Publications

Displaying 1 - 100 of 1374
  • Abdel Rahman, R., & Sommer, W. (2003). Does phonological encoding in speech production always follow the retrieval of semantic knowledge?: Electrophysiological evidence for parallel processing. Cognitive Brain Research, 16(3), 372-382. doi:10.1016/S0926-6410(02)00305-1.

    Abstract

    In this article a new approach to the distinction between serial/contingent and parallel/independent processing in the human cognitive system is applied to semantic knowledge retrieval and phonological encoding of the word form in picture naming. In two-choice go/nogo tasks pictures of objects were manually classified on the basis of semantic and phonological information. An additional manipulation of the duration of the faster and presumably mediating process (semantic retrieval) allowed to derive differential predictions from the two alternative models. These predictions were tested with two event-related brain potentials (ERPs), the lateralized readiness potential (LRP) and the N200. The findings indicate that phonological encoding can proceed in parallel to the retrieval of semantic features. A suggestion is made how to accommodate these findings with models of speech production.
  • Abdel Rahman, R., Van Turennout, M., & Levelt, W. J. M. (2003). Phonological encoding is not contingent on semantic feature retrieval: An electrophysiological study on object naming. Journal of Experimental Psychology: Learning, Memory, and Cognition, 29(5), 850-860. doi:10.1037/0278-7393.29.5.850.

    Abstract

    In the present study, the authors examined with event-related brain potentials whether phonological encoding in picture naming is mediated by basic semantic feature retrieval or proceeds independently. In a manual 2-choice go/no-go task the choice response depended on a semantic classification (animal vs. object) and the execution decision was contingent on a classification of name phonology (vowel vs. consonant). The introduction of a semantic task mixing procedure allowed for selectively manipulating the speed of semantic feature retrieval. Serial and parallel models were tested on the basis of their differential predictions for the effect of this manipulation on the lateralized readiness potential and N200 component. The findings indicate that phonological code retrieval is not strictly contingent on prior basic semantic feature processing.
  • Acheson, D. J., & Hagoort, P. (2014). Twisting tongues to test for conflict monitoring in speech production. Frontiers in Human Neuroscience, 8: 206. doi:10.3389/fnhum.2014.00206.

    Abstract

    A number of recent studies have hypothesized that monitoring in speech production may occur via domain-general mechanisms responsible for the detection of response conflict. Outside of language, two ERP components have consistently been elicited in conflict-inducing tasks (e.g., the flanker task): the stimulus-locked N2 on correct trials, and the response-locked error-related negativity (ERN). The present investigation used these electrophysiological markers to test whether a common response conflict monitor is responsible for monitoring in speech and non-speech tasks. Electroencephalography (EEG) was recorded while participants performed a tongue twister (TT) task and a manual version of the flanker task. In the TT task, people rapidly read sequences of four nonwords arranged in TT and non-TT patterns three times. In the flanker task, people responded with a left/right button press to a center-facing arrow, and conflict was manipulated by the congruency of the flanking arrows. Behavioral results showed typical effects of both tasks, with increased error rates and slower speech onset times for TT relative to non-TT trials and for incongruent relative to congruent flanker trials. In the flanker task, stimulus-locked EEG analyses replicated previous results, with a larger N2 for incongruent relative to congruent trials, and a response-locked ERN. In the TT task, stimulus-locked analyses revealed broad, frontally-distributed differences beginning around 50 ms and lasting until just before speech initiation, with TT trials more negative than non-TT trials; response-locked analyses revealed an ERN. Correlation across these measures showed some correlations within a task, but little evidence of systematic cross-task correlation. Although the present results do not speak against conflict signals from the production system serving as cues to self-monitoring, they are not consistent with signatures of response conflict being mediated by a single, domain-general conflict monitor
  • Adank, P., Smits, R., & Van Hout, R. (2003). Modeling perceived vowel height, advancement, and rounding. In Proceedings of the 15th International Congress of Phonetic Sciences (ICPhS 2003) (pp. 647-650). Adelaide: Causal Productions.
  • Agus, T., Carrion Castillo, A., Pressnitzer, D., & Ramus, F. (2014). Perceptual learning of acoustic noise by individuals with dyslexia. Journal of Speech, Language, and Hearing Research., 57, 1069-1077. doi:10.1044/1092-4388(2013/13-0020).

    Abstract

    Purpose: A phonological deficit is thought to affect most individuals with developmental dyslexia. The present study addresses whether the phonological deficit is caused by difficulties with perceptual learning of fine acoustic details. Method: A demanding test of nonverbal auditory memory, “noise learning,” was administered to both adults with dyslexia and control adult participants. On each trial, listeners had to decide whether a stimulus was a 1-s noise token or 2 abutting presentations of the same 0.5-s noise token (repeated noise). Without the listener’s knowledge, the exact same noise tokens were presented over many trials. An improved ability to perform the task for such “reference” noises reflects learning of their acoustic details. Results: Listeners with dyslexia did not differ from controls in any aspect of the task, qualitatively or quantitatively. They required the same amount of training to achieve discrimination of repeated from nonrepeated noises, and they learned the reference noises as often and as rapidly as the control group. However, they did show all the hallmarks of dyslexia, including a well-characterized phonological deficit. Conclusion: The data did not support the hypothesis that deficits in basic auditory processing or nonverbal learning and memory are the cause of the phonological deficit in dyslexia
  • Akker, E., & Cutler, A. (2003). Prosodic cues to semantic structure in native and nonnative listening. Bilingualism: Language and Cognition, 6(2), 81-96. doi:10.1017/S1366728903001056.

    Abstract

    Listeners efficiently exploit sentence prosody to direct attention to words bearing sentence accent. This effect has been explained as a search for focus, furthering rapid apprehension of semantic structure. A first experiment supported this explanation: English listeners detected phoneme targets in sentences more rapidly when the target-bearing words were in accented position or in focussed position, but the two effects interacted, consistent with the claim that the effects serve a common cause. In a second experiment a similar asymmetry was observed with Dutch listeners and Dutch sentences. In a third and a fourth experiment, proficient Dutch users of English heard English sentences; here, however, the two effects did not interact. The results suggest that less efficient mapping of prosody to semantics may be one way in which nonnative listening fails to equal native listening.
  • Alario, F.-X., Schiller, N. O., Domoto-Reilly, K., & Caramazza, A. (2003). The role of phonological and orthographic information in lexical selection. Brain and Language, 84(3), 372-398. doi:10.1016/S0093-934X(02)00556-4.

    Abstract

    We report the performance of two patients with lexico-semantic deficits following left MCA CVA. Both patients produce similar numbers of semantic paraphasias in naming tasks, but presented one crucial difference: grapheme-to-phoneme and phoneme-to-grapheme conversion procedures were available only to one of them. We investigated the impact of this availability on the process of lexical selection during word production. The patient for whom conversion procedures were not operational produced semantic errors in transcoding tasks such as reading and writing to dictation; furthermore, when asked to name a given picture in multiple output modalities—e.g., to say the name of a picture and immediately after to write it down—he produced lexically inconsistent responses. By contrast, the patient for whom conversion procedures were available did not produce semantic errors in transcoding tasks and did not produce lexically inconsistent responses in multiple picture-naming tasks. These observations are interpreted in the context of the summation hypothesis (Hillis & Caramazza, 1991), according to which the activation of lexical entries for production would be made on the basis of semantic information and, when available, on the basis of form-specific information. The implementation of this hypothesis in models of lexical access is discussed in detail.
  • Alday, P. M., Schlesewsky, M., & Bornkessel-Schlesewsky, I. (2014). Towards a Computational Model of Actor-Based Language Comprehension. Neuroinformatics, 12(1), 143-179. doi:10.1007/s12021-013-9198-x.

    Abstract

    Neurophysiological data from a range of typologically diverse languages provide evidence for a cross-linguistically valid, actor-based strategy of understanding sentence-level meaning. This strategy seeks to identify the participant primarily responsible for the state of affairs (the actor) as quickly and unambiguously as possible, thus resulting in competition for the actor role when there are multiple candidates. Due to its applicability across languages with vastly different characteristics, we have proposed that the actor strategy may derive from more basic cognitive or neurobiological organizational principles, though it is also shaped by distributional properties of the linguistic input (e.g. the morphosyntactic coding strategies for actors in a given language). Here, we describe an initial computational model of the actor strategy and how it interacts with language-specific properties. Specifically, we contrast two distance metrics derived from the output of the computational model (one weighted and one unweighted) as potential measures of the degree of competition for actorhood by testing how well they predict modulations of electrophysiological activity engendered by language processing. To this end, we present an EEG study on word order processing in German and use linear mixed-effects models to assess the effect of the various distance metrics. Our results show that a weighted metric, which takes into account the weighting of an actor-identifying feature in the language under consideration outperforms an unweighted distance measure. We conclude that actor competition effects cannot be reduced to feature overlap between multiple sentence participants and thereby to the notion of similarity-based interference, which is prominent in current memory-based models of language processing. Finally, we argue that, in addition to illuminating the underlying neurocognitive mechanisms of actor competition, the present model can form the basis for a more comprehensive, neurobiologically plausible computational model of constructing sentence-level meaning.
  • Alferink, I., & Gullberg, M. (2014). French-Dutch bilinguals do not maintain obligatory semantic distinctions: Evidence from placement verbs. Bilingualism: Language and Cognition, 17, 22-37. doi:10.1017/S136672891300028X.

