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This paper presents epistemological and methodological problems found in work on the subgrouping of Sino-Tibetan languages and the reconstruction of features of the languages. A key problem is the lack of an accepted standard for judging this work, one that can stand up to statistical evaluation. An alternative methodology that involves using fixed sets of features to give us the statistical probability of common origin is suggested.
This paper offers an extensive analysis of the reflexes of the Proto-Indo-European word-initial cluster *sk- in Proto-Slavic. It is argued that the regular reflex of this cluster is the Proto-Slavic *x-, but that *sk- was analogously re-introduced in a great number of cases under the influence of prefixed forms and cases where forms with and without the so-called "s-mobile" co-existed in Slavic. This conclusion is in accordance with the fact that *x- < *sk- is far more common in derivationally isolated words that do not occur with prefixes.
This paper presents the analyses of transitivity and questions about transitivity in two languages (Rawang and Qiang) that have been described using very different definitions of transitivity, with a view to showing that each language must be analysed on its own terms, and so the criteria used for identifying transitivity, if it is to be identified at all, might be different between languages. In the case of these two languages it is at least partly due to the two languages differing in terms of the degree of systematicity of the marking, with the Rawang marking being more systematic.
On transitivity
(2011)
This paper critically discusses and contrasts some of the different conceptualisations of transitivity that have been presented in the literature, and argues that transitivity as a morphosyntactic phenomenon and effectiveness of an event as a semantic concept should be separated in discussions of transitivity, and also, like many other aspects of grammar, transitivity should be seen as a constructional phenomenon, and so each construction in a language needs to be examined separately, in natural contexts. An Appendix presents some general questions one can consider when analysing language data.
The present study, based on a typological survey of ca. 70 languages, offers a systematization of consonantal insertions by classifying them into three main types: grammatical, phonetic, and prosodic insertions. The three epenthesis types essentially differ from each other in terms of preferred sounds, domains of application, the role of segmental context, their occurrence cross-linguistically, the extent of variation and phonetic explication.
The present investigation is significantly different from other analyses of consonantal epentheses in the sense that it neither invokes markedness nor diachronic state of the processes under discussion. Instead, it considers the different nature of the epenthetic segments by referring to the representational levels and/or domains which are relevant for their appearance.
Language contact has become a major focus of inquiry in historical and typological linguistics in the last twenty years, spurred in a large part by the publication of Thomason & Kaufman (1988), which tried to make sense of a large amount of language contact data. They argued that there was a direct relationship between the degree or intensity of language contact and the amount and type of influence the contact would have on one or more of the languages involved. Essentially, the greater the degree of bilingualism, the greater the degree of contact influence (see also Thomason 2001); if the contact and bilingualism was minimal, then there might just be a few loanwords adapted to the borrowing language's phonology and grammatical system, but if the contact and bilingualism was of a greater degree there would be influence in the grammar and phonology of the affected language. As more linguists came to take language contact more seriously, they came to realize how common language contact phenomena are.
In this paper it is argued that several typologically unrelated languages share the tendency to avoid voiced sibilant affricates. This tendency is explained by appealing to the phonetic properties of the sounds, and in particular to their aerodynamic characteristics. On the basis of experimental evidence it is shown that conflicting air pressure requirements for maintaining voicing and frication are responsible for the avoidance of voiced affricates. In particular, the air pressure released from the stop phase of the affricate is too high to maintain voicing which in consequence leads to a devoicing of the frication part.
This paper is more about presenting phenomena and questions related to the concept of transitivity in Tibeto-Burman languages that I hope will stimulate discussion, rather than presenting strong conclusions. Sections 2 and 3 present alternative analyses of transitivity and questions about transitivity in two Tibeto-Burman languages I have worked on. In Section 4 I discuss some general issues about transitivity.
In his magnificent book on the language relations across Bering Strait (1998), Michael Fortescue does not consider Nivkh (Gilyak) to be a Uralo-Siberian language. Elsewhere I have argued that the Indo-European verbal system can be understood in terms of its Indo-Uralic origins (2001). All of these languages belong to Joseph Greenberg’s Eurasiatic macro-family (2000). In the following I intend to reconsider the grammatical evidence for including Nivkh into the Uralo-Siberian language family. The Indo-Uralic evidence is of particular importance because it guarantees a time depth which cannot otherwise be attained.
Evidentiality is a grammatical category which has source of information as its primary meaning — whether the narrator actually saw what is being described, or made inferences about it based on some evidence, or was told about it, and so on. Evidentials are a particularly salient feature of Tibeto-Burman languages. This volume features in-depth studies of evidentiality systems in six languages: Rgyalthang, a Kham Tibetan dialect, by Krisadawan Hongladarom; Yongning Na (Naxi group; believed to be closely related to Lolo-Burmese), by Liberty Lidz; Darma (Almora branch of Western Himalayish), by Christina Willis; nDrapa (Qiangic), by Satoko Shirai; Magar (Himalayish), by Karen Grunow-Hårsta, and Tabo (or Spiti), a Tibetan dialect, by Veronika Hein. Each opens new perspectives on the composition and the semantics of evidential systems, on the marking of more than one information source in one sentence, and on the grammaticalized expression of mirativity.
The new insights on evidentiality and related issues from the Tibeto-Burman area are crucial for understanding evidentials in a cross-linguistic perspective.
In the area of the Modern Greek verb, phenomena which consistently appear are headmarking, many potential slots before and/or after the verb root, noun and adverb incorporation, addition of adverbial elements by means of affixes, a large inventory of bound morphemes, verbal words as minimal sentences, etc. These features relate Modern Greek to polysynthesis. The main bulk of this paper is dedicated to the comparison of affixal and incorporation patterns between Modern Greek and the polysynthetic languages Abkhaz, Cayuga, Chukchi, Mohawk, and Nahuatl. Ultimately, a typological outlook for Modern Greek is proposed.
