Publications

Displaying 201 - 300 of 303
  • Muysken, P., Hammarström, H., Birchall, J., Danielsen, S., Eriksen, L., Galucio, A. V., Van Gijn, R., Van de Kerke, S., Kolipakam, V., Krasnoukhova, O., Müller, N., & O'Connor, L. (2014). The languages of South America: Deep families, areal relationships, and language contact. In P. Muysken, & L. O'Connor (Eds.), Language contact in South America (pp. 299-323). Cambridge: Cambridge University Press.
  • Noordman, L. G., & Vonk, W. (1998). Discourse comprehension. In A. D. Friederici (Ed.), Language comprehension: a biological perspective (pp. 229-262). Berlin: Springer.

    Abstract

    The human language processor is conceived as a system that consists of several interrelated subsystems. Each subsystem performs a specific task in the complex process of language comprehension and production. A subsystem receives a particular input, performs certain specific operations on this input and yields a particular output. The subsystems can be characterized in terms of the transformations that relate the input representations to the output representations. An important issue in describing the language processing system is to identify the subsystems and to specify the relations between the subsystems. These relations can be conceived in two different ways. In one conception the subsystems are autonomous. They are related to each other only by the input-output channels. The operations in one subsystem are not affected by another system. The subsystems are modular, that is they are independent. In the other conception, the different subsystems influence each other. A subsystem affects the processes in another subsystem. In this conception there is an interaction between the subsystems.
  • Nordhoff, S., & Hammarström, H. (2014). Archiving grammatical descriptions. In P. K. Austin (Ed.), Language Documentation and Description. Vol. 12 (pp. 164-186). London: SOAS.
  • O'Connor, L., & Kolipakam, V. (2014). Human migrations, dispersals, and contacts in South America. In L. O'Connor, & P. Muysken (Eds.), The native languages of South America: Origins, development, typology (pp. 29-55). Cambridge: Cambridge University Press.
  • Ortega, G., & Ozyurek, A. (2013). Gesture-sign interface in hearing non-signers' first exposure to sign. In Proceedings of the Tilburg Gesture Research Meeting [TiGeR 2013].

    Abstract

    Natural sign languages and gestures are complex communicative systems that allow the incorporation of features of a referent into their structure. They differ, however, in that signs are more conventionalised because they consist of meaningless phonological parameters. There is some evidence that despite non-signers finding iconic signs more memorable they can have more difficulty at articulating their exact phonological components. In the present study, hearing non-signers took part in a sign repetition task in which they had to imitate as accurately as possible a set of iconic and arbitrary signs. Their renditions showed that iconic signs were articulated significantly less accurately than arbitrary signs. Participants were recalled six months later to take part in a sign generation task. In this task, participants were shown the English translation of the iconic signs they imitated six months prior. For each word, participants were asked to generate a sign (i.e., an iconic gesture). The handshapes produced in the sign repetition and sign generation tasks were compared to detect instances in which both renditions presented the same configuration. There was a significant correlation between articulation accuracy in the sign repetition task and handshape overlap. These results suggest some form of gestural interference in the production of iconic signs by hearing non-signers. We also suggest that in some instances non-signers may deploy their own conventionalised gesture when producing some iconic signs. These findings are interpreted as evidence that non-signers process iconic signs as gestures and that in production, only when sign and gesture have overlapping features will they be capable of producing the phonological components of signs accurately.
  • Ortega, G., Sumer, B., & Ozyurek, A. (2014). Type of iconicity matters: Bias for action-based signs in sign language acquisition. In P. Bello, M. Guarini, M. McShane, & B. Scassellati (Eds.), Proceedings of the 36th Annual Meeting of the Cognitive Science Society (CogSci 2014) (pp. 1114-1119). Austin, Tx: Cognitive Science Society.

    Abstract

    Early studies investigating sign language acquisition claimed
    that signs whose structures are motivated by the form of their
    referent (iconic) are not favoured in language development.
    However, recent work has shown that the first signs in deaf
    children’s lexicon are iconic. In this paper we go a step
    further and ask whether different types of iconicity modulate
    learning sign-referent links. Results from a picture description
    task indicate that children and adults used signs with two
    possible variants differentially. While children signing to
    adults favoured variants that map onto actions associated with
    a referent (action signs), adults signing to another adult
    produced variants that map onto objects’ perceptual features
    (perceptual signs). Parents interacting with children used
    more action variants than signers in adult-adult interactions.
    These results are in line with claims that language
    development is tightly linked to motor experience and that
    iconicity can be a communicative strategy in parental input.
  • Osswald, R., & Van Valin Jr., R. D. (2013). FrameNet, frame structure and the syntax-semantics interface. In T. Gamerschlag, D. Gerland, R. Osswald, & W. Petersen (Eds.), Frames and concept types: Applications in language and philosophy. Heidelberg: Springer.
  • Ozyurek, A. (1998). An analysis of the basic meaning of Turkish demonstratives in face-to-face conversational interaction. In S. Santi, I. Guaitella, C. Cave, & G. Konopczynski (Eds.), Oralite et gestualite: Communication multimodale, interaction: actes du colloque ORAGE 98 (pp. 609-614). Paris: L'Harmattan.
  • Peeters, D., Chu, M., Holler, J., Ozyurek, A., & Hagoort, P. (2013). Getting to the point: The influence of communicative intent on the kinematics of pointing gestures. In M. Knauff, M. Pauen, N. Sebanz, & I. Wachsmuth (Eds.), Proceedings of the 35th Annual Meeting of the Cognitive Science Society (CogSci 2013) (pp. 1127-1132). Austin, TX: Cognitive Science Society.

    Abstract

    In everyday communication, people not only use speech but
    also hand gestures to convey information. One intriguing
    question in gesture research has been why gestures take the
    specific form they do. Previous research has identified the
    speaker-gesturer’s communicative intent as one factor
    shaping the form of iconic gestures. Here we investigate
    whether communicative intent also shapes the form of
    pointing gestures. In an experimental setting, twenty-four
    participants produced pointing gestures identifying a referent
    for an addressee. The communicative intent of the speakergesturer
    was manipulated by varying the informativeness of
    the pointing gesture. A second independent variable was the
    presence or absence of concurrent speech. As a function of their communicative intent and irrespective of the presence of speech, participants varied the durations of the stroke and the post-stroke hold-phase of their gesture. These findings add to our understanding of how the communicative context influences the form that a gesture takes.
  • Peeters, D., Azar, Z., & Ozyurek, A. (2014). The interplay between joint attention, physical proximity, and pointing gesture in demonstrative choice. In P. Bello, M. Guarini, M. McShane, & B. Scassellati (Eds.), Proceedings of the 36th Annual Meeting of the Cognitive Science Society (CogSci 2014) (pp. 1144-1149). Austin, Tx: Cognitive Science Society.
  • Perlman, M., Clark, N., & Tanner, J. (2014). Iconicity and ape gesture. In E. A. Cartmill, S. G. Roberts, H. Lyn, & H. Cornish (Eds.), The Evolution of Language: Proceedings of the 10th International Conference (pp. 236-243). New Jersey: World Scientific.

    Abstract

    Iconic gestures are hypothesized to be c rucial to the evolution of language. Yet the important question of whether apes produce iconic gestures is the subject of considerable debate. This paper presents the current state of research on iconicity in ape gesture. In particular, it describes some of the empirical evidence suggesting that apes produce three different kinds of iconic gestures; it compares the iconicity hypothesis to other major hypotheses of ape gesture; and finally, it offers some directions for future ape gesture research
  • Piai, V., Roelofs, A., Jensen, O., Schoffelen, J.-M., & Bonnefond, M. (2013). Distinct patterns of brain activity characterize lexical activation and competition in speech production [Abstract]. Journal of Cognitive Neuroscience, 25 Suppl., 106.