    Abstract

    It is often said that bilinguals are not the sum of two monolinguals but that bilingual systems represent a third pattern. This study explores the exact nature of this pattern. We ask whether there is evidence of a merged system when one language makes an obligatory distinction that the other one does not, namely in the case of placement verbs in French and Dutch, and whether such a merged system is realised as a more general or a more specific system. The results show that in elicited descriptions Belgian French-Dutch bilinguals drop one of the categories in one of the languages, resulting in a more general semantic system in comparison with the non-contact variety. They do not uphold the obligatory distinction in the verb nor elsewhere despite its communicative relevance. This raises important questions regarding how widespread these differences are and what drives these patterns
  • Alhama, R. G., Scha, R., & Zuidema, W. (2014). Rule learning in humans and animals. In E. A. Cartmill, S. Roberts, H. Lyn, & H. Cornish (Eds.), The evolution of language: Proceedings of the 10th International Conference (EVOLANG 10) (pp. 371-372). Singapore: World Scientific.
  • Alibali, M. W., Kita, S., & Young, A. J. (2000). Gesture and the process of speech production: We think, therefore we gesture. Language and Cognitive Processes, 15(6), 593-613. doi:10.1080/016909600750040571.

    Abstract

    At what point in the process of speech production is gesture involved? According to the Lexical Retrieval Hypothesis, gesture is involved in generating the surface forms of utterances. Specifically, gesture facilitates access to items in the mental lexicon. According to the Information Packaging Hypothesis, gesture is involved in the conceptual planning of messages. Specifically, gesture helps speakers to ''package'' spatial information into verbalisable units. We tested these hypotheses in 5-year-old children, using two tasks that required comparable lexical access, but different information packaging. In the explanation task, children explained why two items did or did not have the same quantity (Piagetian conservation). In the description task, children described how two items looked different. Children provided comparable verbal responses across tasks; thus, lexical access was comparable. However, the demands for information packaging differed. Participants' gestures also differed across the tasks. In the explanation task, children produced more gestures that conveyed perceptual dimensions of the objects, and more gestures that conveyed information that differed from the accompanying speech. The results suggest that gesture is involved in the conceptual planning of speech.
  • Allen, S. E. M. (1998). A discourse-pragmatic explanation for the subject-object asymmetry in early null arguments. In A. Sorace, C. Heycock, & R. Shillcock (Eds.), Proceedings of the GALA '97 Conference on Language Acquisition (pp. 10-15). Edinburgh, UK: Edinburgh University Press.

    Abstract

    The present paper assesses discourse-pragmatic factors as a potential explanation for the subject-object assymetry in early child language. It identifies a set of factors which characterize typical situations of informativeness (Greenfield & Smith, 1976), and uses these factors to identify informative arguments in data from four children aged 2;0 through 3;6 learning Inuktitut as a first language. In addition, it assesses the extent of the links between features of informativeness on one hand and lexical vs. null and subject vs. object arguments on the other. Results suggest that a pragmatics account of the subject-object asymmetry can be upheld to a greater extent than previous research indicates, and that several of the factors characterizing informativeness are good indicators of those arguments which tend to be omitted in early child language.
  • Allen, S. E. M. (1998). Categories within the verb category: Learning the causative in Inuktitut. Linguistics, 36(4), 633-677.
  • Allen, S., Ozyurek, A., Kita, S., Brown, A., Turanli, R., & Ishizuka, T. (2003). Early speech about manner and path in Turkish and English: Universal or language-specific? In B. Beachley, A. Brown, & F. Conlin (Eds.), Proceedings of the 27th annual Boston University Conference on Language Development (pp. 63-72). Somerville (MA): Cascadilla Press.
  • Ambridge, B., Pine, J. M., Rowland, C. F., Freudenthal, D., & Chang, F. (2014). Avoiding dative overgeneralisation errors: semantics, statistics or both? Language, Cognition and Neuroscience, 29(2), 218-243. doi:10.1080/01690965.2012.738300.

    Abstract

    How do children eventually come to avoid the production of overgeneralisation errors, in particular, those involving the dative (e.g., *I said her “no”)? The present study addressed this question by obtaining from adults and children (5–6, 9–10 years) judgements of well-formed and over-general datives with 301 different verbs (44 for children). A significant effect of pre-emption—whereby the use of a verb in the prepositional-object (PO)-dative construction constitutes evidence that double-object (DO)-dative uses are not permitted—was observed for every age group. A significant effect of entrenchment—whereby the use of a verb in any construction constitutes evidence that unattested dative uses are not permitted—was also observed for every age group, with both predictors also accounting for developmental change between ages 5–6 and 9–10 years. Adults demonstrated knowledge of a morphophonological constraint that prohibits Latinate verbs from appearing in the DO-dative construction (e.g., *I suggested her the trip). Verbs’ semantic properties (supplied by independent adult raters) explained additional variance for all groups and developmentally, with the relative influence of narrow- vs broad-range semantic properties increasing with age. We conclude by outlining an account of the formation and restriction of argument-structure generalisations designed to accommodate these findings.
  • Ambridge, B., Rowland, C. F., Theakston, A. L., & Tomasello, M. (2006). Comparing different accounts of inversion errors in children's non-subject wh-questions: ‘What experimental data can tell us?’. Journal of Child Language, 33(3), 519-557. doi:10.1017/S0305000906007513.

    Abstract

    This study investigated different accounts of children's acquisition of non-subject wh-questions. Questions using each of 4 wh-words (what, who, how and why), and 3 auxiliaries (BE, DO and CAN) in 3sg and 3pl form were elicited from 28 children aged 3;6–4;6. Rates of non-inversion error (Who she is hitting?) were found not to differ by wh-word, auxiliary or number alone, but by lexical auxiliary subtype and by wh-word+lexical auxiliary combination. This finding counts against simple rule-based accounts of question acquisition that include no role for the lexical subtype of the auxiliary, and suggests that children may initially acquire wh-word+lexical auxiliary combinations from the input. For DO questions, auxiliary-doubling errors (What does she does like?) were also observed, although previous research has found that such errors are virtually non-existent for positive questions. Possible reasons for this discrepancy are discussed.
  • Ameka, F. K. (2003). 'Today is far: Situational anaphors in overlapping clause constructions in Ewe. In M. E. K. Dakubu, & E. K. Osam (Eds.), In Studies in the Languages of the Volta Baisin 1. Proceedings of the Legon-Trondheim Linguistics Project, December 4-6, 2002 (pp. 9-22). Legon: Department of Linguistics University of Ghana.
  • Ameka, F. K., Dench, A., & Evans, N. (Eds.). (2006). Catching language: The standing challenge of grammar writing. Berlin: Mouton de Gruyter.

    Abstract

    Descriptive grammars are our main vehicle for documenting and analysing the linguistic structure of the world's 6,000 languages. They bring together, in one place, a coherent treatment of how the whole language works, and therefore form the primary source of information on a given language, consulted by a wide range of users: areal specialists, typologists, theoreticians of any part of language (syntax, morphology, phonology, historical linguistics etc.), and members of the speech communities concerned. The writing of a descriptive grammar is a major intellectual challenge, that calls on the grammarian to balance a respect for the language's distinctive genius with an awareness of how other languages work, to combine rigour with readability, to depict structural regularities while respecting a corpus of real material, and to represent something of the native speaker's competence while recognising the variation inherent in any speech community. Despite a recent surge of awareness of the need to document little-known languages, there is no book that focusses on the manifold issues that face the author of a descriptive grammar. This volume brings together contributors who approach the problem from a range of angles. Most have written descriptive grammars themselves, but others represent different types of reader. Among the topics they address are: overall issues of grammar design, the complementary roles of outsider and native speaker grammarians, the balance between grammar and lexicon, cross-linguistic comparability, the role of explanation in grammatical description, the interplay of theory and a range of fieldwork methods in language description, the challenges of describing languages in their cultural and historical context, and the tensions between linguistic particularity, established practice of particular schools of linguistic description and the need for a universally commensurable analytic framework. This book will renew the field of grammaticography, addressing a multiple readership of descriptive linguists, typologists, and formal linguists, by bringing together a range of distinguished practitioners from around the world to address these questions.
  • Ameka, F. K. (1991). Ewe: Its grammatical constructions and illocutionary devices. PhD Thesis, Australian National University, Canberra.
  • Ameka, F. K. (2006). Ewe serial verb constructions in their grammatical context. In A. Y. Aikhenvald, & R. M. W. Dixon (Eds.), Serial verb constructions: A cross-linguistic typology (pp. 124-143). Oxford: Oxford University Press.
  • Ameka, F. K. (2006). Elements of the grammar of space in Ewe. In S. C. Levinson, & D. P. Wilkins (Eds.), Grammars of space: Explorations in cognitive diversity (pp. 359-399). Cambridge: Cambridge University Press.
  • Ameka, F. K. (2006). Grammars in contact in the Volta Basin (West Africa): On contact induced grammatical change in Likpe. In A. Y. Aikhenvald, & R. M. W. Dixon (Eds.), Grammars in contact: A crosslinguistic typology (pp. 114-142). Oxford: Oxford University Press.
  • Ameka, F. K. (2006). Interjections. In K. Brown (Ed.), Encyclopedia of language & linguistics (2nd ed., pp. 743-746). Oxford: Elsevier.
  • Ameka, F. K., & Wilkins, D. P. (2006). Interjections. In J.-O. Ostman, & J. Verschueren (Eds.), Handbook of pragmatics (pp. 1-22). Amsterdam: Benjamins.
  • Ameka, F. K. (2003). Prepositions and postpositions in Ewe: Empirical and theoretical considerations. In A. Zibri-Hetz, & P. Sauzet (Eds.), Typologie des langues d'Afrique et universaux de la grammaire (pp. 43-66). Paris: L'Harmattan.
  • Ameka, F. K. (1998). Particules énonciatives en Ewe. Faits de langues, 6(11/12), 179-204.