In this paper I argue that the syntax of Eastern Bantu does not make reference to the notion 'syntactic object'. That is, there is no linguistic category of objects that is the target of syntactic rules in Eastern Bantu languages. Instead I propose that syntactic rules broadly distinguish complements and adjuncts as well as category type of complement or adjunct. I argue that Bantu languages are typologically special in that (a) the verb complement structure can be expanded by the valency increasing applicative suffix; and (b) that the class of adjuncts can be expanded through verb concord licensing. Because of these properties, Bantu languages have a much-expanded notion of 'complement' and 'adjunct'. Namely, complements consist of (a) inherent complements (subcategorised by the lexical verb), and (b) derived complements (licensed by the applicative suffix). Adjuncts consist of (a) non-subcategorised modifying constituents in the usual sense and (b) phrases that are licensed by verb concord (i.e. Topics in Bresnan and Mchombo (1987)). I propose that most the differences in the licensing of objects in Bantu are due to two causes: (a) the unusual split in the composition of complements and adjuncts and (b) a set of typological parameter settings.
Sino-Tibetan languages
(2006)
The Sino-Tibetan (ST) language family includes the Sinitic languages (what for political reasons are known as Chinese ‘dialects’) and the 200 to 300 Tibeto-Burman (TB) languages. Geographically it stretches from Northeast India, Burma, Bangladesh, and northern Thailand in the southeast, throughout the Tibetan plateau to the north, across most of China and up to the Korean border in the northeast, and down to Taiwan and Hainan Island in the southeast. The family has come to be the way it is because of multiple migrations, often into areas where other languages were spoken (LaPolla, 2001).
Languages cross-linguistically differ with respect to whether they accept or ban True Negative Imperatives (TNIs). In this paper I show that this ban follows from three generally accepted assumptions: (i) the fact that the operator that encodes the illocutionary force of an imperative universally takes scope from C°; (ii) the fact that this operator may not be operated on by a negative operator and (iii) the Head Movement Constraint (an instance of Relativized Minimality). In my paper I argue that languages differ too with respect to both the syntactic status (head/phrasal) and the semantic value (negative/non-negative) of their negative markers. Given these difference across languages and the analysis of TNIs based on the three above mentioned assumptions, two typological generalisations can be predicted: (i) every language with an overt negative marker X° that is semantically negative bans TNIs; and (ii) every language that bans TNIs exhibits an overt negative marker X°. I demonstrate in my paper that both typological predictions are born out.
This study investigates supralaryngeal mechanisms of the two way voicing contrast among German velar stops and the three way contrast among Korean velar stops, both in intervocalic position. Articulatory data won via electromagnetic articulography of three Korean speakers and acoustic recordings of three Korean and three German speakers are analysed. It was found that in both languages the voicing contrast is created by more than one mechanism. However, one can say that for Korean velar stops in intervocalic position stop closure duration is the most important parameter. For German it is closure voicing. The results support the phonological description proposed by Kohler (1984).
[W]hy are not all Malagasy adverbs postverbal with reverse Cinque order? The predicate raising mechanism […] operates around heads, and this leads Rackowski & Travis (2000: 122) to suggest that preverbal adverbs are not heads, but are phrasal, and are located in the Specifier positions themselves. The crucial consequence of this is that the specifier position is blocked, thus effectively preventing further predicate raising. Given that the entire analysis crucially rests on the assumption that certain elements are heads and others are phrases, it would be an advantage if some independent evidence for the X I XP status of the elements could be unearthed. Unfortunately, such evidence is hard to come by in Malagasy. However, other Austronesian languages with similar word order patterns do display rather robust evidence for the head status of certain elements. One such language in the Formosan language Seediq.
In this paper, we investigate two pairs of structures in German and English: German Weak Pronoun Left Dislocation and English Topicalization, on the one hand, and German and English Hanging Topic Left Dislocation, on the other. We review the prosodic, lexical, syntactic, and discourse evidence that places the former two structures into one class and the latter two into another, taking this evidence to show that dislocates in the former class are syntactically integrated into their 'host' sentences while those in the latter class are not. From there, we show that the most straightforward way to account for this difference in 'integration' is to take the dislocates in the latter structures to be 'orphans', phrases that are syntactically independent of the phrases with which they are associated, providing additional empirical and theoretical support for this analysis — which, we point out, has a number of antecedents in the literature.
The goal of this paper is to survey the accent systems of the indigenous languages of Africa. Although roughly one third of the world’s languages are spoken in Africa, this continent has tended to be underrepresented in earlier stress and accent typology surveys, like Hyman (1977). This one aims to fill that gap. Two main contributions to the typology of accent are made by this study of African languages. First, it confirms Hyman's (1977) earlier finding that (stem-)initial and penult are the most common positions, cross-linguistically, to be assigned main stress. Further, it shows that not only stress but also tone and segment distribution can define prominence asymmetries which are best analyzed in terms of accent.
This article examines the motivation for phonological stop assibilations, e.g. /t/ is realized as [ts], [s] or [tʃ] before /i/, from the phonetic perspective. Hall & Hamann (2003) posit the following two implications: (a) Assibilation cannot be triggered by /i/ unless it is also triggered by /j/, and (b) Voiced stops cannot undergo assibilations unless voiceless ones do. In the following study we present the results of three acoustic experiments with native speakers of German and Polish which support implications (a) and (b). In our experiments we measured the friction phase after the /t d/ release before the onset of the following high front vocoid for four speakers of German and Polish. We found that the friction phase for /tj/ was significantly longer than that of /ti/, and that the friction phase of /t/ in the assibilation context is significantly longer than that of /d/.
