence can be initiated before the speaker has completely worked out the meaning content he or she is going to express in that sentence. Apparently, the speaker is able to build up a syntactically coherent utterance out of a series of syntactic fragments each rendering a new part of the meaning content. This incremental, left-to-right mode of sentence production is the central capability of the proposed Incremental Procedural Grammar (IPG). Certain other properties of spontaneous speech, as derivable from speech errors, hesitations, self-repairs, and language pathology, are accounted for as well. The psychological plausibility thus gained by the grammar appears compatible with a satisfactory level of linguistic plausibility in that sentences receive structural descriptions which are in line with current theories of grammar. More importantly, an explanation for the existence of configurational conditions on transformations and other linguistics rules is proposed. The basic design feature of IPG which gives rise to these psychologically and linguistically desirable properties, is the “Procedures + Stack” concept. Sentences are built not by a central constructing agency which overlooks the whole process but by a team of syntactic procedures (modules) which work-in parallel-on small parts of the sentence, have only a limited overview, and whose sole communication channel is a stock. IPG covers object complement constructions, interrogatives, and word order in main and subordinate clauses. It handles unbounded dependencies, cross-serial dependencies and coordination phenomena such as gapping and conjunction reduction. It is also capable of generating self-repairs and elliptical answers to questions. IPG has been implemented as an incremental Dutch sentence generator written in LISP.
  • Kempen, G. (1999). Fiets en (centri)fuge. Onze Taal, 68, 88.
  • Kempen, G. (1979). La mise en paroles, aspects psychologiques de l'expression orale. Études de Linguistique Appliquée, 33, 19-28.

    Abstract

    Remarques sur les facteurs intervenant dans le processus de formulation des énoncés.
  • Kempen, G. (Ed.). (1987). Natural language generation: New results in artificial intelligence, psychology and linguistics. Dordrecht: Nijhoff.
  • Kempen, G. (Ed.). (1987). Natuurlijke taal en kunstmatige intelligentie: Taal tussen mens en machine. Groningen: Wolters-Noordhoff.
  • Kempen, G. (1979). Psychologie van de zinsbouw: Een Wundtiaanse inleiding. Nederlands Tijdschrift voor de Psychologie, 34, 533-551.

    Abstract

    The psychology of language as developed by Wilhelm Wundt in his fundamental work Die Sprache (1900) has a strongly mentalistic character. The dominating positions held by behaviorism in psychology and structuralism in linguistics have overruled Wundt’s language theory to the effect that it has remained relatively unknown. This situation has changed recently under the influence of transformational linguistics and cognitive psychology. The paper discusses how Wundt applied the basic psychological concepts of apperception and association to language behavior, in particular to the construction and production of sentences during unprepared speech. The final part of the paper is devoted to the work, published in 1917, of the Dutch linguistic scholar Jacques van Ginneken, who elaborated Wundt’s ideas towards an explanation of some syntactic phenomena during the language acquisition of children.
  • Kempen, G. (1987). Tekstverwerking: De vijfde generatie. Informatie, 29, 402-406.
  • Kempen, G. (1979). Woordwaarde. De Psycholoog, 14, 577.
  • Kempen, G., & Harbusch, K. (2016). Verb-second word order after German weil ‘because’: psycholinguistic theory from corpus-linguistic data. Glossa: a journal of general linguistics, 1(1): 3. doi:10.5334/gjgl.46.

