Publications

Displaying 201 - 300 of 336
  • Marti, M., Alhama, R. G., & Recasens, M. (2012). Los avances tecnológicos y la ciencia del lenguaje. In T. Jiménez Juliá, B. López Meirama, V. Vázquez Rozas, & A. Veiga (Eds.), Cum corde et in nova grammatica. Estudios ofrecidos a Guillermo Rojo (pp. 543-553). Santiago de Compostela: Universidade de Santiago de Compostela.

    Abstract

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

    Abstract

    Models are a flourishing and indispensable area of research in language evolution. Here we
    highlight critical issues in using and interpreting models, and suggest viable approaches. First,
    contrasting models can explain the same data and similar modelling techniques can lead to
    diverging conclusions. This should act as a reminder to use the extreme malleability of
    modelling parsimoniously when interpreting results. Second, quantitative techniques similar to
    those used in modelling language evolution have proven themselves inadequate in other
    disciplines. Cross-disciplinary fertilization is crucial to avoid mistakes which have previously
    occurred in other areas. Finally, experimental validation is necessary both to sharpen models'
    hypotheses, and to support their conclusions. Our belief is that models should be interpreted as
    quantitative demonstrations of logical possibilities, rather than as direct sources of evidence.
    Only an integration of theoretical principles, quantitative proofs and empirical validation can
    allow research in the evolution of language to progress.
  • Matic, D. (2014). Clues to information structure in field data. In D. El Zarka, & S. Heidinger (Eds.), Methodological Issues in the Study of Information Structure (pp. 25-42). Graz: Graz University Press.
  • Matic, D., & Nikolaeva, I. (2014). Focus feature percolation: Evidence from Tundra Nenets and Tundra Yukaghir. In S. Müller (Ed.), Proceedings of the 21st International Conference on Head-Driven Phrase Structure Grammar (HPSG 2014) (pp. 299-317). Stanford, CA: CSLI Publications.

    Abstract

    Two Siberian languages, Tundra Nenets and Tundra Yukaghir, do not obey strong island constraints in questioning: any sub-constituent of a relative or adverbial clause can be questioned. We argue that this has to do with how focusing works in these languages. The focused sub-constituent remains in situ, but there is abundant morphosyntactic evidence that the focus feature is passed up to the head of the clause. The result is the formation of a complex focus structure in which both the head and non head daughter are overtly marked as focus, and they are interpreted as a pairwise list such that the focus background is applicable to this list, but not to other alternative lists
  • Matić, D., Van Gijn, R., & Van Valin Jr., R. D. (2014). Information structure and reference tracking in complex sentences: An overview. In R. van Gijn, J. Hammond, D. Matić, S. van Putten, & A. Galucio (Eds.), Information structure and reference tracking in complex sentences. (pp. 1-42). Amsterdam: Benjamins.

    Abstract

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

    Abstract

    No island effects are observable in Tundra Yukaghir questions, which are possible in virtually all syntactic environments. It is argued that this feature of Tundra Yukaghir relates to its capability of explicitly marking focus domains. If a question word occurs in a syntactic island, the whole island is morphologically treated as a focus domain. In order to take scope and function as question markers, question words must remain within the focus domain, i.e. in the island clause. This syntactic configuration is reflected in the semantics of question islands, which are used to inquire about the identity of the whole island, not merely the denotation of the question word.
  • McDonough, L., Choi, S., Bowerman, M., & Mandler, J. M. (1998). The use of preferential looking as a measure of semantic development. In C. Rovee-Collier, L. P. Lipsitt, & H. Hayne (Eds.), Advances in Infancy Research. Volume 12. (pp. 336-354). Stamford, CT: Ablex Publishing.
  • McQueen, J. M., & Cutler, A. (1998). Morphology in word recognition. In A. M. Zwicky, & A. Spencer (Eds.), The handbook of morphology (pp. 406-427). Oxford: Blackwell.
  • McQueen, J. M., & Cutler, A. (1998). Spotting (different kinds of) words in (different kinds of) context. In R. Mannell, & J. Robert-Ribes (Eds.), Proceedings of the Fifth International Conference on Spoken Language Processing: Vol. 6 (pp. 2791-2794). Sydney: ICSLP.