    Abstract

    A fundamental ability of speakers is to
    quickly retrieve words from long-term memory. According to a prominent theory, concepts activate multiple associated words, which enter into competition for selection. Previous electrophysiological studies have provided evidence for the activation of multiple alternative words, but did not identify brain responses refl ecting competition. We report a magnetoencephalography study examining the timing and neural substrates of lexical activation and competition. The degree of activation of competing words was
    manipulated by presenting pictures (e.g., dog) simultaneously with distractor
    words. The distractors were semantically related to the picture name (cat), unrelated (pin), or identical (dog). Semantic distractors are stronger competitors to the picture name, because they receive additional activation from the picture, whereas unrelated distractors do not. Picture naming times were longer with semantic than with unrelated and identical distractors. The patterns of phase-locked and non-phase-locked activity were distinct
    but temporally overlapping. Phase-locked activity in left middle temporal
    gyrus, peaking at 400 ms, was larger on unrelated than semantic and identical trials, suggesting differential effort in processing the alternative words activated by the picture-word stimuli. Non-phase-locked activity in the 4-10 Hz range between 400-650 ms in left superior frontal gyrus was larger on semantic than unrelated and identical trials, suggesting different
    degrees of effort in resolving the competition among the alternatives
    words, as refl ected in the naming times. These findings characterize distinct
    patterns of brain activity associated with lexical activation and competition
    respectively, and their temporal relation, supporting the theory that words are selected by competition.
  • Ravignani, A., Gingras, B., Asano, R., Sonnweber, R., Matellan, V., & Fitch, W. T. (2013). The evolution of rhythmic cognition: New perspectives and technologies in comparative research. In M. Knauff, M. Pauen, I. Sebanz, & I. Wachsmuth (Eds.), Proceedings of the 35th Annual Conference of the Cognitive Science Society (pp. 1199-1204). Austin,TX: Cognitive Science Society.

    Abstract

    Music is a pervasive phenomenon in human culture, and musical
    rhythm is virtually present in all musical traditions. Research
    on the evolution and cognitive underpinnings of rhythm
    can benefit from a number of approaches. We outline key concepts
    and definitions, allowing fine-grained analysis of rhythmic
    cognition in experimental studies. We advocate comparative
    animal research as a useful approach to answer questions
    about human music cognition and review experimental evidence
    from different species. Finally, we suggest future directions
    for research on the cognitive basis of rhythm. Apart from
    research in semi-natural setups, possibly allowed by “drum set
    for chimpanzees” prototypes presented here for the first time,
    mathematical modeling and systematic use of circular statistics
    may allow promising advances.
  • Ravignani, A., Bowling, D., & Kirby, S. (2014). The psychology of biological clocks: A new framework for the evolution of rhythm. In E. A. Cartmill, S. G. Roberts, & H. Lyn (Eds.), The Evolution of Language: Proceedings of the 10th International Conference (pp. 262-269). Singapore: World Scientific.
  • Reesink, G. (2014). Topic management and clause combination in the Papuan language Usan. In R. Van Gijn, J. Hammond, D. Matic, S. van Putten, & A.-V. Galucio (Eds.), Information Structure and Reference Tracking in Complex Sentences. (pp. 231-262). Amsterdam: John Benjamins.

    Abstract

    This chapter describes topic management in the Papuan language Usan. The notion of ‘topic’ is defined by its pre-theoretical meaning ‘what someone’s speech is about’. This notion cannot be restricted to simple clausal or sentential constructions, but requires the wider context of long stretches of natural text. The tracking of a topic is examined in its relationship to clause combining mechanisms. Coordinating clause chaining with its switch reference mechanism is contrasted with subordinating strategies called ‘domain-creating’ constructions. These different strategies are identified by language-specific signals, such as intonation and morphosyntactic cues like nominalizations and scope of negation and other modalities.
  • Roberts, S. G., Dediu, D., & Levinson, S. C. (2014). Detecting differences between the languages of Neandertals and modern humans. In E. A. Cartmill, S. G. Roberts, H. Lyn, & H. Cornish (Eds.), The Evolution of Language: Proceedings of the 10th International Conference (pp. 501-502). Singapore: World Scientific.

    Abstract

    Dediu and Levinson (2013) argue that Neandertals had essentially modern language and speech, and that they were in genetic contact with the ancestors of modern humans during our dispersal out of Africa. This raises the possibility of cultural and linguistic contact between the two human lineages. If such contact did occur, then it might have influenced the cultural evolution of the languages. Since the genetic traces of contact with Neandertals are limited to the populations outside of Africa, Dediu & Levinson predict that there may be structural differences between the present-day languages derived from languages in contact with Neanderthals, and those derived from languages that were not influenced by such contact. Since the signature of such deep contact might reside in patterns of features, they suggested that machine learning methods may be able to detect these differences. This paper attempts to test this hypothesis and to estimate particular linguistic features that are potential candidates for carrying a signature of Neandertal languages.
  • Roberts, L. (2013). Discourse processing. In P. Robinson (Ed.), The Routledge encyclopedia of second language acquisition (pp. 190-194). New York: Routledge.
  • Roberts, S. G. (2013). A Bottom-up approach to the cultural evolution of bilingualism. In M. Knauff, M. Pauen, N. Sebanz, & I. Wachsmuth (Eds.), Proceedings of the 35th Annual Meeting of the Cognitive Science Society (CogSci 2013) (pp. 1229-1234). Austin, TX: Cognitive Science Society. Retrieved from http://mindmodeling.org/cogsci2013/papers/0236/index.html.

    Abstract

    The relationship between individual cognition and cultural phenomena at the society level can be transformed by cultural transmission (Kirby, Dowman, & Griffiths, 2007). Top-down models of this process have typically assumed that individuals only adopt a single linguistic trait. Recent extensions include ‘bilingual’ agents, able to adopt multiple linguistic traits (Burkett & Griffiths, 2010). However, bilingualism is more than variation within an individual: it involves the conditional use of variation with different interlocutors. That is, bilingualism is a property of a population that emerges from use. A bottom-up simulation is presented where learners are sensitive to the identity of other speakers. The simulation reveals that dynamic social structures are a key factor for the evolution of bilingualism in a population, a feature that was abstracted away in the top-down models. Top-down and bottom-up approaches may lead to different answers, but can work together to reveal and explore important features of the cultural transmission process.
  • Roberts, S. G., & De Vos, C. (2014). Gene-culture coevolution of a linguistic system in two modalities. In B. De Boer, & T. Verhoef (Eds.), Proceedings of Evolang X, Workshop on Signals, Speech, and Signs (pp. 23-27).

    Abstract

    Complex communication can take place in a range of modalities such as auditory, visual, and tactile modalities. In a very general way, the modality that individuals use is constrained by their biological biases (humans cannot use magnetic fields directly to communicate to each other). The majority of natural languages have a large audible component. However, since humans can learn sign languages just as easily, it’s not clear to what extent the prevalence of spoken languages is due to biological biases, the social environment or cultural inheritance. This paper suggests that we can explore the relative contribution of these factors by modelling the spontaneous emergence of sign languages that are shared by the deaf and hearing members of relatively isolated communities. Such shared signing communities have arisen in enclaves around the world and may provide useful insights by demonstrating how languages evolve as the deaf proportion of its members has strong biases towards the visual language modality. In this paper we describe a model of cultural evolution in two modalities, combining aspects that are thought to impact the emergence of sign languages in a more general evolutionary framework. The model can be used to explore hypotheses about how sign languages emerge.
  • Roberts, S. G. (2014). Monolingual Biases in Simulations of Cultural Transmission. In V. Dignum, & F. Dignum (Eds.), Perspectives on Culture and Agent-based Simulations (pp. 111-125). Cham: Springer. doi:10.1007/978-3-319-01952-9_7.