The current study focuses on the prosodic realization of negators in Saisiyat, an endangered aboriginal language of Taiwan, and compares its prosodic realization of negation with that of English. The results of this study indicate that sentential subjects are the most acoustically prominent items in the Saisiyat negative sentences measured. This contrasts sharply with the English experimental sentences, in which the negator itself was the most acoustically prominent item. These findings suggest that Saisiyat is a pitch-accent language; thus, the presence of negators does not significantly change the prosodic parameters of surrounding words. English, in contrast, is an intonation language, so the presence of negation results in substantial prosodic modification. This suggests that the phenomenon of negation is universally prominent; however, languages with different prosodic systems will adopt different strategies for realizing prominence.
Starting from a consideration of the internal make-up of adverbial clauses this paper shows that the widespread assumption that fronted arguments in English and CLLD constituents in Romance occupy the same position leads to a number of problems. I will conclude that the position occupied by English topicalized arguments differs from that of the CLLD topics in Romance. In particular, English topics occupy a higher position in the left periphery. The final part of the paper compares three proposals for the lower topic position in Romance.
This contribution is concerned with prefixed forms in western Austronesian languages which have been called a wide variety of names including 'stative', 'accidental', 'involuntary', 'potential', 'coincidence', 'momentary', and so on. Although widely neglected in the literature, these formations are of major import to the grammar of many western Austronesian languages, where for all event expressions there is an obligatory choice between a neutral form and a form marked for 'involuntariness', 'potentiality', 'coincidence', or the like. Furthermore, this distinction has implications for a wide range of theoretical issues, including the nature of unaccusativity and causativity, split-intransitivity, and the grammar of control and complementation.
The main goal of this contribution is to bring some basic order to the fairly broad and, on first sight at least, somewhat heterogeneous range of uses and meanings associated with these forms. I will argue that the different uses can be grouped into two semantically and morphosyntactically quite different construction types, which I will call STATIVE (proper) and POTENTIVE, respectively.
Section 2 presents the major uses of the 'stative' prefix ma- in Tagalog. In section 3, it is shown that despite superficial similarities the various examples with ma-marked predicates presented in section 2 involve two different constructions and that the prefix ma- belongs to two different morphological paradigms. Section 4, finally, provides a systematization of stative and potentive uses and discusses similarities and differences between the Tagalog system and superficially similar systems in so-called split-S languages.
Questions and focus
(2003)
Acquisition of aspect
(2003)
Qiang
(2003)
Qiang is spoken in Aba Tibetan and Qiang Autonomous Prefecture in northwest Sichuan Province. China; it belongs to the Qiangic branch of Tibeto-Burman. There are two major Qiang dialects. Northern Qiang (spoken in Heishui County, and the Chibusu district of Mao County; roughly 70,000 speakers) and Southern Qiang (spoken in Li County, Wenchuun County, Mao County, and Songpan County; about 60,000) (Sun 1981a: 177-78), The dialect presented here is the Northern Qiang variety spoken in Ronghong Village, Yadu Township, Chibusu District, Mao County.
Dulong
(2003)
Dulong [...] is a Tibeto-Burman language spoken in China, closely related to the Rawang language of Myanmar (Burma). The Dulong speakers mainly live in Gongshan Dulong and Nu Autonomous County in Yunnan, China, and belong to either what is known as the Dulong nationality (pop. 5816 according to the 1990 census), or to one part (roughly 6000 people) of the Nu nationality (those who live along the upper reaches of the Nu River). The exonym 'Dulong' (or 'Taron', or 'Trung') was given to this nationality because they mostly live in the valley of the Dulong (Taron/Trung) River. In the past, the Dulong River was known as the Kiu (Qiu) river, and the Dulong people were known as the Kiu (Qiu), Kiutze (Qiuzi), Kiupa, or Kiao. Dulong is usually talked about as having four dialects, based on areas where it is spoken: First Township, Third Township, Fourth Township, and Nujiang. In this chapter, we will be using data of the First Township dialect spoken in Gongshan county.
Qiang
(2003)
There is good reason to be ambivalent about the usefulness of general considerations in linguistic reconstruction. As a heuristic device, a theoretical framework can certainly be helpful, but the negative potential of aprioristic considerations must not be underestimated. E.g., there is a whole range of phenomena which receive a natural explanation when we assume that glottalization is ancient in Germanic. The methodological question is: why have scholars been reluctant to identify the vestjysk stød with the English glottalization as a historical reality which may have been inherited from the proto-language? The role of general linguistics is to provide an idea of what can be expected in linguistic development, not by theoretical reasoning but by inspection of what actually happens.
Nominalizations
(2002)
The present volume is a selection of the papers presented in workshops at ZAS in Berlin in November 2000 and at theUniversity of Tübingen in April 2001, devoted to synchronic and, diachronic aspects of various types of nominalizations. Nominalization has a long history in linguistic research. Its nature can only be captured by taking into account the interface between morphology, syntax and semantics on the one hand, and the interface between semantics and conceptual structure on the other.
It is often assumed that the goal of typology is to define the notion ‘possible human language’. This view, which I call the Universalist Typology view is shared, for example, by virtually all contributors to Bynon & Shibatani’s 1995 volume Approaches to Language Typology, and by Moravscik in her review of this volume in Linguistic Typology 1 (p.105). In the following I claim that this assumption is fundamentally mistaken. To clarify the theoretical status of what is meant by ‘possible human language’, I argue here for a distinction between typological theory (theoretical typology) and grammatical theory (theoretical syntax and theoretical morphology) as distinct subdisciplines of linguistics.
This volume presents working versions of presentations heard at and selected for the Workshop on Syntax of Predication, held at ZAS, Berlin, on November 2-3, 2001 (except the editor’s own paper).
Predication is a many-faceted topic which involves both syntax and semantics and the interface between them. This is reflected in the papers of the volume.