    Abstract

    The results of a word-spotting experiment are presented in which Dutch listeners tried to spot different types of bisyllabic Dutch words embedded in different types of nonsense contexts. Embedded verbs were not reliably harder to spot than embedded nouns; this suggests that nouns and verbs are recognised via the same basic processes. Iambic words were no harder to spot than trochaic words, suggesting that trochaic words are not in principle easier to recognise than iambic words. Words were harder to spot in consonantal contexts (i.e., contexts which themselves could not be words) than in longer contexts which contained at least one vowel (i.e., contexts which, though not words, were possible words of Dutch). A control experiment showed that this difference was not due to acoustic differences between the words in each context. The results support the claim that spoken-word recognition is sensitive to the viability of sound sequences as possible words.
  • Merolla, D., & Ameka, F. K. (2012). Reflections on video fieldwork: The making of Verba Africana IV on the Ewe Hogbetsotso Festival. In D. Merolla, J. Jansen, & K. Nait-Zerrad (Eds.), Multimedia research and documentation of oral genres in Africa - The step forward (pp. 123-132). Münster: Lit.
  • Mickan, A., Schiefke, M., & Anatol, S. (2014). Key is a llave is a Schlüssel: A failure to replicate an experiment from Boroditsky et al. 2003. In M. Hilpert, & S. Flach (Eds.), Yearbook of the German Cognitive Linguistics Association (pp. 39-50). Berlin: Walter de Gruyter. doi:doi.org/10.1515/gcla-2014-0004.

    Abstract

    In this paper, we present two attempts to replicate a widely-cited but never fully published experiment in which German and Spanish speakers were asked to associate adjectives with nouns of masculine and feminine grammati-cal gender (Boroditsky et al. 2003). The researchers claim that speakers associ-ated more stereotypically female adjectives with grammatically feminine nouns and more stereotypically male adjectives with grammatically masculine nouns. We were not able to replicate the results either in a word association task or in an analogous primed lexical decision task. This suggests that the results of the original experiment were either an artifact of some non-documented aspect of the experimental procedure or a statistical fluke. The question whether speakers assign sex-based interpretations to grammatical gender categories at all cannot be answered definitively, as the results in the published literature vary consider-ably. However, our experiments show that if such an effect exists, it is not strong enough to be measured indirectly via the priming of adjectives by nouns.
  • Micklos, A. (2014). The nature of language in interaction. In E. Cartmill, S. Roberts, H. Lyn, & H. Cornish (Eds.), The Evolution of Language: Proceedings of the 10th International Conference.
  • Mizera, P., Pollak, P., Kolman, A., & Ernestus, M. (2014). Impact of irregular pronunciation on phonetic segmentation of Nijmegen corpus of Casual Czech. In P. Sojka, A. Horák, I. Kopecek, & K. Pala (Eds.), Text, Speech and Dialogue: 17th International Conference, TSD 2014, Brno, Czech Republic, September 8-12, 2014. Proceedings (pp. 499-506). Heidelberg: Springer.

    Abstract

    This paper describes the pilot study of phonetic segmentation applied to Nijmegen Corpus of Casual Czech (NCCCz). This corpus contains informal speech of strong spontaneous nature which influences the character of produced speech at various levels. This work is the part of wider research related to the analysis of pronunciation reduction in such informal speech. We present the analysis of the accuracy of phonetic segmentation when canonical or reduced pronunciation is used. The achieved accuracy of realized phonetic segmentation provides information about general accuracy of proper acoustic modelling which is supposed to be applied in spontaneous speech recognition. As a byproduct of presented spontaneous speech segmentation, this paper also describes the created lexicon with canonical pronunciations of words in NCCCz, a tool supporting pronunciation check of lexicon items, and finally also a minidatabase of selected utterances from NCCCz manually labelled on phonetic level suitable for evaluation purposes
  • Moulin, C. A., Souchay, C., Bradley, R., Buchanan, S., Karadöller, D. Z., & Akan, M. (2014). Déjà vu in older adults. In B. L. Schwartz, & A. S. Brown (Eds.), Tip-of-the-tongue states and related phenomena (pp. 281-304). Cambridge: Cambridge University Press.
  • Muysken, P., Hammarström, H., Birchall, J., Danielsen, S., Eriksen, L., Galucio, A. V., Van Gijn, R., Van de Kerke, S., Kolipakam, V., Krasnoukhova, O., Müller, N., & O'Connor, L. (2014). The languages of South America: Deep families, areal relationships, and language contact. In P. Muysken, & L. O'Connor (Eds.), Language contact in South America (pp. 299-323). Cambridge: Cambridge University Press.
  • Namjoshi, J., Tremblay, A., Broersma, M., Kim, S., & Cho, T. (2012). Influence of recent linguistic exposure on the segmentation of an unfamiliar language [Abstract]. Program abstracts from the 164th Meeting of the Acoustical Society of America published in the Journal of the Acoustical Society of America, 132(3), 1968.