    Abstract

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

    Abstract

    Matsuzawa (2012) presented work at Evolang demonstrating the working memory abilities of chimpanzees. (Inoue & Matsuzawa, 2007) found that chimpanzees can correctly remember the location of 9 randomly arranged numerals displayed for 210ms - shorter than an average human eye saccade. Humans, however, perform poorly at this task. Matsuzawa suggests a semantic link hypothesis: while chimps have good visual, eidetic memory, humans are good at symbolic associations. The extra information in the semantic, linguistic links that humans possess increase the load on working memory and make this task difficult for them. We were interested to see if a wider search could find humans that matched the performance of the chimpanzees. We created an online version of the experiment and challenged people to play. We also attempted to run a non-semantic version of the task to see if this made the task easier. We found that, while humans can perform better than Inoue and Matsuzawa (2007) suggest, chimpanzees can perform better still. We also found no evidence to support the semantic link hypothesis.
  • Roberts, L. (2013). Sentence processing in bilinguals. In R. Van Gompel (Ed.), Sentence processing. London: Psychology Press.
  • Roberts, S. G., Thompson, B., & Smith, K. (2014). Social interaction influences the evolution of cognitive biases for language. In E. A. Cartmill, S. G. Roberts, & H. Lyn (Eds.), The Evolution of Language: Proceedings of the 10th International Conference (pp. 278-285). Singapore: World Scientific. doi:0.1142/9789814603638_0036.

    Abstract

    Models of cultural evolution demonstrate that the link between individual biases and population- level phenomena can be obscured by the process of cultural transmission (Kirby, Dowman, & Griffiths, 2007). However, recent extensions to these models predict that linguistic diversity will not emerge and that learners should evolve to expect little linguistic variation in their input (Smith & Thompson, 2012). We demonstrate that this result derives from assumptions that privilege certain kinds of social interaction by exploring a range of alternative social models. We find several evolutionary routes to linguistic diversity, and show that social interaction not only influences the kinds of biases which could evolve to support language, but also the effects those biases have on a linguistic system. Given the same starting situation, the evolution of biases for language learning and the distribution of linguistic variation are affected by the kinds of social interaction that a population privileges.
  • Rossano, F. (2013). Gaze in conversation. In J. Sidnell, & T. Stivers (Eds.), The handbook of conversation analysis (pp. 308-329). Malden, MA: Wiley-Blackwell. doi:10.1002/9781118325001.ch15.

    Abstract

    This chapter contains sections titled: Introduction Background: The Gaze “Machinery” Gaze “Machinery” in Social Interaction Future Directions
  • Rossi, G. (2014). When do people not use language to make requests? In P. Drew, & E. Couper-Kuhlen (Eds.), Requesting in social interaction (pp. 301-332). Amsterdam: John Benjamins.

    Abstract

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

    Abstract

    Most work on competing cues in language acquisition has focussed on what happens when cues compete within a certain construction. There has been far less work on what happens when constructions themselves compete. The aim of the present chapter was to explore how the acquisition mechanism copes when constructions compete in a language. We present three experimental studies, all of which focus on the acquisition of the syntactic function of word order as a marker of the Theme-Recipient relation in ditransitives (form-meaning mapping). In Study 1 we investigated how quickly English children acquire form-meaning mappings when there are two competing structures in the language. We demonstrated that English speaking 4-year- olds, but not 3-year-olds, correctly interpreted both preposition al and double object datives, assigning Theme and Recipient participant roles on the basis of word order cues. There was no advantage for the double object dative despite its greater frequency in child directed speech. In Study 2 we looked at acquisition in a language which has no dative alternation –Welsh–to investigate how quickly children acquire form-meaning mapping when there is no competing structure. We demonstrated that Welsh children (Study 2) acquired the prepositional dative at age 3 years, which was much earlier than English children. Finally, in Study 3 we examined bei2 (give) ditransitives in Cantonese, to investigate what happens when there is no dative alternation (as in Welsh), but when the child hears alternative, and possibly competing, word orders in the input. Like the English 3-year-olds, the Cantonese 3-year-olds had not yet acquired the word order marking constraints of bei2 ditransitives. We conclude that there is not only competition between cues but competition between constructions in language acquisition. We suggest an extension to the competition model (Bates & MacWhinney, 1982) whereby generalisations take place across constructions as easily as they take place within constructions, whenever there are salient similarities to form the basis of the generalisation.
  • Rumsey, A., San Roque, L., & Schieffelin, B. (2013). The acquisition of ergative marking in Kaluli, Ku Waru and Duna (Trans New Guinea). In E. L. Bavin, & S. Stoll (Eds.), The acquisition of ergativity (pp. 133-182). Amsterdam: Benjamins.

    Abstract

    In this chapter we present material on the acquisition of ergative marking on noun phrases in three languages of Papua New Guinea: Kaluli, Ku Waru, and Duna. The expression of ergativity in all the languages is broadly similar, but sensitive to language-specific features, and this pattern of similarity and difference is reflected in the available acquisition data. Children acquire adult-like ergative marking at about the same pace, reaching similar levels of mastery by 3;00 despite considerable differences in morphological complexity of ergative marking among the languages. What may be more important – as a factor in accounting for the relative uniformity of acquisition in this respect – are the similarities in patterns of interactional scaffolding that emerge from a comparison of the three cases.
  • Sauppe, S., Norcliffe, E., Konopka, A. E., Van Valin Jr., R. D., & Levinson, S. C. (2013). Dependencies first: Eye tracking evidence from sentence production in Tagalog. In M. Knauff, M. Pauen, N. Sebanz, & I. Wachsmuth (Eds.), Proceedings of the 35th Annual Meeting of the Cognitive Science Society (CogSci 2013) (pp. 1265-1270). Austin, TX: Cognitive Science Society.

    Abstract

    We investigated the time course of sentence formulation in Tagalog, a verb-initial language in which the verb obligatorily agrees with one of its arguments. Eye-tracked participants described pictures of transitive events. Fixations to the two characters in the events were compared across sentences differing in agreement marking and post-verbal word order. Fixation patterns show evidence for two temporally dissociated phases in Tagalog sentence production. The first, driven by verb agreement, involves early linking of concepts to syntactic functions; the second, driven by word order, involves incremental lexical encoding of these concepts. These results suggest that even the earliest stages of sentence formulation may be guided by a language's grammatical structure.
  • Scharenborg, O., & Janse, E. (2013). Changes in the role of intensity as a cue for fricative categorisation. In Proceedings of INTERSPEECH 2013: 14th Annual Conference of the International Speech Communication Association (pp. 3147-3151).

    Abstract

    Older listeners with high-frequency hearing loss rely more on intensity for categorisation of /s/ than normal-hearing older listeners. This study addresses the question whether this increased reliance comes about immediately when the need
    arises, i.e., in the face of a spectrally-degraded signal. A phonetic categorisation task was carried out using intensitymodulated fricatives in a clean and a low-pass filtered condition with two younger and two older listener groups.
    When high-frequency information was removed from the speech signal, younger listeners started using intensity as a cue. The older adults on the other hand, when presented with the low-pass filtered speech, did not rely on intensity differences for fricative identification. These results suggest that the reliance on intensity shown by the older hearingimpaired adults may have been acquired only gradually with
    longer exposure to a degraded speech signal.
  • Schepens, J., Van der Slik, F., & Van Hout, R. (2013). The effect of linguistic distance across Indo-European mother tongues on learning Dutch as a second language. In L. Borin, & A. Saxena (Eds.), Approaches to measuring linguistic differences (pp. 199-230). Berlin: Mouton de Gruyter.
  • Schmidt, J., Janse, E., & Scharenborg, O. (2014). Age, hearing loss and the perception of affective utterances in conversational speech. In Proceedings of Interspeech 2014: 15th Annual Conference of the International Speech Communication Association (pp. 1929-1933).