    Abstract

    Particles are little words that speakers use to signal the illocutionary force of utterances and/or express their attitude towards elements of the communicative situation, e.g. the addresses. This paper presents an overview of the classification, meaning and use of utterance particles in Ewe. It argues that they constitute a grammatical word class on functional and distributional grounds. The paper calls for a cross-cultural investigation of particles, especially in Africa, where they have been neglected for far too long.
  • Ameka, F. K. (2006). Real descriptions: Reflections on native speaker and non-native speaker descriptions of a language. In F. K. Ameka, A. Dench, & N. Evans (Eds.), Catching language: The standing challenge of grammar writing (pp. 69-112). Berlin: Mouton de Gruyter.
  • Araújo, S., Faísca, L., Bramão, I., Petersson, K. M., & Reis, A. (2014). Lexical and phonological processes in dyslexic readers: Evidences from a visual lexical decision task. Dyslexia, 20, 38-53. doi:10.1002/dys.1461.

    Abstract

    The aim of the present study was to investigate whether reading failure in the context of an orthography of intermediate consistency is linked to inefficient use of the lexical orthographic reading procedure. The performance of typically developing and dyslexic Portuguese-speaking children was examined in a lexical decision task, where the stimulus lexicality, word frequency and length were manipulated. Both lexicality and length effects were larger in the dyslexic group than in controls, although the interaction between group and frequency disappeared when the data were transformed to control for general performance factors. Children with dyslexia were influenced in lexical decision making by the stimulus length of words and pseudowords, whereas age-matched controls were influenced by the length of pseudowords only. These findings suggest that non-impaired readers rely mainly on lexical orthographic information, but children with dyslexia preferentially use the phonological decoding procedure—albeit poorly—most likely because they struggle to process orthographic inputs as a whole such as controls do. Accordingly, dyslexic children showed significantly poorer performance than controls for all types of stimuli, including words that could be considered over-learned, such as high-frequency words. This suggests that their orthographic lexical entries are less established in the orthographic lexicon
  • Arnon, I., Casillas, M., Kurumada, C., & Estigarribia, B. (Eds.). (2014). Language in interaction: Studies in honor of Eve V. Clark. Amsterdam: Benjamins.

    Abstract

    Understanding how communicative goals impact and drive the learning process has been a long-standing issue in the field of language acquisition. Recent years have seen renewed interest in the social and pragmatic aspects of language learning: the way interaction shapes what and how children learn. In this volume, we bring together researchers working on interaction in different domains to present a cohesive overview of ongoing interactional research. The studies address the diversity of the environments children learn in; the role of para-linguistic information; the pragmatic forces driving language learning; and the way communicative pressures impact language use and change. Using observational, empirical and computational findings, this volume highlights the effect of interpersonal communication on what children hear and what they learn. This anthology is inspired by and dedicated to Prof. Eve V. Clark – a pioneer in all matters related to language acquisition – and a major force in establishing interaction and communication as crucial aspects of language learning.
  • Baayen, R. H., McQueen, J. M., Dijkstra, T., & Schreuder, R. (2003). Frequency effects in regular inflectional morphology: Revisiting Dutch plurals. In R. H. Baayen, & R. Schreuder (Eds.), Morphological Structure in Language Processing (pp. 355-390). Berlin, Germany: Mouton De Gruyter.
  • Baayen, R. H., McQueen, J. M., Dijkstra, T., & Schreuder, R. (2003). Frequency effects in regular inflectional morphology: Revisiting Dutch plurals. In R. H. Baayen, & R. Schreuder (Eds.), Morphological structure in language processing (pp. 355-390). Berlin: Mouton de Gruyter.
  • Baayen, H., & Lieber, R. (1991). Productivity and English derivation: A corpus-based study. Linguistics, 29(5), 801-843. doi:10.1515/ling.1991.29.5.801.

    Abstract

    The notion of productivity is one which is central to the study of morphology. It is a notion about which linguists frequently have intuitions. But it is a notion which still remains somewhat problematic in the literature on generative morphology some 15 years after Aronoff raised the issue in his (1976) monograph. In this paper we will review some of the definitions and measures of productivity discussed in the generative and pregenerative literature. We will adopt the definition of productivity suggested by Schultink (1961) and propose a number of statistical measures of productivity whose results, when applied to a fixed corpus, accord nicely with our intuitive estimates of productivity, and which shed light on the quantitative weight of linguistic restrictions on word formation rules. Part of our purpose here is also a very simple one: to make available a substantial set of empirical data concerning the productivity of some of the major derivational affixes of English.

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  • Baayen, R. H. (2014). Productivity in language production. In D. Sandra, & M. Taft (Eds.), Morphological Structure, Lexical Representation and Lexical Access: A Special Issue of Language and Cognitive Processes (pp. 447-469). London: Routledge.

    Abstract

    Lexical statistics and a production experiment are used to gauge the extent to which the linguistic notion of morphological productivity is relevant for psycholinguistic theories of speech production in languages such as Dutch and English. Lexical statistics of productivity show that despite the relatively poor morphology of Dutch, new words are created often enough for the marginalisation of word formation in theories of speech production to be theoretically unattractive. This conclusion is supported by the results of a production experiment in which subjects freely created hundreds of productive, but only a handful of unproductive, neologisms. A tentative solution is proposed as to why the opposite pattern has been observed in the speech of jargonaphasics.
  • Baayen, R. H. (2003). Probabilistic approaches to morphology. In R. Bod, J. Hay, & S. Jannedy (Eds.), Probabilistic linguistics (pp. 229-287). Cambridge: MIT Press.
  • Baayen, R. H., Feldman, L. B., & Schreuder, R. (2006). Morphological influences on the recognition of monosyllabic monomorphemic words. Journal of Memory and Language, 55(2), 290-313. doi:10.1016/j.jml.2006.03.008.

    Abstract

    Balota et al. [Balota, D., Cortese, M., Sergent-Marshall, S., Spieler, D., & Yap, M. (2004). Visual word recognition for single-syllable words. Journal of Experimental Psychology: General, 133, 283–316] studied lexical processing in word naming and lexical decision using hierarchical multiple regression techniques for a large data set of monosyllabic, morphologically simple words. The present study supplements their work by making use of more flexible regression techniques that are better suited for dealing with collinearity and non-linearity, and by documenting the contributions of several variables that they did not take into account. In particular, we included measures of morphological connectivity, as well as a new frequency count, the frequency of a word in speech rather than in writing. The morphological measures emerged as strong predictors in visual lexical decision, but not in naming, providing evidence for the importance of morphological connectivity even for the recognition of morphologically simple words. Spoken frequency was predictive not only for naming but also for visual lexical decision. In addition, it co-determined subjective frequency estimates and norms for age of acquisition. Finally, we show that frequency predominantly reflects conceptual familiarity rather than familiarity with a word’s form.
  • Baayen, R. H., & Schreuder, R. (2003). Morphological structure in language processing. Berlin: Mouton de Gruyter.
  • Baayen, R. H., Moscoso del Prado Martín, F., Wurm, L., & Schreuder, R. (2003). When word frequencies do not regress towards the mean. In R. Baayen, & R. Schreuder (Eds.), Morphological structure in language processing (pp. 463-484). Berlin: Mouton de Gruyter.
  • Bailey, A., Hervas, A., Matthews, N., Palferman, S., Wallace, S., Aubin, A., Michelotti, J., Wainhouse, C., Papanikolaou, K., Rutter, M., Maestrini, E., Marlow, A., Weeks, D. E., Lamb, J., Francks, C., Kearsley, G., Scudder, P., Monaco, A. P., Baird, G., Cox, A. and 46 moreBailey, A., Hervas, A., Matthews, N., Palferman, S., Wallace, S., Aubin, A., Michelotti, J., Wainhouse, C., Papanikolaou, K., Rutter, M., Maestrini, E., Marlow, A., Weeks, D. E., Lamb, J., Francks, C., Kearsley, G., Scudder, P., Monaco, A. P., Baird, G., Cox, A., Cockerill, H., Nuffield, F., Le Couteur, A., Berney, T., Cooper, H., Kelly, T., Green, J., Whittaker, J., Gilchrist, A., Bolton, P., Schönewald, A., Daker, M., Ogilvie, C., Docherty, Z., Deans, Z., Bolton, B., Packer, R., Poustka, F., Rühl, D., Schmötzer, G., Bölte, S., Klauck, S. M., Spieler, A., Poustka., A., Van Engeland, H., Kemner, C., De Jonge, M., Den Hartog, I., Lord, C., Cook, E., Leventhal, B., Volkmar, F., Pauls, D., Klin, A., Smalley, S., Fombonne, E., Rogé, B., Tauber, M., Arti-Vartayan, E., Fremolle-Kruck., J., Pederson, L., Haracopos, D., Brondum-Nielsen, K., & Cotterill, R. (1998). A full genome screen for autism with evidence for linkage to a region on chromosome 7q. International Molecular Genetic Study of Autism Consortium. Human Molecular Genetics, 7(3), 571-578. doi:10.1093/hmg/7.3.571.