    Abstract

    In present-day spoken German, subordinate clauses introduced by the connector weil ‘because’ occur with two orders of subject, finite verb, and object(s). In addition to weil clauses with verb-final word order (“VF”; standard in subordinate clauses) one often hears weil clauses with SVO, the standard order of main clauses (“verb-second”, V2). The “weil-V2” phenomenon is restricted to sentences where the weil clause follows the main clause, and is virtually absent from formal (written, edited) German, occurring only in extemporaneous speech. Extant accounts of weil-V2 focus on the interpretation of weil-V2 clauses by the hearer, in particular on the type of discourse relation licensed by weil-V2 vs. weil-VF: causal/propositional or inferential/epistemic. Focusing instead on the production of weil clauses by the speaker, we examine a collection of about 1,000 sentences featuring a causal connector (weil, da or denn) after the main clause, all extracted from a corpus of spoken German dialogues and annotated with tags denoting major prosodic and syntactic boundaries, and various types of disfluencies (pauses, hesitations). Based on the observed frequency patterns and on known linguistic properties of the connectors, we propose that weil-V2 is caused by miscoordination between the mechanisms for lexical retrieval and grammatical encoding: Due to its high frequency, the lexical item weil is often selected prematurely, while the grammatical encoder is still working on the syntactic shape of the weil clause. Weil-V2 arises when pragmatic and processing factors drive the encoder to discontinue the current sentence, and to plan the clause following weil in the form of the main clause of an independent, new sentence. Thus, the speaker continues with a V2 clause, seemingly in violation of the VF constraint imposed by the preceding weil. We also explore implications of the model regarding the interpretation of sentences containing causal connectors.
  • Kempen, G. (1999). Visual Grammar: Multimedia for grammar and spelling instruction in primary education. In K. Cameron (Ed.), CALL: Media, design, and applications (pp. 223-238). Lisse: Swets & Zeitlinger.
  • Kemps-Snijders, M., Ducret, J., Romary, L., & Wittenburg, P. (2006). An API for accessing the data category registry. In Proceedings of the 5th International Conference on Language Resources and Evaluation (LREC 2006) (pp. 2299-2302).
  • Kemps-Snijders, M., Nederhof, M.-J., & Wittenburg, P. (2006). LEXUS, a web-based tool for manipulating lexical resources. In Proceedings of the 5th International Conference on Language Resources and Evaluation (LREC 2006) (pp. 1862-1865).
  • Kendrick, K. H., & Drew, P. (2016). Recruitment: Offers, requests, and the organization of assistance in interaction. Research on Language and Social Interaction, 49(1), 1-19. doi:10.1080/08351813.2016.1126436.

    Abstract

    In this article, we examine methods that participants use to resolve troubles in the realization of practical courses of action. The concept of recruitment is developed to encompass the linguistic and embodied ways in which assistance may be sought – requested or solicited – or in which we come to perceive another’s need and offer or volunteer assistance. We argue that these methods are organized as a continuum, from explicit requests, to practices that elicit offers, to anticipations of need. We further identify a class of subsidiary actions that can precede recruitment and that publicly expose troubles and thereby create opportunities for others to assist. Data in American and British English.
  • Kendrick, K. H., & Drew, P. (2016). The boundary of recruitment: A response. Research on Language and Social Interaction, 49, 32-33. doi:10.1080/08351813.2016.1126442.

    Abstract

    In their commentaries, both Heritage (2016/this issue) and Zinken and Rossi (2016/this issue) provide some context for our concept of and approach to recruitment in terms of previous research into requesting and offering. In doing so, they usefully consider what might be the boundaries of recruitmentwhat might be included and what might not be included or treated as recruitment. We respond here to their suggestions concerning these boundaries.
  • Kent, A., & Kendrick, K. H. (2016). Imperative directives: Orientations to accountability. Research on Language and Social Interaction, 49(3), 272-288. doi:10.1080/08351813.2016.1201737.

    Abstract

    Our analysis proceeds from the question that if grammar alone is insuffi- cient to identify the action of an imperative (e.g., offering, directing, warn- ing, begging, etc.), how can interlocutors come to recognize the specific action being performed by a given imperative? We argue that imperative directives that occur after the directed action could have first been rele- vantly performed explicitly to direct the actions of the recipient and tacitly treat the absence of the action as a failure for which the recipient is accountable. The tacit nature of the accountability orientation enables both parties to focus on restoring progressivity to the directed course of action rather than topicalizing a transgression. Data are from everyday interactions in British and American English.
  • Kidd, E. (2006). [Review of the book Syntactic carpentry: An emergentist approach to syntax by William O'Grady]. Journal of Child Language, 33(4), 905-910. doi:10.1017/S030500090622782X.
  • Kidd, E., & Arciuli, J. (2016). Individual Differences in Statistical Learning Predict Children's Comprehension of Syntax. Child Development, 87(1), 184-193. doi:10.1111/cdev.12461.