    Abstract

    This study investigates whether age and/or hearing loss influence the perception of the emotion dimensions arousal (calm vs. aroused) and valence (positive vs. negative attitude) in conversational speech fragments. Specifically, this study focuses on the relationship between participants' ratings of affective speech and acoustic parameters known to be associated with arousal and valence (mean F0, intensity, and articulation rate). Ten normal-hearing younger and ten older adults with varying hearing loss were tested on two rating tasks. Stimuli consisted of short sentences taken from a corpus of conversational affective speech. In both rating tasks, participants estimated the value of the emotion dimension at hand using a 5-point scale. For arousal, higher intensity was generally associated with higher arousal in both age groups. Compared to younger participants, older participants rated the utterances as less aroused, and showed a smaller effect of intensity on their arousal ratings. For valence, higher mean F0 was associated with more negative ratings in both age groups. Generally, age group differences in rating affective utterances may not relate to age group differences in hearing loss, but rather to other differences between the age groups, as older participants' rating patterns were not associated with their individual hearing loss.
  • Schoffelen, J.-M., & Gross, J. (2014). Studying dynamic neural interactions with MEG. In S. Supek, & C. J. Aine (Eds.), Magnetoencephalography: From signals to dynamic cortical networks (pp. 405-427). Berlin: Springer.
  • Scott, K., Sakkalou, E., Ellis-Davies, K., Hilbrink, E., Hahn, U., & Gattis, M. (2013). Infant contributions to joint attention predict vocabulary development. In M. Knauff, M. Pauen, I. Sebanz, & I. Wachsmuth (Eds.), Proceedings of the 35th Annual Conference of the Cognitive Science Society (pp. 3384-3389). Austin,TX: Cognitive Science Society. Retrieved from http://mindmodeling.org/cogsci2013/papers/0602/index.html.

    Abstract

    Joint attention has long been accepted as constituting a privileged circumstance in which word learning prospers. Consequently research has investigated the role that maternal responsiveness to infant attention plays in predicting language outcomes. However there has been a recent expansion in research implicating similar predictive effects from individual differences in infant behaviours. Emerging from the foundations of such work comes an interesting question: do the relative contributions of the mother and infant to joint attention episodes impact upon language learning? In an attempt to address this, two joint attention behaviours were assessed as predictors of vocabulary attainment (as measured by OCDI Production Scores). These predictors were: mothers encouraging attention to an object given their infant was already attending to an object (maternal follow-in); and infants looking to an object given their mothers encouragement of attention to an object (infant follow-in). In a sample of 14-month old children (N=36) we compared the predictive power of these maternal and infant follow-in variables on concurrent and later language performance. Results using Growth Curve Analysis provided evidence that while both maternal follow-in and infant follow-in variables contributed to production scores, infant follow-in was a stronger predictor. Consequently it does appear to matter whose final contribution establishes joint attention episodes. Infants who more often follow-in into their mothers’ encouragement of attention have larger, and faster growing vocabularies between 14 and 18-months of age.
  • Scott, S. K., McGettigan, C., & Eisner, F. (2013). The neural basis of links and dissociations between speech perception and production. In J. J. Bolhuis, & M. Everaert (Eds.), Birdsong, speech and language: Exploring the evolution of mind and brain (pp. 277-294). Cambridge, Mass: MIT Press.
  • Senft, G. (1998). 'Noble Savages' and the 'Islands of Love': Trobriand Islanders in 'Popular Publications'. In J. Wassmann (Ed.), Pacific answers to Western hegemony: Cultural practices of identity construction (pp. 119-140). Oxford: Berg Publishers.
  • Senft, G. (2013). Ethnolinguistik. In B. Beer, & H. Fischer (Eds.), Ethnologie - Einführung und Überblick. (8. Auflage, pp. 271-286). Berlin: Reimer.
  • Senft, G. (1998). Zeichenkonzeptionen in Ozeanien. In R. Posner, T. Robering, & T.. Sebeok (Eds.), Semiotics: A handbook on the sign-theoretic foundations of nature and culture (Vol. 2) (pp. 1971-1976). Berlin: de Gruyter.
  • Senghas, A., Ozyurek, A., & Goldin-Meadow, S. (2013). Homesign as a way-station between co-speech gesture and sign language: The evolution of segmenting and sequencing. In R. Botha, & M. Everaert (Eds.), The evolutionary emergence of language: Evidence and inference (pp. 62-77). Oxford: Oxford University Press.
  • Seuren, P. A. M. (2014). Scope and external datives. In B. Cornillie, C. Hamans, & D. Jaspers (Eds.), Proceedings of a mini-symposium on Pieter Seuren's 80th birthday organised at the 47th Annual Meeting of the Societas Linguistica Europaea.

    Abstract

    In this study it is argued that scope, as a property of scope‐creating operators, is a real and important element in the semantico‐grammatical description of languages. The notion of scope is illustrated and, as far as possible, defined. A first idea is given of the ‘grammar of scope’, which defines the relation between scope in the logically structured semantic analysis (SA) of sentences on the one hand and surface structure on the other. Evidence is adduced showing that peripheral preposition phrases (PPPs) in the surface structure of sentences represent scope‐creating operators in SA, and that external datives fall into this category: they are scope‐creating PPPs. It follows that, in English and Dutch, the internal dative (I gave John a book) and the external dative (I gave a book to John) are not simple syntactic variants expressing the same meaning. Instead, internal datives are an integral part of the argument structure of the matrix predicate, whereas external datives represent scope‐creating operators in SA. In the Romance languages, the (non‐pronominal) external dative has been re‐analysed as an argument type dative, but this has not happened in English and Dutch, which have many verbs that only allow for an external dative (e.g. donate, reveal). When both datives are allowed, there are systematic semantic differences, including scope differences.
  • Seuren, P. A. M. (2013). The logico-philosophical tradition. In K. Allan (Ed.), The Oxford handbook of the history of linguistics (pp. 537-554). Oxford: Oxford University Press.
  • Seuren, P. A. M. (1998). Towards a discourse-semantic account of donkey anaphora. In S. Botley, & T. McEnery (Eds.), New Approaches to Discourse Anaphora: Proceedings of the Second Colloquium on Discourse Anaphora and Anaphor Resolution (DAARC2) (pp. 212-220). Lancaster: Universiy Centre for Computer Corpus Research on Language, Lancaster University.
  • Seuren, P. A. M. (2014). Universe restriction in the logic of language. In J. Hoeksema, & D. Gilbers (Eds.), Black Book: A Festschrift in Honor of Frans Zwarts (pp. 282-300). Groningen: University of Groningen.
  • Shayan, S., Moreira, A., Windhouwer, M., Koenig, A., & Drude, S. (2013). LEXUS 3 - a collaborative environment for multimedia lexica. In Proceedings of the Digital Humanities Conference 2013 (pp. 392-395).
  • Shkaravska, O., Van Eekelen, M., & Tamalet, A. (2014). Collected size semantics for strict functional programs over general polymorphic lists. In U. Dal Lago, & R. Pena (Eds.), Foundational and Practical Aspects of Resource Analysis: Third International Workshop, FOPARA 2013, Bertinoro, Italy, August 29-31, 2013, Revised Selected Papers (pp. 143-159). Berlin: Springer.