    Abstract

    Studies have shown that listeners segmenting unfamiliar languages transfer native-language (L1) segmentation cues. These studies, however, conflated L1 and recent linguistic exposure. The present study investigates the relative influences of L1 and recent linguistic exposure on the use of prosodic cues for segmenting an artificial language (AL). Participants were L1-French listeners, high-proficiency L2-French L1-English listeners, and L1-English listeners without functional knowledge of French. The prosodic cue assessed was F0 rise, which is word-final in French, but in English tends to be word-initial. 30 participants heard a 20-minute AL speech stream with word-final boundaries marked by F0 rise, and decided in a subsequent listening task which of two words (without word-final F0 rise) had been heard in the speech stream. The analyses revealed a marginally significant effect of L1 (all listeners) and, importantly, a significant effect of recent linguistic exposure (L1-French and L2-French listeners): accuracy increased with decreasing time in the US since the listeners’ last significant (3+ months) stay in a French-speaking environment. Interestingly, no effect of L2 proficiency was found (L2-French listeners).
  • Narasimhan, B., Kopecka, A., Bowerman, M., Gullberg, M., & Majid, A. (2012). Putting and taking events: A crosslinguistic perspective. In A. Kopecka, & B. Narasimhan (Eds.), Events of putting and taking: A crosslinguistic perspective (pp. 1-18). Amsterdam: Benjamins.
  • Narasimhan, B. (2012). Putting and Taking in Tamil and Hindi. In A. Kopecka, & B. Narasimhan (Eds.), Events of putting and taking: A crosslinguistic perspective (pp. 201-230). Amsterdam: Benjamins.

    Abstract

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

    Abstract

    The human language processor is conceived as a system that consists of several interrelated subsystems. Each subsystem performs a specific task in the complex process of language comprehension and production. A subsystem receives a particular input, performs certain specific operations on this input and yields a particular output. The subsystems can be characterized in terms of the transformations that relate the input representations to the output representations. An important issue in describing the language processing system is to identify the subsystems and to specify the relations between the subsystems. These relations can be conceived in two different ways. In one conception the subsystems are autonomous. They are related to each other only by the input-output channels. The operations in one subsystem are not affected by another system. The subsystems are modular, that is they are independent. In the other conception, the different subsystems influence each other. A subsystem affects the processes in another subsystem. In this conception there is an interaction between the subsystems.
  • Nordhoff, S., & Hammarström, H. (2014). Archiving grammatical descriptions. In P. K. Austin (Ed.), Language Documentation and Description. Vol. 12 (pp. 164-186). London: SOAS.
  • Nordhoff, S., & Hammarström, H. (2012). Glottolog/Langdoc: Increasing the visibility of grey literature for low-density languages. In N. Calzolari (Ed.), Proceedings of the 8th International Conference on Language Resources and Evaluation [LREC 2012], May 23-25, 2012 (pp. 3289-3294). [Paris]: ELRA.

    Abstract

    Language resources can be divided into structural resources treating phonology, morphosyntax, semantics etc. and resources treating the social, demographic, ethnic, political context. A third type are meta-resources, like bibliographies, which provide access to the resources of the first two kinds. This poster will present the Glottolog/Langdoc project, a comprehensive bibliography providing web access to 180k bibliographical records to (mainly) low visibility resources from low-density languages. The resources are annotated for macro-area, content language, and document type and are available in XHTML and RDF.
  • Nouaouri, N. (2012). The semantics of placement and removal predicates in Moroccan Arabic. In A. Kopecka, & B. Narasimhan (Eds.), Events of putting and taking: A crosslinguistic perspective (pp. 99-122). Amsterdam: Benjamins.