    Abstract

    Variability in children's language acquisition is likely due to a number of cognitive and social variables. The current study investigated whether individual differences in statistical learning (SL), which has been implicated in language acquisition, independently predicted 6- to 8-year-old's comprehension of syntax. Sixty-eight (N = 68) English-speaking children completed a test of comprehension of four syntactic structures, a test of SL utilizing nonlinguistic visual stimuli, and several additional control measures. The results revealed that SL independently predicted comprehension of two syntactic structures that show considerable variability in this age range: passives and object relative clauses. These data suggest that individual differences in children's capacity for SL are associated with the acquisition of the syntax of natural languages.
  • Kidd, E., Kemp, N., Kashima, E. S., & Quinn, S. (2016). Language, culture, and group membership: An investigation into the social effects of colloquial Australian English. Journal of Cross-Cultural Psychology, 47(5), 713-733. doi:10.1177/0022022116638175.

    Abstract

    Languages are strong markers of social identity. Multiple features of language and speech, from accent to lexis to grammatical constructions, mark speakers as members of specific cultural groups. In the current article, we present two confederate-scripted studies that investigated the social effects of the Australian hypocoristic use (e.g., uggie, uni, derro)—a lexical category emblematic of Australian culture. Participants took turns with a confederate directing each other through locations on a map. In their directions, the confederate used either hypocoristic (e.g., uni) or standard forms (e.g., university). The confederate’s cultural group membership and member prototypicality were manipulated by ethnic background and accent: In a highly prototypical in-group condition, the confederate had an Anglo-Celtic background and Australian English (AusE) accent; in a low prototypical in-group condition, the confederate had an Asian background and AusE accent; and in the out-group condition, the confederate had an Asian background and non-AusE accent. Hypocoristic use resulted in significantly higher participant-rated perceived common ground with the confederate when the confederate was an in-group but not an out-group member, which in some instances was moderated by in-group identification. The results suggest that like accents, culturally significant lexical categories function as markers of in-group identity, which influence perceived social closeness during interaction.
  • Kidd, E., Lieven, E., & Tomasello, M. (2006). Examining the role of lexical frequency in children's acquisition of sentential complements. Cognitive Development, 21(2), 93-107. doi:10.1016/j.cogdev.2006.01.006.

    Abstract

    We present empirical data showing that the relative frequency with which a verb normally appears in a syntactic construction predicts young children's ability to remember and repeat sentences instantiating that construction. Children aged 2;10–5;8 years were asked to repeat grammatical and ungrammatical sentential complement sentences (e.g., ‘I think + S’). The sentences contained complement-taking verbs (CTVs) used with differing frequencies in children's natural speech. All children repeated sentences containing high frequency CTVs (e.g., think) more accurately than those containing low frequency CTVs (e.g., hear), and made more sophisticated corrections to ungrammatical sentences containing high frequency CTVs. The data suggest that, like adults, children are sensitive to lexico-constructional collocations. The implications for language acquisition are discussed.
  • Kidd, E. (2006). The acquisition of complement clause constructions. In E. V. Clark, & B. F. Kelly (Eds.), Constructions in acquisition (pp. 311-332). Stanford: Center for the Study of Language and Information.
  • Kita, S., & Ozyurek, A. (1999). Semantische Koordination zwischen Sprache und spontanen ikonischen Gesten: Eine sprachvergleichende Untersuchung. In Max-Planck-Gesellschaft (Ed.), Jahrbuch 1998 (pp. 388-391). Göttingen: Vandenhoeck & Ruprecht.
  • Klassmann, A., Offenga, F., Broeder, D., Skiba, R., & Wittenburg, P. (2006). Comparison of resource discovery methods. In Proceedings of the 5th International Conference on Language Resources and Evaluation (LREC 2006) (pp. 113-116).
  • Klassmann, A., Offenga, F., Broeder, D., & Skiba, R. (2006). IMDI metadata field usage at MPI. Language Archive Newsletter, no. 8, 6-8.
  • Klein, W. (2006). On finiteness. In V. Van Geenhoven (Ed.), Semantics in acquisition (pp. 245-272). Dordrecht: Springer.