    Abstract

    Size analysis can be an important part of heap consumption analysis. This paper is a part of ongoing work about typing support for checking output-on-input size dependencies for function definitions in a strict functional language. A significant restriction for our earlier results is that inner data structures (e.g. in a list of lists) all must have the same size. Here, we make a big step forwards by overcoming this limitation via the introduction of higher-order size annotations such that variate sizes of inner data structures can be expressed. In this way the analysis becomes applicable for general, polymorphic nested lists.
  • Sidnell, J., & Enfield, N. J. (2014). Deixis and the interactional foundations of reference. In Y. Huang (Ed.), The Oxford handbook of pragmatics.
  • Sidnell, J., Kockelman, P., & Enfield, N. J. (2014). Community and social life. In N. J. Enfield, P. Kockelman, & J. Sidnell (Eds.), The Cambridge handbook of linguistic anthropology (pp. 481-483). Cambridge: Cambridge University Press.
  • Sidnell, J., Enfield, N. J., & Kockelman, P. (2014). Interaction and intersubjectivity. In N. J. Enfield, P. Kockelman, & J. Sidnell (Eds.), The Cambridge handbook of linguistic anthropology (pp. 343-345). Cambridge: Cambridge University Press.
  • Sidnell, J., & Enfield, N. J. (2014). The ontology of action, in interaction. In N. J. Enfield, P. Kockelman, & J. Sidnell (Eds.), The Cambridge handbook of linguistic anthropology (pp. 423-446). Cambridge: Cambridge University Press.
  • Sloetjes, H. (2014). ELAN: Multimedia annotation application. In J. Durand, U. Gut, & G. Kristoffersen (Eds.), The Oxford Handbook of Corpus Phonology (pp. 305-320). Oxford: Oxford University Press.
  • Sloetjes, H. (2013). The ELAN annotation tool. In H. Lausberg (Ed.), Understanding body movement: A guide to empirical research on nonverbal behaviour with an introduction to the NEUROGES coding system (pp. 193-198). Frankfurt a/M: Lang.
  • Sloetjes, H. (2013). Step by step introduction in NEUROGES coding with ELAN. In H. Lausberg (Ed.), Understanding body movement: A guide to empirical research on nonverbal behaviour with an introduction to the NEUROGES coding system (pp. 201-212). Frankfurt a/M: Lang.
  • De Smedt, K., Hinrichs, E., Meurers, D., Skadiņa, I., Sanford Pedersen, B., Navarretta, C., Bel, N., Lindén, K., Lopatková, M., Hajič, J., Andersen, G., & Lenkiewicz, P. (2014). CLARA: A new generation of researchers in common language resources and their applications. In N. Calzolari, K. Choukri, T. Declerck, H. Loftsson, B. Maegaard, J. Mariani, A. Moreno, J. Odijk, & S. Piperidis (Eds.), Proceedings of LREC 2014: 9th International Conference on Language Resources and Evaluation (pp. 2166-2174).
  • De Smedt, K., & Kempen, G. (1987). Incremental sentence production, self-correction, and coordination. In G. Kempen (Ed.), Natural language generation: New results in artificial intelligence, psychology and linguistics (pp. 365-376). Dordrecht: Nijhoff.
  • Smith, A. C., Monaghan, P., & Huettig, F. (2014). Examining strains and symptoms of the ‘Literacy Virus’: The effects of orthographic transparency on phonological processing in a connectionist model of reading. In P. Bello, M. Guarini, M. McShane, & B. Scassellati (Eds.), Proceedings of the 36th Annual Meeting of the Cognitive Science Society (CogSci 2014). Austin, TX: Cognitive Science Society.

    Abstract

    The effect of literacy on phonological processing has been described in terms of a virus that “infects all speech processing” (Frith, 1998). Empirical data has established that literacy leads to changes to the way in which phonological information is processed. Harm & Seidenberg (1999) demonstrated that a connectionist network trained to map between English orthographic and phonological representations display’s more componential phonological processing than a network trained only to stably represent the phonological forms of words. Within this study we use a similar model yet manipulate the transparency of orthographic-to-phonological mappings. We observe that networks trained on a transparent orthography are better at restoring phonetic features and phonemes. However, networks trained on non-transparent orthographies are more likely to restore corrupted phonological segments with legal, coarser linguistic units (e.g. onset, coda). Our study therefore provides an explicit description of how differences in orthographic transparency can lead to varying strains and symptoms of the ‘literacy virus’.
  • Smith, A. C., Monaghan, P., & Huettig, F. (2014). A comprehensive model of spoken word recognition must be multimodal: Evidence from studies of language-mediated visual attention. In P. Bello, M. Guarini, M. McShane, & B. Scassellati (Eds.), Proceedings of the 36th Annual Meeting of the Cognitive Science Society (CogSci 2014). Austin, TX: Cognitive Science Society.

    Abstract

    When processing language, the cognitive system has access to information from a range of modalities (e.g. auditory, visual) to support language processing. Language mediated visual attention studies have shown sensitivity of the listener to phonological, visual, and semantic similarity when processing a word. In a computational model of language mediated visual attention, that models spoken word processing as the parallel integration of information from phonological, semantic and visual processing streams, we simulate such effects of competition within modalities. Our simulations raised untested predictions about stronger and earlier effects of visual and semantic similarity compared to phonological similarity around the rhyme of the word. Two visual world studies confirmed these predictions. The model and behavioral studies suggest that, during spoken word comprehension, multimodal information can be recruited rapidly to constrain lexical selection to the extent that phonological rhyme information may exert little influence on this process.
  • Smith, A. C., Monaghan, P., & Huettig, F. (2014). Modelling language – vision interactions in the hub and spoke framework. In J. Mayor, & P. Gomez (Eds.), Computational Models of Cognitive Processes: Proceedings of the 13th Neural Computation and Psychology Workshop (NCPW13). (pp. 3-16). Singapore: World Scientific Publishing.

    Abstract

    Multimodal integration is a central characteristic of human cognition. However our understanding of the interaction between modalities and its influence on behaviour is still in its infancy. This paper examines the value of the Hub & Spoke framework (Plaut, 2002; Rogers et al., 2004; Dilkina et al., 2008; 2010) as a tool for exploring multimodal interaction in cognition. We present a Hub and Spoke model of language–vision information interaction and report the model’s ability to replicate a range of phonological, visual and semantic similarity word-level effects reported in the Visual World Paradigm (Cooper, 1974; Tanenhaus et al, 1995). The model provides an explicit connection between the percepts of language and the distribution of eye gaze and demonstrates the scope of the Hub-and-Spoke architectural framework by modelling new aspects of multimodal cognition.
  • Smith, A. C., Monaghan, P., & Huettig, F. (2013). Modelling the effects of formal literacy training on language mediated visual attention. In M. Knauff, M. Pauen, N. Sebanz, & I. Wachsmuth (Eds.), Proceedings of the 35th Annual Meeting of the Cognitive Science Society (CogSci 2013) (pp. 3420-3425). Austin, TX: Cognitive Science Society.

    Abstract

    Recent empirical evidence suggests that language-mediated eye gaze is partly determined by level of formal literacy training. Huettig, Singh and Mishra (2011) showed that high-literate individuals' eye gaze was closely time locked to phonological overlap between a spoken target word and items presented in a visual display. In contrast, low-literate individuals' eye gaze was not related to phonological overlap, but was instead strongly influenced by semantic relationships between items. Our present study tests the hypothesis that this behavior is an emergent property of an increased ability to extract phonological structure from the speech signal, as in the case of high-literates, with low-literates more reliant on more coarse grained structure. This hypothesis was tested using a neural network model, that integrates linguistic information extracted from the speech signal with visual and semantic information within a central resource. We demonstrate that contrasts in fixation behavior similar to those observed between high and low literates emerge when models are trained on speech signals of contrasting granularity.
  • Stolker, C. J. J. M., & Poletiek, F. H. (1998). Smartengeld - Wat zijn we eigenlijk aan het doen? Naar een juridische en psychologische evaluatie. In F. Stadermann (Ed.), Bewijs en letselschade (pp. 71-86). Lelystad, The Netherlands: Koninklijke Vermande.
  • Sumer, B., Zwitserlood, I., Perniss, P. M., & Ozyurek, A. (2013). Acquisition of locative expressions in children learning Turkish Sign Language (TİD) and Turkish. In E. Arik (Ed.), Current directions in Turkish Sign Language research (pp. 243-272). Newcastle upon Tyne: Cambridge Scholars Publishing.