    Abstract

    Autism is characterized by impairments in reciprocal social interaction and communication, and restricted and sterotyped patterns of interests and activities. Developmental difficulties are apparent before 3 years of age and there is evidence for strong genetic influences most likely involving more than one susceptibility gene. A two-stage genome search for susceptibility loci in autism was performed on 87 affected sib pairs plus 12 non-sib affected relative-pairs, from a total of 99 families identified by an international consortium. Regions on six chromosomes (4, 7, 10, 16, 19 and 22) were identified which generated a multipoint maximum lod score (MLS) > 1. A region on chromosome 7q was the most significant with an MLS of 3.55 near markers D7S530 and D7S684 in the subset of 56 UK affected sib-pair families, and an MLS of 2.53 in all 87 affected sib-pair families. An area on chromosome 16p near the telomere was the next most significant, with an MLS of 1.97 in the UK families, and 1.51 in all families. These results are an important step towards identifying genes predisposing to autism; establishing their general applicability requires further study.
  • Bakker, I., Takashima, A., van Hell, J. G., Janzen, G., & McQueen, J. M. (2014). Competition from unseen or unheard novel words: Lexical consolidation across modalities. Journal of Memory and Language, 73, 116-139. doi:10.1016/j.jml.2014.03.002.

    Abstract

    In four experiments we investigated the formation of novel word memories across modalities, using competition between novel words and their existing phonological/orthographic neighbours as a test of lexical integration. Auditorily acquired novel words entered into competition both in the spoken modality (Experiment 1) and in the written modality (Experiment 4) after a consolidation period of 24 h. Words acquired from print, on the other hand, showed competition effects after 24 h in a visual word recognition task (Experiment 3) but required additional training and a consolidation period of a week before entering into spoken-word competition (Experiment 2). These cross-modal effects support the hypothesis that lexicalised rather than episodic representations underlie post-consolidation competition effects. We suggest that sublexical phoneme–grapheme conversion during novel word encoding and/or offline consolidation enables the formation of modality-specific lexemes in the untrained modality, which subsequently undergo the same cortical integration process as explicitly perceived word forms in the trained modality. Although conversion takes place in both directions, speech input showed an advantage over print both in terms of lexicalisation and explicit memory performance. In conclusion, the brain is able to integrate and consolidate internally generated lexical information as well as external perceptual input.
  • Barendse, M. T., Albers, C. J., Oort, F. J., & Timmerman, M. E. (2014). Measurement bias detection through Bayesian factor analysis. Frontiers in Psychology, 5: 1087. doi:10.3389/fpsyg.2014.01087.

    Abstract

    Measurement bias has been defined as a violation of measurement invariance. Potential violators—variables that possibly violate measurement invariance—can be investigated through restricted factor analysis (RFA). The purpose of the present paper is to investigate a Bayesian approach to estimate RFA models with interaction effects, in order to detect uniform and nonuniform measurement bias. Because modeling nonuniform bias requires an interaction term, it is more complicated than modeling uniform bias. The Bayesian approach seems especially suited for such complex models. In a simulation study we vary the type of bias (uniform, nonuniform), the type of violator (observed continuous, observed dichotomous, latent continuous), and the correlation between the trait and the violator (0.0, 0.5). For each condition, 100 sets of data are generated and analyzed. We examine the accuracy of the parameter estimates and the performance of two bias detection procedures, based on the DIC fit statistic, in Bayesian RFA. Results show that the accuracy of the estimated parameters is satisfactory. Bias detection rates are high in all conditions with an observed violator, and still satisfactory in all other conditions.
  • Baron-Cohen, S., Murphy, L., Chakrabarti, B., Craig, I., Mallya, U., Lakatosova, S., Rehnstrom, K., Peltonen, L., Wheelwright, S., Allison, C., Fisher, S. E., & Warrier, V. (2014). A genome wide association study of mathematical ability reveals an association at chromosome 3q29, a locus associated with autism and learning difficulties: A preliminary study. PLoS One, 9(5): e96374. doi:10.1371/journal.pone.0096374.

    Abstract

    Mathematical ability is heritable, but few studies have directly investigated its molecular genetic basis. Here we aimed to identify specific genetic contributions to variation in mathematical ability. We carried out a genome wide association scan using pooled DNA in two groups of U.K. samples, based on end of secondary/high school national academic exam achievement: high (n = 419) versus low (n = 183) mathematical ability while controlling for their verbal ability. Significant differences in allele frequencies between these groups were searched for in 906,600 SNPs using the Affymetrix GeneChip Human Mapping version 6.0 array. After meeting a threshold of p<1.5×10−5, 12 SNPs from the pooled association analysis were individually genotyped in 542 of the participants and analyzed to validate the initial associations (lowest p-value 1.14 ×10−6). In this analysis, one of the SNPs (rs789859) showed significant association after Bonferroni correction, and four (rs10873824, rs4144887, rs12130910 rs2809115) were nominally significant (lowest p-value 3.278 × 10−4). Three of the SNPs of interest are located within, or near to, known genes (FAM43A, SFT2D1, C14orf64). The SNP that showed the strongest association, rs789859, is located in a region on chromosome 3q29 that has been previously linked to learning difficulties and autism. rs789859 lies 1.3 kbp downstream of LSG1, and 700 bp upstream of FAM43A, mapping within the potential promoter/regulatory region of the latter. To our knowledge, this is only the second study to investigate the association of genetic variants with mathematical ability, and it highlights a number of interesting markers for future study.
  • Basnakova, J., Weber, K., Petersson, K. M., Van Berkum, J. J. A., & Hagoort, P. (2014). Beyond the language given: The neural correlates of inferring speaker meaning. Cerebral Cortex, 24(10), 2572-2578. doi:10.1093/cercor/bht112.

    Abstract

    Even though language allows us to say exactly what we mean, we often use language to say things indirectly, in a way that depends on the specific communicative context. For example, we can use an apparently straightforward sentence like "It is hard to give a good presentation" to convey deeper meanings, like "Your talk was a mess!" One of the big puzzles in language science is how listeners work out what speakers really mean, which is a skill absolutely central to communication. However, most neuroimaging studies of language comprehension have focused on the arguably much simpler, context-independent process of understanding direct utterances. To examine the neural systems involved in getting at contextually constrained indirect meaning, we used functional magnetic resonance imaging as people listened to indirect replies in spoken dialog. Relative to direct control utterances, indirect replies engaged dorsomedial prefrontal cortex, right temporo-parietal junction and insula, as well as bilateral inferior frontal gyrus and right medial temporal gyrus. This suggests that listeners take the speaker's perspective on both cognitive (theory of mind) and affective (empathy-like) levels. In line with classic pragmatic theories, our results also indicate that currently popular "simulationist" accounts of language comprehension fail to explain how listeners understand the speaker's intended message.
  • Bastiaansen, M. C. M., & Hagoort, P. (2003). Event-induced theta responses as a window on the dynamics of memory. Cortex, 39(4-5), 967-972. doi:10.1016/S0010-9452(08)70873-6.

    Abstract

    An important, but often ignored distinction in the analysis of EEG signals is that between evoked activity and induced activity. Whereas evoked activity reflects the summation of transient post-synaptic potentials triggered by an event, induced activity, which is mainly oscillatory in nature, is thought to reflect changes in parameters controlling dynamic interactions within and between brain structures. We hypothesize that induced activity may yield information about the dynamics of cell assembly formation, activation and subsequent uncoupling, which may play a prominent role in different types of memory operations. We then describe a number of analysis tools that can be used to study the reactivity of induced rhythmic activity, both in terms of amplitude changes and of phase variability. We briefly discuss how alpha, gamma and theta rhythms are thought to be generated, paying special attention to the hypothesis that the theta rhythm reflects dynamic interactions between the hippocampal system and the neocortex. This hypothesis would imply that studying the reactivity of scalp-recorded theta may provide a window on the contribution of the hippocampus to memory functions. We review studies investigating the reactivity of scalp-recorded theta in paradigms engaging episodic memory, spatial memory and working memory. In addition, we review studies that relate theta reactivity to processes at the interface of memory and language. Despite many unknowns, the experimental evidence largely supports the hypothesis that theta activity plays a functional role in cell assembly formation, a process which may constitute the neural basis of memory formation and retrieval. The available data provide only highly indirect support for the hypothesis that scalp-recorded theta yields information about hippocampal functioning. It is concluded that studying induced rhythmic activity holds promise as an additional important way to study brain function.
  • Bastiaansen, M. C. M., & Knösche, T. R. (2000). MEG tangential derivative mapping applied to Event-Related Desynchronization (ERD) research. Clinical Neurophysiology, 111, 1300-1305.