It will be shown that verbs can be missing in predicative sentences by using the data from Chinese. Copula-less sentences in Chinese are subject to 'Generalized Anchoring Principle' (GAP), which requires that every clause be anchored at the interface for LF convergence. To satisfy GAP, clauses may be either tensed or focused. It is shown that copula-less sentences in Chinese are subject to focus anchoring. It will be further argued that whether a verb is needed in predication depends on the syntax of predicate nominals.
On object specificity
(2001)
[W]e have demonstrated that the object specificity follows from the same principle as the subject specificity under the EMH. Furthermore, the semantic discrepancy between the realis and irrealis object shift constructions turns out to be a subcase of the more general indicative-modal asymmetry. Although our analysis presented here is nothing but conclusive, it does suggest that the EMH is a potent candidate for explaining the indicative-modal asymmetry, as well as for building a general theory of the specificity effects in question.
We will argue that some seemingly adverbial free DPs in the instrumental in Russian which are traditionally termed measure instrumental are best understood as secondary predicates. We present the relevant syntactic assumptions and propose a semantics of this use of DPs in the instrumental. This proposal hears on the distinction between adjunct modification and secondary predication.
What are incremental themes?
(2001)
In this paper I examine the approach to incremental themes developed in Krifka 1992,1998, Dowty 1991 and others, which argues that the extent of a telic event is determined by the extent of its incrementally affected theme. This approach identifies the defining property of an accomplishment event as being the fact that the theme relation is a homomorphism from parts of the event to parts of the (incremental) theme. I show that there are a large number of accomplishments, both lexical and derived via resultative predication, which cannot be characterised in this way. I then show that it is more insightful to characterise accomplishments in terms of their internally complex structure: an accomplishment event consists of a non-incremental activity event and an incrementally structured 'BECOME' event, which are related by a contextually available one-one function in such a way that the incremental structure of the latter is imposed on the activity.
Adjectival secondary predicates can enter into two Case frames in Russian, the agreeing form and the Instrumental. The paper argues that these Case frames go together with two syntactic positions in the clause which are correlated with two different interpretations, the true depictive and the temporally restricted reading, respectively. The availability of the two readings depends on the houndedness of the secondary predicate. Only bounded predicates can enter into both Case frames and only partially non-bounded predicates can appear in the Instrumental. The paper therefore argues that the pertinent two-way SL/IL-contrast is to he replaced by a three-way distinction in terms of boundedness. The paper outlines the syntax and semantics of the true depictive and the temporally restricted interpretation and discusses how adjectival secondary predicates whose salient properties involve a cotemporary interpretation with the matrix predicate and a control relation of an individual argument, differ from temporal adjuncts as well as from non-finite clauses.
Some conceptual and empirical issues in linguistic theory : an illustration with pronominal clitics
(2001)
I would like to discuss a few general conceptual issues in linguistic theory, and see how they bear on some empirical facts about pronominal clitics. In particular, I would like to show that the conception of linguistic theory, justified on independent grounds, limits the class of issues and possible explanations for grammatical properties of specific linguistic expressions. I argue that this is not simply a consequence of a specific conception of grammar, conceived of as a system of principles and rules governing language, but has non-trivial empirical ramifications. Pronominal clitics are a good case study, since their grammatical properties bear on a wide range of facts falling under the purview of principles of phonology, morphology, syntax and semantics.
This volume presents working versions of presentations heard at and selected for the Workshop on Syntax of Predication, held at ZAS, Berlin, on November 2-3, 2001 (except the editor’s own paper).
Predication is a many-faceted topic which involves both syntax and semantics and the interface between them. This is reflected in the papers of the volume.
With the rise of minimalism, many concepts related to the geometrical relations of phrase structure held fast to in earlier approaches have been reconsidered. This article deals with distinguishing (relational and technical) properties of specifiers and adjuncts in a Bare Phrase Structure framework (X'-Theory). I extend specific aspects of X-structure relevant to the discussion of specifiers vs. adjuncts. I argue that unique specifiers can be derived from the system and that adjunction, possibly multiple, results from Direct Merge only. The final product is a series of relationships in line with recent thoughts and minimalist premises, but formally more similar to earlier conceptions of the X'-schema.
I address conceptual, empirical and theoretical arguments against multiple specifiers and related issues next, that is beyond the predictions immediately following from the tripartitional view of clause structure proposed in Grohmann (2000). After laying out my motivations to critically consider the issue, I present a set of data that casts serious doubt over the justifications offered to replace Agr with v as the accusative casemarker. Having conceptual and empirical back-up, I then tackle the theoretical validity of specifiers, and ways to distinguish unique specifiers from (multiple) adjuncts. I introduce a version of Bare Phrase Structure that does so, yet keeps the spirit of defining structural identification over relational rather than categorial properties.
Even if we can generate a logical form, principles of use may limit the ways in which we can use it. In this paper, I motivate one such principle of use, and explore its effects. Much of the discussion involves kinds of sentences that have received attention in the literature on "individual-level predicates".
This volume comprises papers that were given at the workshop Information Structure and the Referential Status of Linguistic Expressions, which we organized during the Deutsche Gesellschaft für Sprachwissenschaft (DGfS) Conference in Leipzig in February 2001. At this workshop we discussed the connection between information structure and the referential interpretation of linguistic expressions, a topic mostly neglected in current linguistics research. One common aim of the papers is to find out to what extent the focus-background as well as the topic-comment structuring determine the referential interpretation of simple arguments like definite and indefinite NPs on the one hand and sentences on the other.