    Abstract

    In sign languages, where space is often used to talk about space, expressions of spatial relations (e.g., ON, IN, UNDER, BEHIND) may rely on analogue mappings of real space onto signing space. In contrast, spoken languages express space in mostly categorical ways (e.g. adpositions). This raises interesting questions about the role of language modality in the acquisition of expressions of spatial relations. However, whether and to what extent modality influences the acquisition of spatial language is controversial – mostly due to the lack of direct comparisons of Deaf children to Deaf adults and to age-matched hearing children in similar tasks. Furthermore, the previous studies have taken English as the only model for spoken language development of spatial relations.
    Therefore, we present a balanced study in which spatial expressions by deaf and hearing children in two different age-matched groups (preschool children and school-age children) are systematically compared, as well as compared to the spatial expressions of adults. All participants performed the same tasks, describing angular (LEFT, RIGHT, FRONT, BEHIND) and non-angular spatial configurations (IN, ON, UNDER) of different objects (e.g. apple in box; car behind box).
    The analysis of the descriptions with non-angular spatial relations does not show an effect of modality on the development of
    locative expressions in TİD and Turkish. However, preliminary results of the analysis of expressions of angular spatial relations suggest that signers provide angular information in their spatial descriptions
    more frequently than Turkish speakers in all three age groups, and thus showing a potentially different developmental pattern in this domain. Implications of the findings with regard to the development of relations in spatial language and cognition will be discussed.
  • Sumer, B., Perniss, P., Zwitserlood, I., & Ozyurek, A. (2014). Learning to express "left-right" & "front-behind" in a sign versus spoken language. In P. Bello, M. Guarini, M. McShane, & B. Scassellati (Eds.), Proceedings of the 36th Annual Meeting of the Cognitive Science Society (CogSci 2014) (pp. 1550-1555). Austin, Tx: Cognitive Science Society.

    Abstract

    Developmental studies show that it takes longer for
    children learning spoken languages to acquire viewpointdependent
    spatial relations (e.g., left-right, front-behind),
    compared to ones that are not viewpoint-dependent (e.g.,
    in, on, under). The current study investigates how
    children learn to express viewpoint-dependent relations
    in a sign language where depicted spatial relations can be
    communicated in an analogue manner in the space in
    front of the body or by using body-anchored signs (e.g.,
    tapping the right and left hand/arm to mean left and
    right). Our results indicate that the visual-spatial
    modality might have a facilitating effect on learning to
    express these spatial relations (especially in encoding of
    left-right) in a sign language (i.e., Turkish Sign
    Language) compared to a spoken language (i.e.,
    Turkish).
  • Sumner, M., Kurumada, C., Gafter, R., & Casillas, M. (2013). Phonetic variation and the recognition of words with pronunciation variants. In M. Knauff, M. Pauen, N. Sebanz, & I. Wachsmuth (Eds.), Proceedings of the 35th Annual Meeting of the Cognitive Science Society (CogSci 2013) (pp. 3486-3492). Austin, TX: Cognitive Science Society.
  • Suppes, P., Böttner, M., & Liang, L. (1998). Machine Learning of Physics Word Problems: A Preliminary Report. In A. Aliseda, R. van Glabbeek, & D. Westerståhl (Eds.), Computing Natural Language (pp. 141-154). Stanford, CA, USA: CSLI Publications.
  • De Swart, P., & Van Bergen, G. (2014). Unscrambling the lexical nature of weak definites. In A. Aguilar-Guevara, B. Le Bruyn, & J. Zwarts (Eds.), Weak referentiality (pp. 287-310). Amsterdam: Benjamins.

    Abstract

    We investigate how the lexical nature of weak definites influences the phenomenon of direct object scrambling in Dutch. Earlier experiments have indicated that weak definites are more resistant to scrambling than strong definites. We examine how the notion of weak definiteness used in this experimental work can be reduced to lexical connectedness. We explore four different ways of quantifying the relation between a direct object and the verb. Our results show that predictability of a verb given the object (verb cloze probability) provides the best fit to the weak/strong distinction used in the earlier experiments
  • Ten Bosch, L., Ernestus, M., & Boves, L. (2014). Comparing reaction time sequences from human participants and computational models. In Proceedings of Interspeech 2014: 15th Annual Conference of the International Speech Communication Association (pp. 462-466).

    Abstract

    This paper addresses the question how to compare reaction times computed by a computational model of speech comprehension with observed reaction times by participants. The question is based on the observation that reaction time sequences substantially differ per participant, which raises the issue of how exactly the model is to be assessed. Part of the variation in reaction time sequences is caused by the so-called local speed: the current reaction time correlates to some extent with a number of previous reaction times, due to slowly varying variations in attention, fatigue etc. This paper proposes a method, based on time series analysis, to filter the observed reaction times in order to separate the local speed effects. Results show that after such filtering the between-participant correlations increase as well as the average correlation between participant and model increases. The presented technique provides insights into relevant aspects that are to be taken into account when comparing reaction time sequences
  • Ten Bosch, L., Boves, L., & Ernestus, M. (2013). Towards an end-to-end computational model of speech comprehension: simulating a lexical decision task. In Proceedings of INTERSPEECH 2013: 14th Annual Conference of the International Speech Communication Association (pp. 2822-2826).

    Abstract

    This paper describes a computational model of speech comprehension that takes the acoustic signal as input and predicts reaction times as observed in an auditory lexical decision task. By doing so, we explore a new generation of end-to-end computational models that are able to simulate the behaviour of human subjects participating in a psycholinguistic experiment. So far, nearly all computational models of speech comprehension do not start from the speech signal itself, but from abstract representations of the speech signal, while the few existing models that do start from the acoustic signal cannot directly model reaction times as obtained in comprehension experiments. The main functional components in our model are the perception stage, which is compatible with the psycholinguistic model Shortlist B and is implemented with techniques from automatic speech recognition, and the decision stage, which is based on the linear ballistic accumulation decision model. We successfully tested our model against data from 20 participants performing a largescale auditory lexical decision experiment. Analyses show that the model is a good predictor for the average judgment and reaction time for each word.
  • Thompson-Schill, S., Hagoort, P., Dominey, P. F., Honing, H., Koelsch, S., Ladd, D. R., Lerdahl, F., Levinson, S. C., & Steedman, M. (2013). Multiple levels of structure in language and music. In M. A. Arbib (Ed.), Language, music, and the brain: A mysterious relationship (pp. 289-303). Cambridge, MA: MIT Press.

    Abstract

    A forum devoted to the relationship between music and language begins with an implicit assumption: There is at least one common principle that is central to all human musical systems and all languages, but that is not characteristic of (most) other domains. Why else should these two categories be paired together for analysis? We propose that one candidate for a common principle is their structure. In this chapter, we explore the nature of that structure—and its consequences for psychological and neurological processing mechanisms—within and across these two domains.
  • Timmer, K., Ganushchak, L. Y., Mitlina, Y., & Schiller, N. O. (2013). Choosing first or second language phonology in 125 ms [Abstract]. Journal of Cognitive Neuroscience, 25 Suppl., 164.

    Abstract

    We are often in a bilingual situation (e.g., overhearing a conversation in the train). We investigated whether first (L1) and second language (L2) phonologies are automatically activated. A masked priming paradigm was used, with Russian words as targets and either Russian or English words as primes. Event-related potentials (ERPs) were recorded while Russian (L1) – English (L2) bilinguals read aloud L1 target words (e.g. РЕЙС /reis/ ‘fl ight’) primed with either L1 (e.g. РАНА /rana/ ‘wound’) or L2 words (e.g. PACK). Target words were read faster when they were preceded by phonologically related L1 primes but not by orthographically related L2 primes. ERPs showed orthographic priming in the 125-200 ms time window. Thus, both L1 and L2 phonologies are simultaneously activated during L1 reading. The results provide support for non-selective models of bilingual reading, which assume automatic activation of the non-target language phonology even when it is not required by the task.
  • Torreira, F., Roberts, S. G., & Hammarström, H. (2014). Functional trade-off between lexical tone and intonation: Typological evidence from polar-question marking. In C. Gussenhoven, Y. Chen, & D. Dediu (Eds.), Proceedings of the 4th International Symposium on Tonal Aspects of Language (pp. 100-103).