    Abstract

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

    Abstract

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

    Abstract

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

    Abstract

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

    Abstract

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

    Abstract

    In Kalasha, an Indo-Aryan language spoken in Northwest Pakistan, the linguistic encoding of ‘put’ and ‘take’ events reveals a symmetry between lexical ‘put’ and ‘take’ verbs that implies ‘placement on’ and ‘removal from’ a supporting surface. As regards ‘placement in’ and ‘removal from’ an enclosure, the data reveal a lexical asymmetry as ‘take’ verbs display a larger degree of linguistic elaboration of the Figure-Ground relation and the type of caused motion than ‘put’ verbs. When considering syntactic patterns, more instances of asymmetry between these two event types show up. The analysis presented here supports the proposal that an asymmetry exists in the encoding of goals versus sources as suggested in Nam (2004) and Ikegami (1987), but it calls into question the statement put forward by Regier and Zheng (2007) that endpoints (goals) are more finely differentiated semantically than starting points (sources).
  • Poellmann, K., McQueen, J. M., & Mitterer, H. (2012). How talker-adaptation helps listeners recognize reduced word-forms [Abstract]. Program abstracts from the 164th Meeting of the Acoustical Society of America published in the Journal of the Acoustical Society of America, 132(3), 2053.

    Abstract

    Two eye-tracking experiments tested whether native listeners can adapt
    to reductions in casual Dutch speech. Listeners were exposed to segmental
    ([b] > [m]), syllabic (full-vowel-deletion), or no reductions. In a subsequent
    test phase, all three listener groups were tested on how efficiently they could
    recognize both types of reduced words. In the first Experiment’s exposure
    phase, the (un)reduced target words were predictable. The segmental reductions
    were completely consistent (i.e., involved the same input sequences).
    Learning about them was found to be pattern-specific and generalized in the
    test phase to new reduced /b/-words. The syllabic reductions were not consistent
    (i.e., involved variable input sequences). Learning about them was
    weak and not pattern-specific. Experiment 2 examined effects of word repetition
    and predictability. The (un-)reduced test words appeared in the exposure
    phase and were not predictable. There was no evidence of learning for
    the segmental reductions, probably because they were not predictable during
    exposure. But there was word-specific learning for the vowel-deleted words.
    The results suggest that learning about reductions is pattern-specific and
    generalizes to new words if the input is consistent and predictable. With
    variable input, there is more likely to be adaptation to a general speaking
    style and word-specific learning.
  • Puccini, D., Hassemer, M., Salomo, D., & Liszkowski, U. (2012). The type of shared activity shapes caregiver and infant communication [Reprint]. In J.-M. Colletta, & M. Guidetti (Eds.), Gesture and multimodal development (pp. 157-174). Amsterdam: John Benjamins.

    Abstract

    For the beginning language learner, communicative input is not based on linguistic codes alone. This study investigated two extralinguistic factors which are important for infants’ language development: the type of ongoing shared activity and non-verbal, deictic gestures. The natural interactions of 39 caregivers and their 12-month-old infants were recorded in two semi-natural contexts: a free play situation based on action and manipulation of objects, and a situation based on regard of objects, broadly analogous to an exhibit. Results show that the type of shared activity structures both caregivers’ language usage and caregivers’ and infants’ gesture usage. Further, there is a specific pattern with regard to how caregivers integrate speech with particular deictic gesture types. The findings demonstrate a pervasive influence of shared activities on human communication, even before language has emerged. The type of shared activity and caregivers’ systematic integration of specific forms of deictic gestures with language provide infants with a multimodal scaffold for a usage-based acquisition of language.
  • Rakoczy, H., & Haun, D. B. M. (2012). Vor- und nichtsprachliche Kognition. In W. Schneider, & U. Lindenberger (Eds.), Entwicklungspsychologie. 7. vollständig überarbeitete Auflage (pp. 337-362). Weinheim: Beltz Verlag.
  • Rapold, C. J. (2012). The encoding of placement and removal events in ǂAkhoe Haiǁom. In A. Kopecka, & B. Narasimhan (Eds.), Events of putting and taking: A crosslinguistic perspective (pp. 79-98). Amsterdam: Benjamins.