Der vorliegende Band setzt im Anschluß an den Band ZAS Papers in Linguistics 14 (1999) die Vorpublikation von Arbeiten fort, die innerhalb oder im Umkreis des von der DFG geförderten Projekts "Schnittstellen der Semantik: Kopula-Prädikativ-Konstruktionen" am ZAS entstanden sind. Das Rahmenthema, wie es in ZASPiL 14 einleitend knapp umrissen wurde, wird derzeit im Projekt in drei Untersuchungssträngen bearbeitet. Sie beinhalten
(1) die Klärung der in der Literatur auch weiterhin häufig bemühten, aber keineswegs eindeutig verankerten, sondern auf mehrere Domänen zu verteilenden Distinktion von Stage Level Predicates vs. Individual Level Predicates (kurz: SLP/ILP-Problematik);
(2) die Klärung des Situationsbezugs von Kopula-Prädikativ-Konstruktionen (KPK) im Hinblick auf die ontologische Natur, die lexikalische Fundierung und die syntaktische Verwaltung des referentiellen Arguments von KPK (kurz: Argumentstruktur von KPK);
(3) die vertiefte Analyse der notorisch idiosynkratischen Kopulaverben in Prädikationsstrukturen, nicht zuletzt im Hinblick auf diejenigen Vorkommen solcher Verben, in denen sie gemeinhin als "Hilfsverben" gelten, was wiederum eine umfassende Analyse der infiniten Verbformen einschließt (kurz: lexical vs. functional category features).
Approaching the grammar of adjuncts : proceedings of the Oslo conference, September 22 - 25, 1999
(2000)
In this paper, I discuss four different verb forms in Ndebele (a Nguni Bantu language spoken mainly in Zimbabwe) - the imperative, reduplicated, future and participial. I show that while all four are subject to minimality restrictions, minimality is satisfied differently in each of these morphological contexts. To account for this, I argue that in Ndebele (as in other Bantu languages) Word and RED are not the only constituents which must satisfy minimality: the Stem is also subject to minimality conditions in some morphological contexts. This paper, then, provides additional arguments for the proposal that Phonological Word is not the only sub-lexical morpho-prosodic constituent. Further, I argue that, although Word, RED and Stern are all subject to the same minimality constraint – they must all be minimally bisyllabic - this does not follow from a single 'generalized' constraint. Instead, I argue, contra recent work within Generalized Template Theory (see, e.g., McCarthy & Prince 1994, 1995a, 1999; Urbanezyk 1995, 1996; and Walker 2000; etc.) that a distinct minimality constraint must be formalized for each of these morpho-prosodic constituents.
The present investigation is concerned with German participles II (past participles) as lexical heads of adjuncts.
Within a minimalist framework of sound-meaning correlation, the analysis presupposes a lexicalist conception of morphology and the differentiation of Semantic Form and Conceptual Structure. It is argued that participles II have the same argument structure as the underlying verbs and can undergo passivization, perfectivization and conversion to adjectives. As for the potential of participles to function as modifiers, it is shown that attributive and adverbial participle constructions involve further operations of conversion. Participle constructions are considered as reduced sentences. They do not have a syntactic position for the subject, for an operator (comparable to the relative pronoun in relative clauses) or for an adverbial relator (as in adverbial clauses). The pertinent components are present only in the semantic structure.
Two templates serve the composition of modifiers - including participle constructions - with the modificandum. It is necessary to differentiate between modification which unifies two predicates relating to participants or to situations and frame setting modification where the modifier is given the status of a propositional operator.
The proposed analysis shows that the high degree of semantic underspecification and interpretative flexibility of German participle II constructions resides in the indeterminacy of participles II with respect to voice and perfect, in the absence of certain constituents in the syntactic structure and in the presence of corresponding parameters in the Semantic Form of the participle phrases.
This paper deals with restitutive and repetitive 'wieder'. Proceeding from the assumption that adverbial adjuncts have base positions which reflect their semantic relations to the rest of the sentence, it is shown that repetitive 'wieder' belongs to the class of event adverbs minimally c-commanding the base positions of all arguments whereas restitutive 'wieder' has many properties in common with process adjuncts, minimally c-commanding the final verb.
The argument-modifier distinction is less clear in NPs than in VPs; nouns do not typically take arguments. The clearest cases of arguments in NPs are in certain kinds of nominalizations which retain some "verbal" properties (Grimshaw 1990). The status of apparent arguments of non-deverbal relational nouns like sister is more controversial.
Genitive constructions like 'John's teacher', 'team of John's' offer a challenging testing ground for the argument-modifier distinction in NPs, both in English and cross-linguistically. On the analyses of Partee (1983/97) and Barker (1995), the DP in a genitive phrase (i.e. 'John' in 'John's') is always an argument of some relation, but the relation does not always come from the head noun. On those "ambiguity" analyses, some genitives are argument-like and some are modifier-like. Recent proposals by Jensen and Vikner and by Borschev and Partee analyze all genitives as argument-like, a conclusion we are no longer sure of.
In this paper we explore a range of possible analyses: argument-only, modifier-only, and ambiguity analyses, and consider the kinds of semantic evidence that suggest that different analyses may be correct for different genitive or possessive constructions in different languages.
The present paper offers evidence that there are two variants of adverbial modification that differ with respect to the way in which a modifier is linked to the verb's eventuality argument. So-called external modifiers relate to the full eventuality, whereas internal modifiers relate to some integral part of it. The choice between external and internal modification is shown to be dependent on the modifier's syntactic base position. External modifiers are base-generated at the VP periphery, whereas internal modifiers are base generated at the V periphery. These observations are accounted for by a refined version of the standard Davidsonian approach to adverbial modification according to which modification is mediated by a free variable. In the case of external modification, the grammar takes responsibility for identifying the free variable with the verb's eventuality argument, whereas in the case of internal modification, a value for the free variable is determined by the conceptual system on the basis of contextually salient world knowledge.