    Abstract

    Objectives: A problem with the topographic mapping of MEG data recorded with axial gradiometers is that field extrema are measured at sensors located at either side of a neuronal generator instead of at sensors directly above the source. This is problematic for the computation of event-related desynchronization (ERD) on MEG data, since ERD relies on a correspondence between the signal maximum and the location of the neuronal generator. Methods: We present a new method based on computing spatial derivatives of the MEG data. The limitations of this method were investigated by means of forward simulations, and the method was applied to a 150-channel MEG dataset. Results: The simulations showed that the method has some limitations. (1) Fewer channels reduce accuracy and amplitude. (2) It is less suitable for deep or very extended sources. (3) Multiple sources can only be distinguished if they are not too close to each other. Applying the method in the calculation of ERD on experimental data led to a considerable improvement of the ERD maps. Conclusions: The proposed method offers a significant advantage over raw MEG signals, both for the topographic mapping of MEG and for the analysis of rhythmic MEG activity by means of ERD.
  • Bastiaansen, M. C. M., & Hagoort, P. (2006). Oscillatory neuronal dynamics during language comprehension. In C. Neuper, & W. Klimesch (Eds.), Event-related dynamics of brain oscillations (pp. 179-196). Amsterdam: Elsevier.

    Abstract

    Language comprehension involves two basic operations: the retrieval of lexical information (such as phonologic, syntactic, and semantic information) from long-term memory, and the unification of this information into a coherent representation of the overall utterance. Neuroimaging studies using hemo¬dynamic measures such as PET and fMRI have provided detailed information on which areas of the brain are involved in these language-related memory and unification operations. However, much less is known about the dynamics of the brain's language network. This chapter presents a literature review of the oscillatory neuronal dynamics of EEG and MEG data that can be observed during language comprehen¬sion tasks. From a detailed review of this (rapidly growing) literature the following picture emerges: memory retrieval operations are mostly accompanied by increased neuronal synchronization in the theta frequency range (4-7 Hz). Unification operations, in contrast, induce high-frequency neuronal synchro¬nization in the beta (12-30 Hz) and gamma (above 30 Hz) frequency bands. A desynchronization in the (upper) alpha frequency band is found for those studies that use secondary tasks, and seems to correspond with attentional processes, and with the behavioral consequences of the language comprehension process. We conclude that it is possible to capture the dynamics of the brain's language network by a careful analysis of the event-related changes in power and coherence of EEG and MEG data in a wide range of frequencies, in combination with subtle experimental manipulations in a range of language comprehension tasks. It appears then that neuronal synchrony is a mechanism by which the brain integrates the different types of information about language (such as phonological, orthographic, semantic, and syntactic infor¬mation) represented in different brain areas.
  • Bauer, B. L. M. (2006). ‘Synthetic’ vs. ‘analytic’ in Romance: The importance of varieties. In R. Gess, & D. Arteaga (Eds.), Historical Romance linguistics: Retrospective and perspectives (pp. 287-304). Amsterdam: Benjamins.
  • Bauer, B. L. M. (1994). [Review of the book Du latin aux langues romanes ed. by Maria Iliescu and Dan Slusanski]. Studies in Language, 18(2), 502-509. doi:10.1075/sl.18.2.08bau.
  • Bauer, B. L. M. (2000). Archaic syntax in Indo-European: The spread of transitivity in Latin and French. Berlin: Mouton de Gruyter.

    Abstract

    Several grammatical features in early Indo-European traditionally have not been understood. Although Latin, for example, was a nominative language, a number of its inherited characteristics do not fit that typology and are difficult to account for, such as stative mihi est constructions to express possession, impersonal verbs, or absolute constructions. With time these archaic features have been replaced by transitive structures (e.g. possessive ‘have’). This book presents an extensive comparative and historical analysis of archaic features in early Indo-European languages and their gradual replacement in the history of Latin and early Romance, showing that the new structures feature transitive syntax and fit the patterns of a nominative language.
  • Bauer, B. L. M. (2000). From Latin to French: The linear development of word order. In B. Bichakjian, T. Chernigovskaya, A. Kendon, & A. Müller (Eds.), Becoming Loquens: More studies in language origins (pp. 239-257). Frankfurt am Main: Lang.
  • Bauer, B. L. M., & Pinault, G.-J. (2003). Introduction: Werner Winter, ad multos annos. In B. L. M. Bauer, & G.-J. Pinault (Eds.), Language in time and space: A festschrift for Werner Winter on the occasion of his 80th birthday (pp. xxiii-xxv). Berlin: Mouton de Gruyter.
  • Bauer, B. L. M. (2014). Indefinite HOMO in the Gospels of the Vulgata. In P. Molinell, P. Cuzzoli, & C. Fedriani (Eds.), Latin vulgaire – latin tardif X (pp. 415-435). Bergamo: Bergamo University Press.
  • Bauer, B. L. M. (1998). Impersonal verbs in Italic. Their development from an Indo-European perspective. Journal of Indo-European Studies, 26, 91-120.
  • Bauer, B. L. M. (1998). Language loss in Gaul: Socio-historical and linguistic factors in language conflict. Southwest Journal of Linguistics, 15, 23-44.
  • Bauer, B. L. M., & Pinault, G.-J. (Eds.). (2003). Language in time and space: A festschrift for Werner Winter on the occasion of his 80th birthday. Berlin: Mouton de Gruyter.
  • Bauer, B. L. M. (1994). The development of Latin absolute constructions: From stative to transitive structures. General Linguistics, 18, 64-83.
  • Bauer, B. L. M. (2003). The adverbial formation in mente in Vulgar and Late Latin: A problem in grammaticalization. In H. Solin, M. Leiwo, & H. Hallo-aho (Eds.), Latin vulgaire, latin tardif VI (pp. 439-457). Hildesheim: Olms.
  • Bavin, E. L., & Kidd, E. (2000). Learning new verbs: Beyond the input. In C. Davis, T. J. Van Gelder, & R. Wales (Eds.), Cognitive Science in Australia, 2000: Proceedings of the Fifth Biennial Conference of the Australasian Cognitive Science Society.
  • Bavin, E. L., Kidd, E., Prendergast, L., Baker, E., Dissanayake, C., & Prior, M. (2014). Severity of autism is related to children's language processing. Autism Research, 7(6), 687-694. doi:10.1002/aur.1410.

    Abstract

    Problems in language processing have been associated with autism spectrum disorder (ASD), with some research attributing the problems to overall language skills rather than a diagnosis of ASD. Lexical access was assessed in a looking-while-listening task in three groups of 5- to 7-year-old children; two had high-functioning ASD (HFA), an ASD severe (ASD-S) group (n = 16) and an ASD moderate (ASD-M) group (n = 21). The third group were typically developing (TD) (n = 48). Participants heard sentences of the form “Where's the x?” and their eye movements to targets (e.g., train), phonological competitors (e.g., tree), and distractors were recorded. Proportions of looking time at target were analyzed within 200 ms intervals. Significant group differences were found between the ASD-S and TD groups only, at time intervals 1000–1200 and 1200–1400 ms postonset. The TD group was more likely to be fixated on target. These differences were maintained after adjusting for language, verbal and nonverbal IQ, and attention scores. An analysis using parent report of autistic-like behaviors showed higher scores to be associated with lower proportions of looking time at target, regardless of group. Further analysis showed fixation for the TD group to be significantly faster than for the ASD-S. In addition, incremental processing was found for all groups. The study findings suggest that severity of autistic behaviors will impact significantly on children's language processing in real life situations when exposed to syntactically complex material. They also show the value of using online methods for understanding how young children with ASD process language. Autism Res 2014, 7: 687–694.
  • Bayer, J., & Marslen-Wilson, W. (1986). Max-Planck-Institute for Psycholinguistics: Annual Report Nr.7 1986. Nijmegen: MPI for Psycholinguistics.
  • Behnke, K. (1998). The acquisition of phonetic categories in young infants: A self-organising artificial neural network approach. PhD Thesis, University of Twente, Enschede. doi:10.17617/2.2057688.
  • Benyamin, B., St Pourcain, B., Davis, O. S., Davies, G., Hansell, N. K., Brion, M.-J., Kirkpatrick, R. M., Cents, R. A. M., Franić, S., Miller, M. B., Haworth, C. M. A., Meaburn, E., Price, T. S., Evans, D. M., Timpson, N., Kemp, J., Ring, S., McArdle, W., Medland, S. E., Yang, J. and 23 moreBenyamin, B., St Pourcain, B., Davis, O. S., Davies, G., Hansell, N. K., Brion, M.-J., Kirkpatrick, R. M., Cents, R. A. M., Franić, S., Miller, M. B., Haworth, C. M. A., Meaburn, E., Price, T. S., Evans, D. M., Timpson, N., Kemp, J., Ring, S., McArdle, W., Medland, S. E., Yang, J., Harris, S. E., Liewald, D. C., Scheet, P., Xiao, X., Hudziak, J. J., de Geus, E. J. C., Jaddoe, V. W. V., Starr, J. M., Verhulst, F. C., Pennell, C., Tiemeier, H., Iacono, W. G., Palmer, L. J., Montgomery, G. W., Martin, N. G., Boomsma, D. I., Posthuma, D., McGue, M., Wright, M. J., Davey Smith, G., Deary, I. J., Plomin, R., & Visscher, P. M. (2014). Childhood intelligence is heritable, highly polygenic and associated with FNBP1L. Molecular Psychiatry, 19(2), 253-258. doi:10.1038/mp.2012.184.