    Abstract

    This paper explores the semantics of placement and removal verbs in Ākhoe Hai om based on event descriptions elicited with a set of video stimuli. After a brief sketch of the morphosyntax of placement/removal constructions in Ākhoe Haiom, four situation types are identified semantically that cover both placement and removal events. The language exhibits a clear tendency to make more fine-grained semantic distinctions in placement verbs, as opposed to semantically more general removal verbs.
  • Ravignani, A., & Fitch, W. T. (2012). Sonification of experimental parameters as a new method for efficient coding of behavior. In A. Spink, F. Grieco, O. E. Krips, L. W. S. Loijens, L. P. P. J. Noldus, & P. H. Zimmerman (Eds.), Measuring Behavior 2012, 8th International Conference on Methods and Techniques in Behavioral Research (pp. 376-379).

    Abstract

    Cognitive research is often focused on experimental condition-driven reactions. Ethological studies frequently
    rely on the observation of naturally occurring specific behaviors. In both cases, subjects are filmed during the
    study, so that afterwards behaviors can be coded on video. Coding should typically be blind to experimental
    conditions, but often requires more information than that present on video. We introduce a method for blindcoding
    of behavioral videos that takes care of both issues via three main innovations. First, of particular
    significance for playback studies, it allows creation of a “soundtrack” of the study, that is, a track composed of
    synthesized sounds representing different aspects of the experimental conditions, or other events, over time.
    Second, it facilitates coding behavior using this audio track, together with the possibly muted original video.
    This enables coding blindly to conditions as required, but not ignoring other relevant events. Third, our method
    makes use of freely available, multi-platform software, including scripts we developed.
  • 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, 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. (2012). Sentence and discourse processing in second language comprehension. In C. A. Chapelle (Ed.), Encyclopedia of Applied Linguistics. Chicester: Wiley-Blackwell. doi:10.1002/9781405198431.wbeal1063.

    Abstract

    n applied linguistics (AL), researchers have always been concerned with second language (L2) learners' knowledge of the target language (TL), investigating the development of TL grammar, vocabulary, and phonology, for instance.
  • 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.
  • Rossi, G. (2014). When do people not use language to make requests? In P. Drew, & E. Couper-Kuhlen (Eds.), Requesting in social interaction (pp. 301-332). Amsterdam: John Benjamins.

    Abstract

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

    Abstract

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

    Abstract

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

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  • Scharenborg, O., Witteman, M. J., & Weber, A. (2012). Computational modelling of the recognition of foreign-accented speech. In Proceedings of INTERSPEECH 2012: 13th Annual Conference of the International Speech Communication Association (pp. 882 -885).

    Abstract

    In foreign-accented speech, pronunciation typically deviates from the canonical form to some degree. For native listeners, it has been shown that word recognition is more difficult for strongly-accented words than for less strongly-accented words. Furthermore recognition of strongly-accented words becomes easier with additional exposure to the foreign accent. In this paper, listeners’ behaviour was simulated with Fine-tracker, a computational model of word recognition that uses real speech as input. The simulations showed that, in line with human listeners, 1) Fine-Tracker’s recognition outcome is modulated by the degree of accentedness and 2) it improves slightly after brief exposure with the accent. On the level of individual words, however, Fine-tracker failed to correctly simulate listeners’ behaviour, possibly due to differences in overall familiarity with the chosen accent (German-accented Dutch) between human listeners and Fine-Tracker.
  • Scharenborg, O., & Janse, E. (2012). Hearing loss and the use of acoustic cues in phonetic categorisation of fricatives. In Proceedings of INTERSPEECH 2012: 13th Annual Conference of the International Speech Communication Association (pp. 1458-1461).

    Abstract

    Aging often affects sensitivity to the higher frequencies, which results in the loss of sensitivity to phonetic detail in speech. Hearing loss may therefore interfere with the categorisation of two consonants that have most information to differentiate between them in those higher frequencies and less in the lower frequencies, e.g., /f/ and /s/. We investigate two acoustic cues, i.e., formant transitions and fricative intensity, that older listeners might use to differentiate between /f/ and /s/. The results of two phonetic categorisation tasks on 38 older listeners (aged 60+) with varying degrees of hearing loss indicate that older listeners seem to use formant transitions as a cue to distinguish /s/ from /f/. Moreover, this ability is not impacted by hearing loss. On the other hand, listeners with increased hearing loss seem to rely more on intensity for fricative identification. Thus, progressive hearing loss may lead to gradual changes in perceptual cue weighting.
  • Scharenborg, O., Janse, E., & Weber, A. (2012). Perceptual learning of /f/-/s/ by older listeners. In Proceedings of INTERSPEECH 2012: 13th Annual Conference of the International Speech Communication Association (pp. 398-401).