The paper investigates a recent proposal to resultativity by G. Jäger and R. Blutner (J&B). J&B say that the representation of result states of accomplishments by means of CAUSE and BECOME is not correct and should not be done in the syntax in terms of decomposition. They develop an axiomatic approach where each accomplishment/achievement is related to its result by a particular axiom. Modification of the result by "again" makes use of these axioms and the restitutive/resultative ambiguity is a matter of lexical ambiguity or polysemy. They argue that the classical decomposition theory cannot treat the restitutive reading of "A Delaware settled in New Jersey again" (there had been Delawares in New Jersey but not this particular one; and those earlier Delawares never moved to New Jersey but were borne there). I discuss (and dispute) these data and compare the two theories. J&B's contains an OT-part dealing with the disambiguating role of stress. While the decomposition theory cannot deal with the data mentioned, it can integrate the OT-part of J&B's theory.
Rethinking the adjunct
(2000)
The purpose of the present paper is twofold: first, to show that, when defining the adjunct, it is necessary to distinguish in a strict modular way between the syntactic level and the lexico-semantic level. Thus, the adjunct is a syntactic category on a par with the specifier and the complement, whereas the argument belongs to the same set as does (among others) the modifier. The consequence of this distinction is that there is no direct one-to-one opposition between adjuncts and arguments. Nor is there any direct one-to one relation between adjuncts and modifiers.
The second and main purpose of the paper is to account for the well-known difference between the position of a specific set of modifiers (cause, time, place etc.) in, on the one hand, English and Swedish, on the other, German. In English and Swedish the default position of these modifiers is postverbal, whereas in German it is preverbal. Further, in English and Swedish, these modifiers occur in a mirror order compared with their German counterparts, an order which, from a semantic point of view, is not the expected one. I shall demonstrate that this difference is due to the different settings of the verbal head parameter, the former languages being VO-languages and the latter being OV -languages. I shall further argue that in English and Swedish these modifiers are base generated as adjuncts to an empty VP, which is a complement of the main verb of what I shall call the minimal VP (MVP), whereas in German they are adjuncts on top of the MVP. Finally, I shall argue that the postverbal modifiers move at the latest at LF to the top of the MVP, in order to take scope over it, the restriction being 'Shortest move'. The movement results in the correct scope order of the postverbal modifiers.
The proposed structure also accounts for the binding data, in particular for the binding of a specific Swedish possessive anaphor 'sin'. This pronoun, which may occur within the MVP, must not occur within the postverbal modifiers in the empty VP. This supports the assumption that there is a strict borderline between the MVP and the assumed empty VP. The account is also in accordance with the focus data, the specific set of modifiers being potential focus exponents in a wide focus reading in English and Swedish, but not in German.
In this study, I investigate the positions and interpretations available to 'manner' adverbs in English. My central claim, contra Wyner (1994, 1998), is that an association does exist between 'manner' adverb positions and interpretations, which is best characterized in terms of Peterson's (1997) distinction between 'restrictive' and 'non-restrictive' modification. I also claim, however, that the association in question is not as general as commonly claimed; and, in particular, does not apply directly to 'manner' adverbs in 'fronted' and 'parenthetical' positions, which require special syntactic description.
This paper proposes that we can predict which adverbs cannot adjoin to the right in headinitial languages by means of a particular semantic property, that of being a "subjective" adverb, one which maps an event or proposition onto a scale with the high degree of indeterminacy and context-dependence. Such adverbs, such as 'probably' or 'luckily', cannot adjoin to the right with non-manner readings, while other adverbs (like 'politically', 'often', or 'deliberately') may. This supports the view that the distribution of adverbs depends heavily, and subtly, on their lexicosemantic properties.
It is argued that there is a surprising gap in the distribution of adverbial modifiers, namely that there are (practically) no adverbs that modify exclusively stative verbs. Given the general range of selectional restrictions associated with adverb/verb modification, this comes as a surprise. It is argued that this gap cannot be the result of standard selectional restrictions. An independently motivated account of the state-event verb contrast, in which state verbs are proposed to lack Davidsonian arguments is presented and argued to account for this stative adverb gap. Some apparent and real problems with the analysis are discussed.
The present study offers the analysis of the role of adverbials in the semantic structure of a sentence. To clarify this role new notions "Adverbials with floating and fixed semantic scope" are proposed. This classification also can clarify the role of adverbials from the point of view of the division into arguments vs. adjuncts.
This paper deals with a series of semantic contrasts between the copula "be" and the preposition "as", two functional elements that both head elementary predication structures. It will be argued that the meaning of "as" is a type lowering device shifting the meaning of its complement NP from generalized quantifier type to property type (where properties are conceived as relations between individuals and situations), while the copula "be" induces a type coercion from (partial) situations to (total) possible worlds. Paired with van der Sandt's 1992 theory of presupposition accommodation, these assumptions will account for the observed contrasts between "as" and "be".
This paper is concerned with the fact that a number of adverbal modifications involve a systematic reinterpretation of at least one of the expressions connected by the operation in question. It offers an approach in which such transfers of meaning turn out to be a result of contextually controlled enrichments of an underspecified as well as a strictly compositionally structured semantic representation. The approach proposed is general for three reasons: First, it takes into account not only reinterpretations in temporal but also such in non-temporal modification. Second, it allows considering so-called secondary predications as a particular kind of adverbal modification. Third, it explains the respective reinterpretations within a uniform formal framework of meaning variation.
This 18th issue of ZAS-Papers in Linguistics consists of papers on the development of verb acquisition in 9 languages from the very early stages up to the onset of paradigm construction. Each of the 10 papers deals with first-Ianguage developmental processes in one or two children studied via longitudinal data. The languages involved are French, Spanish, Russian, Croatian, Lithuanien, Finnish, English and German. For German two different varieties are examined, one from Berlin and one from Vienna. All papers are based on presentations at the workshop 'Early verbs: On the way to mini-paradigms' held at the ZAS (Berlin) on the 30./31. of September 2000. This workshop brought to a close the first phase of cooperation between two projects on language acquisition which has started in October 1999:
a) the project on "Syntaktische Konsequenzen des Morphologieerwerbs" at the ZAS (Berlin) headed by Juergen Weissenborn and Ewald Lang, and financially supported by the Deutsche Forschungsgemeinschaft, and
b) the international "Crosslinguistic Project on Pre- and Protomorphology in Language Acquisition" coordinated by Wolfgang U. Dressler in behalf of the Austrian Academy of Sciences.