    Abstract

    The distinction between finite and non-finite verb forms is well-established but not particularly well-defined. It cannot just be a matter of verb morphology, because it is also made when there is hardly any morphological difference: by far most English verb forms can be finite as well as non-finite. More importantly, many structural phenomena are clearly associated with the presence or absence of finiteness, a fact which is clearly reflected in the early stages of first and second language acquisition. In syntax, these include basic word order rules, gapping, the licensing of a grammatical subject and the licensing of expletives. In semantics, the specific interpretation of indefinite noun phrases is crucially linked to the presence of a finite element. These phenomena are surveyed, and it is argued that finiteness (a) links the descriptive content of the sentence (the 'sentence basis') to its topic component (in particular, to its topic time), and (b) it confines the illocutionary force to that topic component. In a declarative main clause, for example, the assertion is confined to a particular time, the topic time. It is shown that most of the syntactic and semantic effects connected to finiteness naturally follow from this assumption.
  • Klein, K. M., Pendziwiat, M., Cohen, R., Appenzeller, S., De Kovel, C. G. F., Rosenow, F., Koeleman, B. P., Kuhlenbaumer, G., Sheintuch, L., Veksler, R., Friedman, A., Afawi, Z., & Helbig, I. (2016). Autosomal dominant epilepsy with auditory features: a new LGI1 family including a phenocopy with cortical dysplasia. Journal of Neurology, 263(1), 11-6. doi:10.1007/s00415-015-7921-2.
  • Klein, W., & Musan, R. (Eds.). (1999). Das deutsche Perfekt [Special Issue]. Zeitschrift für Literaturwissenschaft und Linguistik, (113).
  • Klein, W. (1987). Das Geltende, oder: System der Überzeugungen. Zeitschrift für Literaturwissenschaft und Linguistik, (64), 10-31.
  • Klein, W. (1987). Eine Verschärfung des Entscheidungsproblems. Rechtshistorisches Journal, 6, 209-210.
  • Klein, W. (1979). Einleitung. Zeitschrift für Literaturwissenschaft und Linguistik; Metzler, Stuttgart, 9(33), 7-8.
  • Klein, W., & Dittmar, N. (1979). Developing grammars. Berlin: Springer.
  • Klein, W. (1999). Die Lehren des Zweitspracherwerbs. In N. Dittmar, & A. Ramat (Eds.), Grammatik und Diskurs: Studien zum Erwerb des Deutschen und des Italienischen (pp. 279-290). Tübingen: Stauffenberg.
  • Klein, W. (1979). Die Geschichte eines Tores. In R. Baum, F. J. Hausmann, & I. Monreal-Wickert (Eds.), Sprache in Unterricht und Forschung: Schwerpunkt Romanistik (pp. 175-194). Tübingen: Narr.
  • Klein, W., & Von Stutterheim, C. (2006). How to solve a complex verbal task: Text structure, referential movement and the quaestio. Aquisição de Linguas Estrangeiras, 30/31, 29-67.
  • Klein, W. (1987). L'espressione della temporalita in una varieta elementare di L2. In A. Ramat (Ed.), L'apprendimento spontaneo di una seconda lingua (pp. 131-146). Bologna: Molino.
  • Klein, W., & Von Stutterheim, C. (1987). Quaestio und referentielle Bewegung in Erzählungen. Linguistische Berichte, 109, 163-183.
  • Klein, W. (Ed.). (1979). Sprache und Kontext [Special Issue]. Zeitschrift für Literaturwissenschaft und Linguistik, (33).
  • Klein, W. (Ed.). (1987). Sprache und Ritual [Special Issue]. Zeitschrift für Literaturwissenschaft und Linguistik, (65).
  • Klein, W. (1979). Wegauskünfte. Zeitschrift für Literaturwissenschaft und Linguistik, 33, 9-57.
  • Klein, W. (1999). Wie sich das deutsche Perfekt zusammensetzt. Zeitschrift für Literaturwissenschaft und Linguistik; Metzler, Stuttgart, (113), 52-85.
  • Koch, X., & Janse, E. (2016). Speech rate effects on the processing of conversational speech across the adult life span. The Journal of the Acoustical Society of America, 139(4), 1618-1636. doi:10.1121/1.4944032.