    Abstract

    Young listeners can quickly modify their interpretation of a speech sound when a talker produces the sound ambiguously. Young Dutch listeners rely mainly on the higher frequencies to distinguish between /f/ and /s/, but these higher frequencies are particularly vulnerable to age-related hearing loss. We therefore tested whether older Dutch listeners can show perceptual retuning given an ambiguous pronunciation in between /f/ and /s/. Results of a lexically-guided perceptual learning experiment showed that older Dutch listeners are still able to learn non-standard pronunciations of /f/ and /s/. Possibly, the older listeners have learned to rely on other acoustic cues, such as formant transitions, to distinguish between /f/ and /s/. However, the size and duration of the perceptual effect is influenced by hearing loss, with listeners with poorer hearing showing a smaller and a shorter-lived learning effect.
  • Schimke, S., Verhagen, J., & Turco, G. (2012). The different role of additive and negative particles in the development of finiteness in early adult L2 German and L2 Dutch. In M. Watorek, S. Benazzo, & M. Hickmann (Eds.), Comparative perspectives on language acquisition: A tribute to Clive Perdue (pp. 73-91). Bristol: Multilingual Matters.
  • 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.
  • Senft, G. (2012). Das Erlernen von Fremdsprachen als Voraussetzung für erfolgreiche Feldforschung. In J. Kruse, S. Bethmann, D. Niermann, & C. Schmieder (Eds.), Qualitative Interviewforschung in und mit fremden Sprachen: Eine Einführung in Theorie und Praxis (pp. 121-135). Weinheim: Beltz Juventa.
  • Senft, G. (1998). 'Noble Savages' and the 'Islands of Love': Trobriand Islanders in 'Popular Publications'. In J. Wassmann (Ed.), Pacific answers to Western hegemony: Cultural practices of identity construction (pp. 119-140). Oxford: Berg Publishers.
  • Senft, G. (2012). 67 Wörter + 1 Foto für Roland Posner. In E. Fricke, & M. Voss (Eds.), 68 Zeichen für Roland Posner - Ein semiotisches Mosaik / 68 signs for Roland Posner - A semiotic mosaic (pp. 473-474). Tübingen: Stauffenberg Verlag.
  • Senft, G. (2012). Ethnolinguistik. In B. Beer, & H. Fischer (Eds.), Ethnologie - Einführung und Überblick. 7. überarbeitete und erweiterte Auflage (pp. 271-286). Berlin: Reimer.
  • Senft, G. (2012). Referring to colour and taste in Kilivila: Stability and change in two lexical domains of sensual perception. In A. C. Schalley (Ed.), Practical theories and empirical practice (pp. 71-98). Amsterdam: John Benjamins.

    Abstract

    This chapter first compares data collected on Kilivila colour terms in 1983 with data collected in 2008. The Kilivila lexicon has changed from a typical stage IIIb into a stage VII colour term lexicon (Berlin and Kay 1969). The chapter then compares data on the Kilivila taste vocabulary collected in 1982/83 with data collected in 2008. No substantial change was found. Finally the chapter compares the 2008 results on taste terms with a paper on the taste vocabulary of the Torres Strait Islanders published in 1904 by Charles S. Myers. Kilivila provides evidence that traditional terms used for talking about colour and terms used to refer to tastes have remained relatively stable over time.
  • Senft, G. (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.
  • Seuren, P. A. M. (1974). Autonomous versus semantic syntax. In P. A. M. Seuren (Ed.), Semantic syntax (pp. 96-122). Oxford: Oxford University Press.
  • Seuren, P. A. M. (2012). Does a leaking O-corner save the square? In J.-Y. Béziau, & D. Jacquette (Eds.), Around and beyond the square of opposition (pp. 129-138). Basel: Springer.