In these conclusions we can deal only with some of the tentative comparative results of the workshop papers on the early development of verb morphology. The main focus is on criteria of how the child detects morphology and how this emerging morphological competence develops in its earliest phases. In view of the purpose and tentative character of these conclusions, all references will be limited to the papers of the workshop and to earlier studies by workshop participants within the "Crosslinguistic Project on Pre- and Protomorphology in Language Acquisition". Much more will be given in the projected final publication.
Introduction
(2000)
Dulong/Rawang is a Tibeto-Burman language spoken on both sides of the China/Myanmar (Burma) border just south and cast of Tibet. [...] In this chapter, I will be using data of the Mvtwang (Mvt River) dialect, which is considered the most central of those dialects in Myanmar and so has become something of a standard for writing and intergroup communication, though most of the phenomena we will be discussing are general to dialects in both China and Myanrnar. I will use the short form 'Rawang' in referring to this dialect.
The distribution of trimoraic syllables in German and English as evidence for the phonological word
(2000)
In the present article I discuss the distribution of trimoraic syllables in German and English. The reason I have chosen to analyze these two languages together is that the data in both languages are strikingly similar. However, although the basic generalization in (1) holds for both German and English, we will see below that trimoraic syllabIes do not have an identical distribution in both languages.
In the present study I make the following theoretical claims. First, I argue that the three environments in (1) have a property in common: they all describe the right edge of a phonological word (or prosodic word; henceforth pword). From a formal point of view, I argue that a constraint I dub the THIRD MORA RESTRICTION (henceforth TMR), which ensures that trimoraic syllables surface at the end of a pword, is active in German and English. According to my proposal trimoraic syllables cannot occur morpheme-internally because monomorphemic grammatical words like garden are parsed as single pwords. Second, I argue that the TMR refers crucially to moraic structure. In particular, underlined strings like the ones in (1) will be shown to be trimoraic; neither skeletal positions nor the subsyllabic constituent rhyme are necessary. Third, the TMR will be shown to be violated in certain (predictable) pword-internal cases, as in Monde and chamber; I account for such facts in an OptimalityTheoretic analysis (henceforth OT; Prince & Smolensky 1993) by ranking various markedness constraints among themselves or by ranking them ahead of the TMR. Fourth, I hold that the TMR describes a concrete level of grammar, which I refer to below as the 'surface' representation. In this respect, my treatment differs significantly from the one proposed for English by Borowsky (1986, 1989), in which the English facts are captured in a Lexical Phonology model by ordering the relevant constraint at level 1 in the lexicon.
Identity effects in phonology are deviations from regular phonological form (i.e. canonical patterns) which are due to the relatedness between words. More specifically, identity effects are those deviations which have the function to enhance similarity in the surface phonological form of morphologically related words. In rule-based generative phonology the effects in question are described by means of the cycle. For example, the stress on the second syllable in cond[ɛ]nsation as opposed to the stresslessness of the second syllable in comp[ǝ]nsation is described by applying the stress rules initially to the sterns thereby yielding condénse and cómpensàte. Subsequently the stress rules are reapplied to the affixed words with the initial stress assignment (i.e. stress on the second syllable in condense, but not in compensate) leaving its mark in the output form (cf. Chomsky and Halle 1968). A second example are words like lie[p]los 'unloving' in German, which shows the effects of neutralization in coda position (i.e. only voiceless obstruents may occur in coda position) even though the obstruent should 'regularly' be syllabified in head position (i.e. bl is a wellformed syllable head in German). Here the stern is syllabified on an initial cycle, obstruent devoicing applies (i.e. lie[p]) and this structure is left intact when affixation applies (i.e. lie[p ]Ios ) (cf. Hall 1992). As a result the stern of lie[p]los is identical to the base lie[p].
I argue in this study that consonantal strength shifts can be explained through positional bans on features, expressed over positions marked as weak at a given level of prosodic structure, usually the metrical foo!. This approach might be characterized as "templatic" in the sense it seeks to explain positional restrictions and distributional patterns relative to independently motivated, fixed prosodic elements. In this sense, it follows Dresher & Lahiri's (1991) idea of metrical coherence in phonological systems, namely, "[T]hat grammars adhere to syllabic templates and metrical patterns of limited types, and that these patterns persist across derivations and are available to a number of different processes ... " (251). [...] The study is structured as follows: section 1 presents a typology of distributional asymmetries based on data from unrelated languages, demonstrating that the stress foot of each of these languages determines the contexts of neutralization and weakening of stops. Section 2 elaborates the notion of a template, exploring some of its formal properties, while section 3 presents templatic analyses of data from English and German. Section 4 explores the properties of weak positions, especially weak onsets, in more detail, including discussion of templates in phonological acquisition. Section 5 summarizes and concludes the study.
The aim of this paper is to show what role prosodic constituents, especially the foot and the prosodic word play in Polish phonology. The focus is placed on their function in the representation of extrasyllabic consonants in word-initial, word-medial, and word-final positions.