    Abstract

    Tone languages are often reported to make use of utterancelevel intonation as well as of lexical tone. We test the alternative hypotheses that a) the coexistence of lexical tone and utterance-level intonation in tone languages results in a diminished functional load for intonation, and b) that lexical tone and intonation can coexist in tone languages without undermining each other’s functional load in a substantial way. In order to do this, we collected data from two large typological databases, and performed mixed-effects and phylogenetic regression analyses controlling for genealogical and areal factors to estimate the probability of a language exhibiting grammatical devices for encoding polar questions given its status as a tonal or an intonation-only language. Our analyses indicate that, while both tone and intonational languages tend to develop grammatical devices for marking polar questions above chance level, tone languages do this at a significantly higher frequency, with estimated probabilities ranging between 0.88 and .98. This statistical bias provides cross-linguistic empirical support to the view that the use of tonal features to mark lexical contrasts leads to a diminished functional load for utterance-level intonation.
  • Torreira, F., Simonet, M., & Hualde, J. I. (2014). Quasi-neutralization of stress contrasts in Spanish. In N. Campbell, D. Gibbon, & D. Hirst (Eds.), Proceedings of Speech Prosody 2014 (pp. 197-201).

    Abstract

    We investigate the realization and discrimination of lexical stress contrasts in pitch-unaccented words in phrase-medial position in Spanish, a context in which intonational pitch accents are frequently absent. Results from production and perception experiments show that in this context durational and intensity cues to stress are produced by speakers and used by listeners above chance level. However, due to substantial amounts of phonetic overlap between stress categories in production, and of numerous errors in the identification of stress categories in perception, we suggest that, in the absence of intonational cues, Spanish speakers engaged in online language use must rely on contextual information in order to distinguish stress contrasts.
  • Trilsbeek, P., & Koenig, A. (2014). Increasing the future usage of endangered language archives. In D. Nathan, & P. Austin (Eds.), Language Documentation and Description vol 12 (pp. 151-163). London: SOAS. Retrieved from http://www.elpublishing.org/PID/142.
  • Trippel, T., Broeder, D., Durco, M., & Ohren, O. (2014). Towards automatic quality assessment of component metadata. In N. Calzolari, K. Choukri, T. Declerck, H. Loftsson, B. Maegaard, J. Mariani, A. Moreno, J. Odijk, & S. Piperidis (Eds.), Proceedings of LREC 2014: 9th International Conference on Language Resources and Evaluation (pp. 3851-3856).

    Abstract

    Measuring the quality of metadata is only possible by assessing the quality of the underlying schema and the metadata instance. We propose some factors that are measurable automatically for metadata according to the CMD framework, taking into account the variability of schemas that can be defined in this framework. The factors include among others the number of elements, the (re-)use of reusable components, the number of filled in elements. The resulting score can serve as an indicator of the overall quality of the CMD instance, used for feedback to metadata providers or to provide an overview of the overall quality of metadata within a reposi-tory. The score is independent of specific schemas and generalizable. An overall assessment of harvested metadata is provided in form of statistical summaries and the distribution, based on a corpus of harvested metadata. The score is implemented in XQuery and can be used in tools, editors and repositories
  • Ünal, E., & Papafragou, A. (2013). Linguistic and conceptual representations of inference as a knowledge source. In S. Baiz, N. Goldman, & R. Hawkes (Eds.), Proceedings of the 37th Annual Boston University Conference on Language Development (BUCLD 37) (pp. 433-443). Boston: Cascadilla Press.
  • Valtersson, E., & Torreira, F. (2014). Rising intonation in spontaneous French: How well can continuation statements and polar questions be distinguished? In N. Campbell, D. Gibbon, & D. Hirst (Eds.), Proceedings of Speech Prosody 2014 (pp. 785-789).

    Abstract

    This study investigates whether a clear distinction can be made between the prosody of continuation statements and polar questions in conversational French, which are both typically produced with final rising intonation. We show that the two utterance types can be distinguished over chance level by several pitch, duration, and intensity cues. However, given the substantial amount of phonetic overlap and the nature of the observed differences between the two utterance types (i.e. overall F0 scaling, final intensity drop and degree of final lengthening), we propose that variability in the phonetic detail of intonation rises in French is due to the effects of interactional factors (e.g. turn-taking context, type of speech act) rather than to the existence of two distinct rising intonation contour types in this language.
  • Van Leeuwen, T. M., Petersson, K. M., Langner, O., Rijpkema, M., & Hagoort, P. (2014). Color specificity in the human V4 complex: An fMRI repetition suppression study. In T. D. Papageorgiou, G. I. Cristopoulous, & S. M. Smirnakis (Eds.), Advanced Brain Neuroimaging Topics in Health and Disease - Methods and Applications (pp. 275-295). Rijeka, Croatia: Intech. doi:10.5772/58278.
  • Van Valin Jr., R. D. (1987). Aspects of the interaction of syntax and pragmatics: Discourse coreference mechanisms and the typology of grammatical systems. In M. Bertuccelli Papi, & J. Verschueren (Eds.), The pragmatic perspective: Selected papers from the 1985 International Pragmatics Conference (pp. 513-531). Amsterdam: Benjamins.
  • Van Putten, S. (2014). Left-dislocation and subordination in Avatime (Kwa). In R. Van Gijn, J. Hammond, D. Matic, S. van Putten, & A.-V. Galucio (Eds.), Information Structure and Reference Tracking in Complex Sentences. (pp. 71-98). Amsterdam: John Benjamins.

    Abstract

    Left dislocation is characterized by a sentence-initial element which is crossreferenced in the remainder of the sentence, and often set off by an intonation break. Because of these properties, left dislocation has been analyzed as an extraclausal phenomenon. Whether or not left dislocation can occur within subordinate clauses has been a matter of debate in the literature, but has never been checked against corpus data. This paper presents data from Avatime, a Kwa (Niger-Congo) language spoken in Ghana, showing that left dislocation occurs within subordinate clauses in spontaneous discourse. This poses a problem for the extraclausal analysis of left dislocation. I show that this problem can best be solved by assuming that Avatime allows the embedding of units larger than a clause
  • Van Valin Jr., R. D. (2013). Head-marking languages and linguistic theory. In B. Bickel, L. A. Grenoble, D. A. Peterson, & A. Timberlake (Eds.), Language typology and historical contingency: In honor of Johanna Nichols (pp. 91-124). Amsterdam: Benjamins.

    Abstract

    In her path-breaking 1986 paper, Johanna Nichols proposed a typological contrast between head-marking and dependent-marking languages. Nichols argues that even though the syntactic relations between the head and its dependents are the same in both types of language, the syntactic “bond” between them is not the same; in dependent-marking languages it is one of government, whereas in head-marking languages it is one of apposition. This distinction raises an important question for linguistic theory: How can this contrast – government versus apposition – which can show up in all of the major phrasal types in a language, be captured? The purpose of this paper is to explore the various approaches that have been taken in an attempt to capture the difference between head-marked and dependent-marked syntax in different linguistic theories. The basic problem that head-marking languages pose for syntactic theory will be presented, and then generative approaches will be discussed. The analysis of head-marked structure in Role and Reference Grammar will be presented
  • Van Valin Jr., R. D. (2013). Lexical representation, co-composition, and linking syntax and semantics. In J. Pustejovsky, P. Bouillon, H. Isahara, K. Kanzaki, & C. Lee (Eds.), Advances in generative lexicon theory (pp. 67-107). Dordrecht: Springer.
  • Van Valin Jr., R. D., & Mairal Usón, R. (2014). Interfacing the lexicon and an ontology in a linking system. In M. d. l. Á. Gómez González, F. J. Ruiz de Mendoza Ibáñez, & F. Gonzálvez-García (Eds.), Theory and practice in functional-cognitive space (pp. 205-228). Amsterdam: Benjamins.