    Abstract

    It has been known at least since Abelard (12th century) that the classic Square of Opposition suffers from so-called undue existential import (UEI) in that this system of predicate logic collapses when the class denoted by the restrictor predicate is empty. It is usually thought that this mistake was made by Aristotle himself, but it has now become clear that this is not so: Aristotle did not have the Conversions but only one-way entailments, which ‘saves’ the Square. The error of UEI was introduced by his later commentators, especially Apuleius and Boethius. Abelard restored Aristotle’s original logic. After Abelard, some 14th- and 15th-century philosophers (mainly Buridan and Ockham) meant to save the Square by declaring the O-corner true when the restrictor class is empty. This ‘leaking O-corner analysis’, or LOCA, was taken up again around 1950 by some American philosopher-logicians, who now have a fairly large following. LOCA does indeed save the Square from logical disaster, but modern analysis shows that this makes it impossible to give a uniform semantic definition of the quantifiers, which thus become ambiguous—an intolerable state of affairs in logic. Klima (Ars Artium, Essays in Philosophical Semantics, Medieval and Modern, Institute of Philosophy, Hungarian Academy of Sciences, Budapest, 1988) and Parsons (in Zalta (ed.), The Stanford Encyclopedia of Philosophy, http://plato.standford.edu/entries/square/, 2006; Logica Univers. 2:3–11, 2008) have tried to circumvent this problem by introducing a ‘zero’ element into the ontology, standing for non-existing entities and yielding falsity when used for variable substitution. LOCA, both without and with the zero element, is critically discussed and rejected on internal logical and external ontological grounds.
  • Seuren, P. A. M. (1974). Introduction. In P. A. M. Seuren (Ed.), Semantic syntax (pp. 1-28). Oxford: Oxford University Press.
  • Seuren, P. A. M. (1974). Negative's travels. In P. A. M. Seuren (Ed.), Semantic syntax (pp. 183-208). Oxford: Oxford University Press.
  • Seuren, P. A. M. (1974). Pronomi clitici in italiano. In M. Medici, & A. Sangregorio (Eds.), Fenomeni morfologici e sintattici nell'Italiano contemporaneo (pp. 309-327). Roma: Bulzoni.
  • 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. (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.
  • 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.
  • Sjerps, M. J., McQueen, J. M., & Mitterer, H. (2012). Extrinsic normalization for vocal tracts depends on the signal, not on attention. In Proceedings of INTERSPEECH 2012: 13th Annual Conference of the International Speech Communication Association (pp. 394-397).

    Abstract

    When perceiving vowels, listeners adjust to speaker-specific vocal-tract characteristics (such as F1) through "extrinsic vowel normalization". This effect is observed as a shift in the location of categorization boundaries of vowel continua. Similar effects have been found with non-speech. Non-speech materials, however, have consistently led to smaller effect-sizes, perhaps because of a lack of attention to non-speech. The present study investigated this possibility. Non-speech materials that had previously been shown to elicit reduced normalization effects were tested again, with the addition of an attention manipulation. The results show that increased attention does not lead to increased normalization effects, suggesting that vowel normalization is mainly determined by bottom-up signal characteristics.
  • Sloetjes, H., & Somasundaram, A. (2012). ELAN development, keeping pace with communities' needs. In N. Calzolari (Ed.), Proceedings of LREC 2012: 8th International Conference on Language Resources and Evaluation (pp. 219-223). European Language Resources Association (ELRA).

    Abstract

    ELAN is a versatile multimedia annotation tool that is being developed at the Max Planck Institute for Psycholinguistics. About a decade ago it emerged out of a number of corpus tools and utilities and it has been extended ever since. This paper focuses on the efforts made to ensure that the application keeps up with the growing needs of that era in linguistics and multimodality research; growing needs in terms of length and resolution of recordings, the number of recordings made and transcribed and the number of levels of annotation per transcription.
  • 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.
  • 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).
  • 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.
  • Stehouwer, H., Durco, M., Auer, E., & Broeder, D. (2012). Federated search: Towards a common search infrastructure. In N. Calzolari (Ed.), Proceedings of LREC 2012: 8th International Conference on Language Resources and Evaluation (pp. 3255-3259). European Language Resources Association (ELRA).

    Abstract

    Within scientific institutes there exist many language resources. These resources are often quite specialized and relatively unknown. The current infrastructural initiatives try to tackle this issue by collecting metadata about the resources and establishing centers with stable repositories to ensure the availability of the resources. It would be beneficial if the researcher could, by means of a simple query, determine which resources and which centers contain information useful to his or her research, or even work on a set of distributed resources as a virtual corpus. In this article we propose an architecture for a distributed search environment allowing researchers to perform searches in a set of distributed language resources.
  • Stivers, T., & Rossano, F. (2012). Mobilizing response in interaction: A compositional view of questions. In J. P. De Ruiter (Ed.), Questions: Formal, functional and interactional perspectives (pp. 58-80). New York: Cambridge University Press.
  • Stivers, T. (2012). Language socialization in children’s medical encounters. In A. Duranti, E. Ochs, & B. Schieffelin (Eds.), The handbook of language socialization (pp. 247-268). Malden, MA: Wiley-Blackwell.