    Abstract

    Intelligence in childhood, as measured by psychometric cognitive tests, is a strong predictor of many important life outcomes, including educational attainment, income, health and lifespan. Results from twin, family and adoption studies are consistent with general intelligence being highly heritable and genetically stable throughout the life course. No robustly associated genetic loci or variants for childhood intelligence have been reported. Here, we report the first genome-wide association study (GWAS) on childhood intelligence (age range 6–18 years) from 17 989 individuals in six discovery and three replication samples. Although no individual single-nucleotide polymorphisms (SNPs) were detected with genome-wide significance, we show that the aggregate effects of common SNPs explain 22–46% of phenotypic variation in childhood intelligence in the three largest cohorts (P=3.9 × 10−15, 0.014 and 0.028). FNBP1L, previously reported to be the most significantly associated gene for adult intelligence, was also significantly associated with childhood intelligence (P=0.003). Polygenic prediction analyses resulted in a significant correlation between predictor and outcome in all replication cohorts. The proportion of childhood intelligence explained by the predictor reached 1.2% (P=6 × 10−5), 3.5% (P=10−3) and 0.5% (P=6 × 10−5) in three independent validation cohorts. Given the sample sizes, these genetic prediction results are consistent with expectations if the genetic architecture of childhood intelligence is like that of body mass index or height. Our study provides molecular support for the heritability and polygenic nature of childhood intelligence. Larger sample sizes will be required to detect individual variants with genome-wide significance.
  • Berck, P., Bibiko, H.-J., Kemps-Snijders, M., Russel, A., & Wittenburg, P. (2006). Ontology-based language archive utilization. In Proceedings of the 5th International Conference on Language Resources and Evaluation (LREC 2006) (pp. 2295-2298).
  • Bergmann, C., Ten Bosch, L., & Boves, L. (2014). A computational model of the headturn preference procedure: Design, challenges, and insights. In J. Mayor, & P. Gomez (Eds.), Computational Models of Cognitive Processes (pp. 125-136). World Scientific. doi:10.1142/9789814458849_0010.

    Abstract

    The Headturn Preference Procedure (HPP) is a frequently used method (e.g., Jusczyk & Aslin; and subsequent studies) to investigate linguistic abilities in infants. In this paradigm infants are usually first familiarised with words and then tested for a listening preference for passages containing those words in comparison to unrelated passages. Listening preference is defined as the time an infant spends attending to those passages with his or her head turned towards a flashing light and the speech stimuli. The knowledge and abilities inferred from the results of HPP studies have been used to reason about and formally model early linguistic skills and language acquisition. However, the actual cause of infants' behaviour in HPP experiments has been subject to numerous assumptions as there are no means to directly tap into cognitive processes. To make these assumptions explicit, and more crucially, to understand how infants' behaviour emerges if only general learning mechanisms are assumed, we introduce a computational model of the HPP. Simulations with the computational HPP model show that the difference in infant behaviour between familiarised and unfamiliar words in passages can be explained by a general learning mechanism and that many assumptions underlying the HPP are not necessarily warranted. We discuss the implications for conventional interpretations of the outcomes of HPP experiments.
  • Bergmann, C. (2014). Computational models of early language acquisition and the role of different voices. PhD Thesis, Radboud University Nijmegen, Nijmegen.
  • Bickel, B. (1991). Der Hang zur Exzentrik - Annäherungen an das kognitive Modell der Relativkonstruktion. In W. Bisang, & P. Rinderknecht (Eds.), Von Europa bis Ozeanien - von der Antinomie zum Relativsatz (pp. 15-37). Zurich, Switzerland: Seminar für Allgemeine Sprachwissenschaft der Universität.
  • Bickel, B. (1994). In the vestibule of meaning: Transivity inversion as a morphological phenomenon. Studies in Language, 19(1), 73-127.
  • Bidgood, A., Ambridge, B., Pine, J. M., & Rowland, C. F. (2014). The retreat from locative overgeneralisation errors: A novel verb grammaticality judgment study. PLoS One, 9(5): e97634. doi:10.1371/journal.pone.0097634.

    Abstract

    Whilst some locative verbs alternate between the ground- and figure-locative constructions (e.g. Lisa sprayed the flowers with water/Lisa sprayed water onto the flowers), others are restricted to one construction or the other (e.g. *Lisa filled water into the cup/*Lisa poured the cup with water). The present study investigated two proposals for how learners (aged 5–6, 9–10 and adults) acquire this restriction, using a novel-verb-learning grammaticality-judgment paradigm. In support of the semantic verb class hypothesis, participants in all age groups used the semantic properties of novel verbs to determine the locative constructions (ground/figure/both) in which they could and could not appear. In support of the frequency hypothesis, participants' tolerance of overgeneralisation errors decreased with each increasing level of verb frequency (novel/low/high). These results underline the need to develop an integrated account of the roles of semantics and frequency in the retreat from argument structure overgeneralisation.
  • Blasi, D. E., Christiansen, M. H., Wichmann, S., Hammarström, H., & Stadler, P. F. (2014). Sound symbolism and the origins of language. In E. A. Cartmill, S. Roberts, H. Lyn, & H. Cornish (Eds.), The evolution of language: Proceedings of the 10th International Conference (EVOLANG 10) (pp. 391-392). Singapore: World Scientific.
  • De Bleser, R., Willmes, K., Graetz, P., & Hagoort, P. (1991). De Akense Afasie Test. Logopedie en Foniatrie, 63, 207-217.
  • Blumstein, S., & Cutler, A. (2003). Speech perception: Phonetic aspects. In W. Frawley (Ed.), International encyclopaedia of linguistics (pp. 151-154). Oxford: Oxford University Press.
  • Bocanegra, B. R., Poletiek, F. H., & Zwaan, R. A. (2014). Asymmetrical feature binding across language and perception. In Proceedings of the 7th annual Conference on Embodied and Situated Language Processing (ESLP 2014).
  • Bock, K., Butterfield, S., Cutler, A., Cutting, J. C., Eberhard, K. M., & Humphreys, K. R. (2006). Number agreement in British and American English: Disagreeing to agree collectively. Language, 82(1), 64-113.

    Abstract

    British andAmerican speakers exhibit different verb number agreement patterns when sentence subjects have collective headnouns. From linguistic andpsycholinguistic accounts of how agreement is implemented, three alternative hypotheses can be derived to explain these differences. The hypotheses involve variations in the representation of notional number, disparities in how notional andgrammatical number are used, and inequalities in the grammatical number specifications of collective nouns. We carriedout a series of corpus analyses, production experiments, andnorming studies to test these hypotheses. The results converge to suggest that British and American speakers are equally sensitive to variations in notional number andimplement subjectverb agreement in much the same way, but are likely to differ in the lexical specifications of number for collectives. The findings support a psycholinguistic theory that explains verb and pronoun agreement within a parallel architecture of lexical andsyntactic formulation.
  • Bock, K., & Levelt, W. J. M. (1994). Language production: Grammatical encoding. In M. A. Gernsbacher (Ed.), Handbook of Psycholinguistics (pp. 945-984). San Diego,: Academic Press.
  • Bock, K., Irwin, D. E., Davidson, D. J., & Levelt, W. J. M. (2003). Minding the clock. Journal of Memory and Language, 48, 653-685. doi:10.1016/S0749-596X(03)00007-X.

    Abstract

    Telling time is an exercise in coordinating language production with visual perception. By coupling different ways of saying times with different ways of seeing them, the performance of time-telling can be used to track cognitive transformations from visual to verbal information in connected speech. To accomplish this, we used eyetracking measures along with measures of speech timing during the production of time expressions. Our findings suggest that an effective interface between what has been seen and what is to be said can be constructed within 300 ms. This interface underpins a preverbal plan or message that appears to guide a comparatively slow, strongly incremental formulation of phrases. The results begin to trace the divide between seeing and saying -or thinking and speaking- that must be bridged during the creation of even the most prosaic utterances of a language.
  • Böckler, A., Hömke, P., & Sebanz, N. (2014). Invisible Man: Exclusion from shared attention affects gaze behavior and self-reports. Social Psychological and Personality Science, 5(2), 140-148. doi:10.1177/1948550613488951.