    Abstract

    The aim of this paper is to discuss the repercussions of a conceptual orientation on two crucial parts of the Role and Reference Grammar (RRG) linking algorithm, that is, semantic representation and constructional schemas. Firstly, it is argued that adopting FunGramKB’s notion of conceptual logical structure (CLS) over standard RRG logical structures (LSs) has numerous advantages since meaning has now access to conceptual knowledge and therefore a CLS provides a format that goes beyond those aspects that are syntactically visible. The second part introduces the notion of the grammaticon, the component where constructional schemas actually reside. RRG constructional schemas are analyzed within a conceptual framework like that provided in FunGramKB. In essence, it is shown that a conceptual orientation to the RRG linking system by the addition of CLSs enriches the semantic representations in it substantially
  • Van Geenhoven, V. (1998). On the Argument Structure of some Noun Incorporating Verbs in West Greenlandic. In M. Butt, & W. Geuder (Eds.), The Projection of Arguments - Lexical and Compositional Factors (pp. 225-263). Stanford, CA, USA: CSLI Publications.
  • Van Valin Jr., R. D. (1998). The acquisition of WH-questions and the mechanisms of language acquisition. In M. Tomasello (Ed.), The new psychology of language: Cognitive and functional approaches to language structure (pp. 221-249). Mahwah, New Jersey: Erlbaum.
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    Abstract

    Disorders of speech and language are highly heritable, providing strong
    support for a genetic basis. However, the underlying genetic architecture is complex,
    involving multiple risk factors. This chapter begins by discussing genetic loci associated
    with common multifactorial language-related impairments and goes on to
    detail the only gene (known as FOXP2) to be directly implicated in a rare monogenic
    speech and language disorder. Although FOXP2 was initially uncovered in
    humans, model systems have been invaluable in progressing our understanding of
    the function of this gene and its associated pathways in language-related areas of the
    brain. Research in species from mouse to songbird has revealed effects of this gene
    on relevant behaviours including acquisition of motor skills and learned vocalisations
    and demonstrated a role for Foxp2 in neuronal connectivity and signalling,
    particularly in the striatum. Animal models have also facilitated the identification of
    wider neurogenetic networks thought to be involved in language development and
    disorder and allowed the investigation of new candidate genes for disorders involving
    language, such as CNTNAP2 and FOXP1. Ongoing work in animal models promises
    to yield new insights into the genetic and neural mechanisms underlying human
    speech and language
  • Weber, A. (1998). Listening to nonnative language which violates native assimilation rules. In D. Duez (Ed.), Proceedings of the European Scientific Communication Association workshop: Sound patterns of Spontaneous Speech (pp. 101-104).

    Abstract

    Recent studies using phoneme detection tasks have shown that spoken-language processing is neither facilitated nor interfered with by optional assimilation, but is inhibited by violation of obligatory assimilation. Interpretation of these results depends on an assessment of their generality, specifically, whether they also obtain when listeners are processing nonnative language. Two separate experiments are presented in which native listeners of German and native listeners of Dutch had to detect a target fricative in legal monosyllabic Dutch nonwords. All of the nonwords were correct realisations in standard Dutch. For German listeners, however, half of the nonwords contained phoneme strings which violate the German fricative assimilation rule. Whereas the Dutch listeners showed no significant effects, German listeners detected the target fricative faster when the German fricative assimilation was violated than when no violation occurred. The results might suggest that violation of assimilation rules does not have to make processing more difficult per se.
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  • Wright, S. E., Windhouwer, M., Schuurman, I., & Kemps-Snijders, M. (2013). Community efforts around the ISOcat Data Category Registry. In I. Gurevych, & J. Kim (Eds.), The People's Web meets NLP: Collaboratively constructed language resources (pp. 349-374). New York: Springer.

    Abstract

    The ISOcat Data Category Registry provides a community computing environment for creating, storing, retrieving, harmonizing and standardizing data category specifications (DCs), used to register linguistic terms used in various fields. This chapter recounts the history of DC documentation in TC 37, beginning from paper-based lists created for lexicographers and terminologists and progressing to the development of a web-based resource for a much broader range of users. While describing the considerable strides that have been made to collect a very large comprehensive collection of DCs, it also outlines difficulties that have arisen in developing a fully operative web-based computing environment for achieving consensus on data category names, definitions, and selections and describes efforts to overcome some of the present shortcomings and to establish positive working procedures designed to engage a wide range of people involved in the creation of language resources.
  • Wright, S. E., Windhouwer, M., Schuurman, I., & Broeder, D. (2014). Segueing from a Data Category Registry to a Data Concept Registry. In Proceedings of the 11th International Conference on Terminology and Knowledge Engineering (TKE 2014).

    Abstract

    The terminology Community of Practice has long standardized data categories in the framework of ISO TC 37. ISO 12620:2009 specifies the data model and procedures for a Data Category Registry (DCR), which has been implemented by the Max Planck Institute for Psycholinguistics as the ISOcat DCR. The DCR has been used by not only ISO TC 37, but also by the CLARIN research infra-structure. This paper describes how the needs of these communities have started to diverge and the process of segueing from a DCR to a Data Concept Registry in order to meet the needs of both communities.
  • Yang, A., & Chen, A. (2014). Prosodic focus marking in child and adult Mandarin Chinese. In C. Gussenhoven, Y. Chen, & D. Dediu (Eds.), Proceedings of the 4th International Symposium on Tonal Aspects of Language (pp. 54-58).

    Abstract

    This study investigates how Mandarin Chinese speaking children and adults use prosody to mark focus in spontaneous speech. SVO sentences were elicited from 4- and 8-year-olds and adults in a game setting. Sentence-medial verbs were acoustically analysed for both duration and pitch range in different focus conditions. We have found that like the adults, the 8-year-olds used both duration and pitch range to distinguish focus from non-focus. The 4-year-olds used only duration to distinguish focus from non-focus, unlike the adults and 8-year-olds. None of the three groups of speakers distinguished contrastive focus from non-contrastive focus using pitch range or duration. Regarding the distinction between narrow focus from broad focus, the 4- and 8-year-olds used both pitch range and duration for this purpose, while the adults used only duration
  • Yang, A., & Chen, A. (2014). Prosodic focus-marking in Chinese four- and eight-year-olds. In N. Campbell, D. Gibbon, & D. Hirst (Eds.), Proceedings of Speech Prosody 2014 (pp. 713-717).

    Abstract

    This study investigates how Mandarin Chinese speaking children use prosody to distinguish focus from non-focus, and focus types differing in size of constituent and contrastivity. SVO sentences were elicited from four- and eight-year-olds in a game setting. Sentence-medial verbs were acoustically analysed for both duration and pitch range in different focus conditions. The children started to use duration to differentiate focus from non-focus at the age of four. But their use of pitch range varied with age and depended on non-focus conditions (pre- vs. postfocus) and the lexical tones of the verbs. Further, the children in both age groups used pitch range but not duration to differentiate narrow focus from broad focus, and they did not differentiate contrastive narrow focus from non-contrastive narrow focus using duration or pitch range. The results indicated that Chinese children acquire the prosodic means (duration and pitch range) of marking focus in stages, and their acquisition of these two means appear to be early, compared to children speaking an intonation language, for example, Dutch.
  • Zampieri, M., & Gebre, B. G. (2014). VarClass: An open-source language identification tool for language varieties. In N. Calzolari, K. Choukri, T. Declerck, H. Loftsson, B. Maegaard, J. Mariani, A. Moreno, J. Odijk, & S. Piperidis (Eds.), Proceedings of LREC 2014: 9th International Conference on Language Resources and Evaluation (pp. 3305-3308).

    Abstract

    This paper presents VarClass, an open-source tool for language identification available both to be downloaded as well as through a graphical user-friendly interface. The main difference of VarClass in comparison to other state-of-the-art language identification tools is its focus on language varieties. General purpose language identification tools do not take language varieties into account and our work aims to fill this gap. VarClass currently contains language models for over 27 languages in which 10 of them are language varieties. We report an average performance of over 90.5% accuracy in a challenging dataset. More language models will be included in the upcoming months

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