    Abstract

    This study investigates the effect of speech rate on spoken word recognition across the adult life span. Contrary to previous studies, conversational materials with a natural variation in speech rate were used rather than lab-recorded stimuli that are subsequently artificially time-compressed. It was investigated whether older adults' speech recognition is more adversely affected by increased speech rate compared to younger and middle-aged adults, and which individual listener characteristics (e.g., hearing, fluid cognitive processing ability) predict the size of the speech rate effect on recognition performance. In an eye-tracking experiment, participants indicated with a mouse-click which visually presented words they recognized in a conversational fragment. Click response times, gaze, and pupil size data were analyzed. As expected, click response times and gaze behavior were affected by speech rate, indicating that word recognition is more difficult if speech rate is faster. Contrary to earlier findings, increased speech rate affected the age groups to the same extent. Fluid cognitive processing ability predicted general recognition performance, but did not modulate the speech rate effect. These findings emphasize that earlier results of age by speech rate interactions mainly obtained with artificially speeded materials may not generalize to speech rate variation as encountered in conversational speech.
  • Koch, X., Dingemanse, G., Goedegebure, A., & Janse, E. (2016). Type of speech material affects Acceptable Noise Level outcome. Frontiers in Psychology, 7: 186. doi:10.3389/fpsyg.2016.00186.

    Abstract

    The Acceptable Noise Level (ANL) test, in which individuals indicate what level of noise they are willing to put up with while following speech, has been used to guide hearing aid fitting decisions and has been found to relate to prospective hearing aid use. Unlike objective measures of speech perception ability, ANL outcome is not related to individual hearing loss or age, but rather reflects an individual's inherent acceptance of competing noise while listening to speech. As such, the measure may predict aspects of hearing aid success. Crucially, however, recent studies have questioned its repeatability (test-retest reliability). The first question for this study was whether the inconsistent results regarding the repeatability of the ANL test may be due to differences in speech material types used in previous studies. Second, it is unclear whether meaningfulness and semantic coherence of the speech modify ANL outcome. To investigate these questions, we compared ANLs obtained with three types of materials: the International Speech Test Signal (ISTS), which is non-meaningful and semantically non-coherent by definition, passages consisting of concatenated meaningful standard audiology sentences, and longer fragments taken from conversational speech. We included conversational speech as this type of speech material is most representative of everyday listening. Additionally, we investigated whether ANL outcomes, obtained with these three different speech materials, were associated with self-reported limitations due to hearing problems and listening effort in everyday life, as assessed by a questionnaire. ANL data were collected for 57 relatively good-hearing adult participants with an age range representative for hearing aid users. Results showed that meaningfulness, but not semantic coherence of the speech material affected ANL. Less noise was accepted for the non-meaningful ISTS signal than for the meaningful speech materials. ANL repeatability was comparable across the speech materials. Furthermore, ANL was found to be associated with the outcome of a hearing-related questionnaire. This suggests that ANL may predict activity limitations for listening to speech-in-noise in everyday situations. In conclusion, more natural speech materials can be used in a clinical setting as their repeatability is not reduced compared to more standard materials.
  • Koornneef, A. W., & Van Berkum, J. J. A. (2006). On the use of verb-based implicit causality in sentence comprehension: Evidence from self-paced reading and eye tracking. Journal of Memory and Language, 54(4), 445-465. doi:10.1016/j.jml.2005.12.003.

    Abstract

    In two experiments, we examined the recent claim (Stewart, Pickering, & Sanford, 2000) that verb-based implicit causality information is used during sentence–final clausal integration only. We did so by looking for mid-sentence reading delays caused by pronouns that are inconsistent with the bias of a preceding implicit causality verb (e.g., “David praised Linda because he…”). In a self-paced reading task, such pronouns immediately slowed down reading, at the two words immediately following the pronoun. In eye tracking, bias-inconsistent pronouns also immediately perturbed the reading process, as indexed by significant delays in various first pass measures at and shortly after the critical pronoun. Hence, readers can recruit verb-based implicit causality information in the service of comprehension rapidly enough to impact on the interpretation of a pronoun early in the subordinate clause. We take our results to suggest that implicit causality is used proactively, allowing readers to focus on, and perhaps even predict, who or what will be talked about next.
  • Kopecka, A. (2006). The semantic structure of motion verbs in French: Typological perspectives. In M. Hickmann, & Roberts S. (Eds.), Space in languages: Linguistic systems and cognitive categories (pp. 83-102). Amsterdam: Benjamins.

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