    Abstract

    Research on child language socialization has its roots in understanding the ways that adults and other caregivers interact with children in mundane social life and how these practices might enculturate the child into local communicative norms and ways of thinking ( Brown 1998 ; Clancy 1999 ; Danziger 1971 ; de León 1998 ; Garrett and Baquedano-López 2002 ; Heath 1983 ; Ochs and Schieffelin 1983, 1984 ). A second primary area of interest has been the effect of different socialization practices on more formal educational settings ( Heath 1983 ; Howard 2004 ; Michaels 1981 ; Moore 2006 , this volume; Philips 1983 ; Rogoff et al. 2003 ). However, as discussed in other contributions to this volume, language socialization extends into many other facets of life. Just as being a member of a cultural group or being a student requires socialization into the associated rights and obligations, so too does the role of medical patient or client. For instance, patients must understand how to explain their problems ( Halkowski 2006 ; Heritage and Robinson 2006 ); what information they should know about their bodies, their treatment, their life, and their medical history; and where to look during examinations ( Heath 1986 ), to name but a few of the norm-governed aspects of medical interaction. Physicians play an important role in a child's socialization into the patient role by providing
  • 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. (2012). Development of locative expressions by Turkish deaf and hearing children: Are there modality effects? In A. K. Biller, E. Y. Chung, & A. E. Kimball (Eds.), Proceedings of the 36th Annual Boston University Conference on Language Development (BUCLD 36) (pp. 568-580). Boston: Cascadilla Press.
  • 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).
  • 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., & Scharenborg, O. (2012). Modeling cue trading in human word recognition. In Proceedings of INTERSPEECH 2012: 13th Annual Conference of the International Speech Communication Association (pp. 2003-2006).

    Abstract

    Classical phonetic studies have shown that acoustic-articulatory cues can be interchanged without affecting the resulting phoneme percept (‘cue trading’). Cue trading has so far mainly been investigated in the context of phoneme identification. In this study, we investigate cue trading in word recognition, because words are the units of speech through which we communicate. This paper aims to provide a method to quantify cue trading effects by using a computational model of human word recognition. This model takes the acoustic signal as input and represents speech using articulatory feature streams. Importantly, it allows cue trading and underspecification. Its set-up is inspired by the functionality of Fine-Tracker, a recent computational model of human word recognition. This approach makes it possible, for the first time, to quantify cue trading in terms of a trade-off between features and to investigate cue trading in the context of a word recognition 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
  • Turco, G., & Gubian, M. (2012). L1 Prosodic transfer and priming effects: A quantitative study on semi-spontaneous dialogues. In Q. Ma, H. Ding, & D. Hirst (Eds.), Proceedings of the 6th International Conference on Speech Prosody (pp. 386-389). International Speech Communication Association (ISCA).

    Abstract

    This paper represents a pilot investigation of primed accentuation patterns produced by advanced Dutch speakers of Italian as a second language (L2). Contrastive accent patterns within prepositional phrases were elicited in a semispontaneous dialogue entertained with a confederate native speaker of Italian. The aim of the analysis was to compare learner’s contrastive accentual configurations induced by the confederate speaker’s prime against those produced by Italian and Dutch natives in the same testing conditions. F0 and speech rate data were analysed by applying powerful datadriven techniques available in the Functional Data Analysis statistical framework. Results reveal different accentual configurations in L1 and L2 Italian in response to the confederate’s prime. We conclude that learner’s accentual patterns mirror those ones produced by their L1 control group (prosodic-transfer hypothesis) although the hypothesis of a transient priming effect on learners’ choice of contrastive patterns cannot be completely ruled out.
  • 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 Valin Jr., R. D., & Guerrero, L. (2012). De sujetos, pivotes y controladores: El argumento sintácticamente privilegiado. In R. Marial, L. Guerrero, & C. González Vergara (Eds.), El funcionalismo en la teoría lingüística: La gramática del papel y la referencia (pp. 247-267). Madrid: Akal.

    Abstract

    Translated and expanded version of 'Privileged syntactic arguments, pivots and controllers
  • 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 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., & 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

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