    Abstract

    Social exclusion results in lowered satisfaction of basic needs and shapes behavior in subsequent social situations. We investigated participants’ immediate behavioral response during exclusion from an interaction that consisted of establishing eye contact. A newly developed eye-tracker-based ‘‘looking game’’ was employed; participants exchanged looks with two virtual partners in an exchange where the player who had just been looked at chose whom to look at next. While some participants received as many looks as the virtual players (included), others were ignored after two initial looks (excluded). Excluded participants reported lower basic need satisfaction, lower evaluation of the interaction, and devaluated their interaction partners more than included participants, demonstrating that people are sensitive to epistemic ostracism. In line with William’s need-threat model, eye-tracking results revealed that excluded participants did not withdraw from the unfavorable interaction, but increased the number of looks to the player who could potentially reintegrate them.
  • Bod, R., Fitz, H., & Zuidema, W. (2006). On the structural ambiguity in natural language that the neural architecture cannot deal with [Commentary]. Behavioral and Brain Sciences, 29, 71-72. doi:10.1017/S0140525X06239025.

    Abstract

    We argue that van der Velde's & de Kamps's model does not solve the binding problem but merely shifts the burden of constructing appropriate neural representations of sentence structure to unexplained preprocessing of the linguistic input. As a consequence, their model is not able to explain how various neural representations can be assigned to sentences that are structurally ambiguous.
  • De Boer, B., & Perlman, M. (2014). Physical mechanisms may be as important as brain mechanisms in evolution of speech [Commentary on Ackerman, Hage, & Ziegler. Brain Mechanisms of acoustic communication in humans and nonhuman primates: an evolutionary perspective]. Behavioral and Brain Sciences, 37(6), 552-553. doi:10.1017/S0140525X13004007.

    Abstract

    We present two arguments why physical adaptations for vocalization may be as important as neural adaptations. First, fine control over vocalization is not easy for physical reasons, and modern humans may be exceptional. Second, we present an example of a gorilla that shows rudimentary voluntary control over vocalization, indicating that some neural control is already shared with great apes.
  • Bohnemeyer, J. (2000). Event order in language and cognition. Linguistics in the Netherlands, 17(1), 1-16. doi:10.1075/avt.17.04boh.
  • Bohnemeyer, J. (2003). Fictive motion questionnaire. In N. J. Enfield (Ed.), Field research manual 2003, part I: Multimodal interaction, space, event representation (pp. 81-85). Nijmegen: Max Planck Institute for Psycholinguistics. doi:10.17617/2.877601.

    Abstract

    Fictive Motion is the metaphoric use of path relators in the expression of spatial relations or configurations that are static, or at any rate do not in any obvious way involve physical entities moving in real space. The goal is to study the expression of such relations or configurations in the target language, with an eye particularly on whether these expressions exclusively/preferably/possibly involve motion verbs and/or path relators, i.e., Fictive Motion. Section 2 gives Talmy’s (2000: ch. 2) phenomenology of Fictive Motion construals. The researcher’s task is to “distill” the intended spatial relations/configurations from Talmy’s description of the particular Fictive Motion metaphors and elicit as many different examples of the relations/configurations as (s)he deems necessary to obtain a basic sense of whether and how much Fictive Motion the target language offers or prescribes for the encoding of the particular type of relation/configuration. As a first stab, the researcher may try to elicit natural translations of culturally appropriate adaptations of the examples Talmy provides with each type of Fictive Motion metaphor.
  • Bohnemeyer, J. (2003). Invisible time lines in the fabric of events: Temporal coherence in Yukatek narratives. Journal of Linguistic Anthropology, 13(2), 139-162. doi:10.1525/jlin.2003.13.2.139.

    Abstract

    This article examines how narratives are structured in a language in which event order is largely not coded. Yucatec Maya lacks both tense inflections and temporal connectives corresponding to English after and before. It is shown that the coding of events in Yucatec narratives is subject to a strict iconicity constraint within paragraph boundaries. Aspectual viewpoint shifting is used to reconcile iconicity preservation with the requirements of a more flexible narrative structure.
  • Bohnemeyer, J. (1998). Sententiale Topics im Yukatekischen. In Z. Dietmar (Ed.), Deskriptive Grammatik und allgemeiner Sprachvergleich (pp. 55-85). Tübingen, Germany: Max-Niemeyer-Verlag.
  • Bohnemeyer, J., Burenhult, N., Levinson, S. C., & Enfield, N. J. (2003). Landscape terms and place names questionnaire. In N. J. Enfield (Ed.), Field research manual 2003, part I: Multimodal interaction, space, event representation (pp. 60-63). Nijmegen: Max Planck Institute for Psycholinguistics. doi:10.17617/2.877604.

    Abstract

    Landscape terms reflect the relationship between geographic reality and human cognition. Are ‘mountains’, ‘rivers, ‘lakes’ and the like universally recognised in languages as naturally salient objects to be named? The landscape subproject is concerned with the interrelation between language, cognition and geography. Specifically, it investigates issues relating to how landforms are categorised cross-linguistically as well as the characteristics of place naming.
  • Bohnemeyer, J. (1998). Temporale Relatoren im Hispano-Yukatekischen Sprachkontakt. In A. Koechert, & T. Stolz (Eds.), Convergencia e Individualidad - Las lenguas Mayas entre hispanización e indigenismo (pp. 195-241). Hannover, Germany: Verlag für Ethnologie.
  • Bohnemeyer, J. (2003). The unique vector constraint: The impact of direction changes on the linguistic segmentation of motion events. In E. v. d. Zee, & J. Slack (Eds.), Axes and vectors in language and space (pp. 86-110). Oxford: Oxford University Press.
  • Bohnemeyer, J. (2000). Where do pragmatic meanings come from? In W. Spooren, T. Sanders, & C. van Wijk (Eds.), Samenhang in Diversiteit; Opstellen voor Leo Noorman, aangeboden bij gelegenheid van zijn zestigste verjaardag (pp. 137-153).
  • Bolton, J. L., Hayward, C., Direk, N., Lewis, J. G., Hammond, G. L., Hill, L. A., Anderson, A., Huffman, J., Wilson, J. F., Campbell, H., Rudan, I., Wright, A., Hastie, N., Wild, S. H., Velders, F. P., Hofman, A., Uitterlinden, A. G., Lahti, J., Räikkönen, K., Kajantie, E. and 37 moreBolton, J. L., Hayward, C., Direk, N., Lewis, J. G., Hammond, G. L., Hill, L. A., Anderson, A., Huffman, J., Wilson, J. F., Campbell, H., Rudan, I., Wright, A., Hastie, N., Wild, S. H., Velders, F. P., Hofman, A., Uitterlinden, A. G., Lahti, J., Räikkönen, K., Kajantie, E., Widen, E., Palotie, A., Eriksson, J. G., Kaakinen, M., Järvelin, M.-R., Timpson, N. J., Davey Smith, G., Ring, S. M., Evans, D. M., St Pourcain, B., Tanaka, T., Milaneschi, Y., Bandinelli, S., Ferrucci, L., van der Harst, P., Rosmalen, J. G. M., Bakker, S. J. L., Verweij, N., Dullaart, R. P. F., Mahajan, A., Lindgren, C. M., Morris, A., Lind, L., Ingelsson, E., Anderson, L. N., Pennell, C. E., Lye, S. J., Matthews, S. G., Eriksson, J., Mellstrom, D., Ohlsson, C., Price, J. F., Strachan, M. W. J., Reynolds, R. M., Tiemeier, H., Walker, B. R., & CORtisol NETwork (CORNET) Consortium (2014). Genome Wide Association Identifies Common Variants at the SERPINA6/SERPINA1 Locus Influencing Plasma Cortisol and Corticosteroid Binding Globulin. PLoS Genetics, 10(7): e1004474. doi:10.1371/journal.pgen.1004474.

    Abstract

    Variation in plasma levels of cortisol, an essential hormone in the stress response, is associated in population-based studies with cardio-metabolic, inflammatory and neuro-cognitive traits and diseases. Heritability of plasma cortisol is estimated at 30-60% but no common genetic contribution has been identified. The CORtisol NETwork (CORNET) consortium undertook genome wide association meta-analysis for plasma cortisol in 12,597 Caucasian participants, replicated in 2,795 participants. The results indicate that <1% of variance in plasma cortisol is accounted for by genetic variation in a single region of chromosome 14. This locus spans SERPINA6, encoding corticosteroid binding globulin (CBG, the major cortisol-binding protein in plasma), and SERPINA1, encoding α1-antitrypsin (which inhibits cleavage of the reactive centre loop that releases cortisol from CBG). Three partially independent signals were identified within the region, represented by common SNPs; detailed biochemical investigation in a nested sub-cohort showed all these SNPs were associated with variation in total cortisol binding activity in plasma, but some variants influenced total CBG concentrations while the top hit (rs12589136) influenced the immunoreactivity of the reactive centre loop of CBG. Exome chip and 1000 Genomes imputation analysis of this locus in the CROATIA-Korcula cohort identified missense mutations in SERPINA6 and SERPINA1 that did not account for the effects of common variants. These findings reveal a novel common genetic source of variation in binding of cortisol by CBG, and reinforce the key role of CBG in determining plasma cortisol levels. In turn this genetic variation may contribute to cortisol-associated degenerative diseases.
  • Bosker, H. R., Quené, H., Sanders, T. J. M., & de Jong, N. H. (2014). Native 'um's elicit prediction of low-frequency referents, but non-native 'um's do not. Journal of Memory and Language, 75, 104-116. doi:10.1016/j.jml.2014.05.004.

    Abstract

    Speech comprehension involves extensive use of prediction. Linguistic prediction may be guided by the semantics or syntax, but also by the performance characteristics of the speech signal, such as disfluency. Previous studies have shown that listeners, when presented with the filler uh, exhibit a disfluency bias for discourse-new or unknown referents, drawing inferences about the source of the disfluency. The goal of the present study is to study the contrast between native and non-native disfluencies in speech comprehension. Experiment 1 presented listeners with pictures of high-frequency (e.g., a hand) and low-frequency objects (e.g., a sewing machine) and with fluent and disfluent instructions. Listeners were found to anticipate reference to low-frequency objects when encountering disfluency, thus attributing disfluency to speaker trouble in lexical retrieval. Experiment 2 showed that, when participants listened to disfluent non-native speech, no anticipation of low-frequency referents was observed. We conclude that listeners can adapt their predictive strategies to the (non-native) speaker at hand, extending our understanding of the role of speaker identity in speech comprehension.
  • Bosker, H. R., Quené, H., Sanders, T. J. M., & de Jong, N. H. (2014). The perception of fluency in native and non-native speech. Language Learning, 64, 579-614. doi:10.1111/lang.12067.

    Abstract

    Where native speakers supposedly are fluent by default, non-native speakers often have to strive hard to achieve a native-like fluency level. However, disfluencies (such as pauses, fillers, repairs, etc.) occur in both native and non-native speech and it is as yet unclear ow luency raters weigh the fluency characteristics of native and non-native speech. Two rating experiments compared the way raters assess the luency of native and non-native speech. The fluency characteristics of native and non- native speech were controlled by using phonetic anipulations in pause (Experiment 1) and speed characteristics (Experiment 2). The results show that the ratings on manipulated native and on-native speech were affected in a similar fashion. This suggests that there is no difference in the way listeners weigh the fluency haracteristics of native and non-native speakers.
  • Bosker, H. R. (2014). The processing and evaluation of fluency in native and non-native speech. PhD Thesis, Utrecht University, Utrecht.

    Abstract

    Disfluency is a common characteristic of spontaneously produced speech. Disfluencies (e.g., silent pauses, filled pauses [uh’s and uhm’s], corrections, repetitions, etc.) occur in both native and non-native speech. There appears to be an apparent contradiction between claims from the evaluative and cognitive approach to fluency. On the one hand, the evaluative approach shows that non-native disfluencies have a negative effect on listeners’ subjective fluency impressions. On the other hand, the cognitive approach reports beneficial effects of native disfluencies on cognitive processes involved in speech comprehension, such as prediction and attention. This dissertation aims to resolve this apparent contradiction by combining the evaluative and cognitive approach. The reported studies target both the evaluation (Chapters 2 and 3) and the processing of fluency (Chapters 4 and 5) in native and non-native speech. Thus, it provides an integrative account of native and non-native fluency perception, informative to both language testing practice and cognitive psycholinguists. The proposed account of fluency perception testifies to the notion that speech performance matters: communication through spoken language does not only depend on what is said, but also on how it is said and by whom.
  • Böttner, M. (1998). A collective extension of relational grammar. Logic Journal of the IGPL, 6(2), 175-793. doi:10.1093/jigpal/6.2.175.

    Abstract

    Relational grammar was proposed in Suppes (1976) as a semantical grammar for natural language. Fragments considered so far are restricted to distributive notions. In this article, relational grammar is extended to collective notions.
  • Bouman, M. A., & Levelt, W. J. M. (1994). Werner E. Reichardt: Levensbericht. In H. W. Pleket (Ed.), Levensberichten en herdenkingen 1993 (pp. 75-80). Amsterdam: Koninklijke Nederlandse Akademie van Wetenschappen.
  • Bowerman, M. (1986). First steps in acquiring conditionals. In E. C. Traugott, A. G. t. Meulen, J. S. Reilly, & C. A. Ferguson (Eds.), On conditionals (pp. 285-308). Cambridge University Press.

    Abstract

    This chapter is about the initial flowering of conditionals, if-(then) constructions, in children's spontaneous speech. It is motivated by two major theoretical interests. The first and most immediate is to understand the acquisition process itself. Conditionals are conceptually, and in many languages morphosyntactically, complex. What aspects of cognitive and grammatical development are implicated in their acquisition? Does learning take place in the context of particular interactions with other speakers? Where do conditionals fit in with the acquisition of other complex sentences? What are the semantic, syntactic and pragmatic properties of the first conditionals? Underlying this first interest is a second, more strictly linguistic one. Research of recent years has found increasing evidence that natural languages are constrained in certain ways. The source of these constraints is not yet clearly understood, but it is widely assumed that some of them derive ultimately from properties of children's capacity for language acquisition.

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  • Bowerman, M. (1994). From universal to language-specific in early grammatical development. Philosophical Transactions of the Royal Society of London. Series B, Biological Sciences, 346, 34-45. doi:10.1098/rstb.1994.0126.

    Abstract

    Attempts to explain children's grammatical development often assume a close initial match between units of meaning and units of form; for example, agents are said to map to sentence-subjects and actions to verbs. The meanings themselves, according to this view, are not influenced by language, but reflect children's universal non-linguistic way of understanding the world. This paper argues that, contrary to this position, meaning as it is expressed in children's early sentences is, from the beginning, organized on the basis of experience with the grammar and lexicon of a particular language. As a case in point, children learning English and Korean are shown to express meanings having to do with direct motion according to language-specific principles of semantic and grammatical structuring from the earliest stages of word combination
  • Bowerman, M., & Majid, A. (2003). Kids’ cut & break. In N. J. Enfield (Ed.), Field research manual 2003, part I: Multimodal interaction, space, event representation (pp. 70-71). Nijmegen: Max Planck Institute for Psycholinguistics. doi:10.17617/2.877607.

    Abstract

    Kids’ Cut & Break is a task inspired by the original Cut & Break task (see MPI L&C Group Field Manual 2001), but designed for use with children as well as adults. There are fewer videoclips to be described (34 as opposed to 61), and they are “friendlier” and more interesting: the actors wear colorful clothes, smile, and act cheerfully. The first 2 items are warm-ups and 4 more items are fillers (interspersed with test items), so only 28 of the items are actually “test items”. In the original Cut & Break, each clip is in a separate file. In Kids’ Cut & Break, all 34 clips are edited into a single file, which plays the clips successively with 5 seconds of black screen between each clip.

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  • Bowerman, M. (2003). Rola predyspozycji kognitywnych w przyswajaniu systemu semantycznego [Reprint]. In E. Dabrowska, & W. Kubiński (Eds.), Akwizycja języka w świetle językoznawstwa kognitywnego [Language acquisition from a cognitive linguistic perspective]. Kraków: Uniwersitas.

    Abstract

    Reprinted from; Bowerman, M. (1989). Learning a semantic system: What role do cognitive predispositions play? In M.L. Rice & R.L Schiefelbusch (Ed.), The teachability of language (pp. 133-169). Baltimore: Paul H. Brookes.
  • Bowerman, M. (1994). Learning a semantic system: What role do cognitive predispositions play? [Reprint]. In P. Bloom (Ed.), Language acquisition: Core readings (pp. 329-363). Cambridge, MA: MIT Press.

    Abstract

    Reprint from: Bowerman, M. (1989). Learning a semantic system: What role do cognitive predispositions play? In M.L. Rice & R.L Schiefelbusch (Ed.), The teachability of language (pp. 133-169). Baltimore: Paul H. Brookes.
  • Bowerman, M., & Meyer, A. (1991). Max-Planck-Institute for Psycholinguistics: Annual Report Nr.12 1991. Nijmegen: MPI for Psycholinguistics.
  • Bowerman, M., & Choi, S. (2003). Space under construction: Language-specific spatial categorization in first language acquisition. In D. Gentner, & S. Goldin-Meadow (Eds.), Language in mind: Advances in the study of language and thought (pp. 387-427). Cambridge: MIT Press.
  • Li, P., & Bowerman, M. (1998). The acquisition of lexical and grammatical aspect in Chinese. First Language, 18, 311-350. doi:10.1177/014272379801805404.

    Abstract

    This study reports three experiments on how children learning Mandarin Chinese comprehend and use aspect markers. These experiments examine the role of lexical aspect in children's acquisition of grammatical aspect. Results provide converging evidence for children's early sensitivity to (1) the association between atelic verbs and the imperfective aspect markers zai, -zhe, and -ne, and (2) the association between telic verbs and the perfective aspect marker -le. Children did not show a sensitivity in their use or understanding of aspect markers to the difference between stative and activity verbs or between semelfactive and activity verbs. These results are consistent with Slobin's (1985) basic child grammar hypothesis that the contrast between process and result is important in children's early acquisition of temporal morphology. In contrast, they are inconsistent with Bickerton's (1981, 1984) language bioprogram hypothesis that the distinctions between state and process and between punctual and nonpunctual are preprogrammed into language learners. We suggest new ways of looking at the results in the light of recent probabilistic hypotheses that emphasize the role of input, prototypes and connectionist representations.
  • Bowerman, M. (2000). Where do children's word meanings come from? Rethinking the role of cognition in early semantic development. In L. Nucci, G. Saxe, & E. Turiel (Eds.), Culture, thought and development (pp. 199-230). Mahwah, NJ: Lawrence Erlbaum.

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