The paper is organized as follows. In the first section, I show that the foot and the prosodic word are well-motivated prosodic constituents in Polish prosody. In the second part, I discuss consonant clusters in Polish focussing on segments that are not parsed into a syllable due to violations of the Sonority Sequencing Generalisation, i.e. extrasyllabic segments. Finally, I analyze possible representations of the extrasyllabic consonants and conclude that both the foot and the prosodic word play a crucial role in terms of licensing. My proposal differs from the ones by Rubach and Booij (1990b) and Rubach (1997) in that I argue that the word-initial sonorants traditionally called extrasyllabic are licenced by the foot and not by the prosodic word (cf. Rubach and Booij (1990b)) or the syllable (cf. Rubach (1997)). For my analysis I adopt the framework of Optimality Theory, cf. McCarthy and Prince (1993), Prince and Smolensky (1993), in which derivational levels are abandoned and only surface representations are evaluated by means of universal constraints.
In this work, I examine a set of languages which appear to require resyllabification postlexically; in less derivational terms, a word's syllabification in isolation differs from its syllabification in a phrase-internal context. Although many people, myself included, have been looking at such cases in isolation over the years, I bring together several examples here to see what features they share and how an Optimality Theory analysis improves upon rule-based derivational approaches.
The purpose of this paper is to provide a unified (i.e. independent of lexical categories) account of Persian stress. I show that by differentiating word- and phrase-level stress rules, one can account for the superficial differences exemplified in (1) above and many of the stipulations suggested by previous scholars. The paper is organized as follows. In section 1, I look at nouns and adjectives and propose a rule that would account for their stress pattern. In section 2, I extend the stress rule to verbs and show the problem this category poses to our generalization. The main proposal of this paper is discussed in section 3. I introduce the phrasal stress rule in Persian and show that by differentiating word-level and phrase-level stress rules, one can come to a unified account of Persian stress. Section 4 deals with some problematic eases for the proposed generalization and discusses some tentative solutions and their theoretical consequences. Section 5 concludes the paper.
The paper proposes structural constraints for different adjunct classes in German and English. Approaches in which syntax has only the task to provide adjunct positions and in which principles of scope are supposed to explain the distribution of adjuncts are rejected as incomplete. The syntactic requirements are not as rigid as other approaches require, such that there is just one possible position for a given adjunct. Rather the syntactic constraints may be fulfilled in different positions.
This paper deals with early verb development (e.g., person, tense) until the emergence of verb-paradigms in two French-speaking children.
I will show the parallelism between the two children in the gradual building of paradigms, despite considerable differences in the rate of development. Individual differences on the other hand will bring me to reconsider the broad category of premorphological rote-learnt forms which already displays some patterning in one of the children's data.
This paper studies the acquisition process of Spanish verbal morphology in a monolingual child. The study focuses on the period of the first 50 verb lemmas. This covers the period from age 1;7 till 1;10.
The data shows that the verb acquisition process of this Spanish child follows three main stages:
1. A lexical stage in which verbs are only acquired as a lexical element.
2. A syntactic stage in which the verb, still contemplated as a non-split word, becomes the main element in the development of thematic and semantic relations.
3. A morphological stage in which verb suffixes begin to be analysed separately. At this stage, the relationship between form and meaning starts and the functional categories linked to the verb (tense, aspect, agreement, mood... ) begin to be acquired. Just at this moment, the first miniparadigms appear, which suggests that the acquisition process of verb morphology has started.
The first two stages are premorphological and cover in our child the period till 1;9. In the last stage, which begins at 1;10, the child enters the protomorphological stage.
The source of the data used in this paper are recordings of conversations with a Lithuanian girl, Rūta. Rūta lives in Vilnius and is the only child in the family. Both parents speak standard Lithuanian without dialectal influences. The recordings were taken on a free basis without a fixed schedule, then transcribed by the mother of the child, double-checked and coded in accordance with CHILDES by the author of the paper. At the moment of writing this contribution the data taken between 1;7-2;5 have been fully processed. Over this period about 34.5 hours of recordings were collected.
An adjunct-DP in the free instrumental case occurs in a number of surface positions where the DP is syntactically optional. does not depend on any element in the sentence, and has a number of different interpretations. We introduce Bailyn's proposal which postulates a uniform syntactic environment for all the uses of instr. This calls for a uniform semantics of these DPs which can nevertheless accomodate the different interpretations. Starting with the hypothesis of Roman Jakobson about the semantics of the instrumental case we formulate a semantic interpretation theory based on abduction. We give a uniform semantics for three different adjunct uses of instr in this framework. In the concluding part of the paper we discuss some possible alternatives and ramifications as well as questions and objections raised with respect to the treatment proposed in this paper.
Different languages employ different morphosyntactic devices for expressing genericity. And, of course, they also make use of different morphosyntactic and semantic or pragmatic cues which may contribute to the interpretation of a sentence as generic rather than episodic. [...] We will advance the strong hypo thesis that it is a fundamental property of lexical elements in natural language that they are neutral with respect to different modes of reference or non-reference. That is, we reject the idea that a certain use of a lexical element, e.g. a use which allows reference to particular spatio-temporally bounded objects in the world, should be linguistically prior to all other possible uses, e.g. to generic and non-specific uses. From this it follows that we do not consider generic uses as derived from non-generic uses as it is occasionally assumed in the literature. Rather, we regard these two possibilities of use as equivalent alternative uses of lexical elements. The typological differences to be noted therefore concern the formal and semantic relationship of generic and non-generic uses to each other; they do not pertain to the question of whether lexical elements are predetermined for one of these two uses. Even supposing we found a language where generic uses are always zero-marked and identical to lexical sterns, we would still not assume that lexical elements in this language primarily have a generic use from which the non-generic uses are derived. (Incidentally, none of the languages examined, not even Vietnamese, meets this criterion.)
This paper shows the early development of the first approximately 50 verbs found in the recorded speech production of one Croatian girl. The aim is to analyse and interpret the child's verb development in terms of the distinction of a pre- and a protomorphological phase before modularised morphology in language acquisition (Dressler & Karpf 1995). Furthermore, focus will be laid on the emergence of first verb paradigms.
This paper presents an analysis of secondary predicates as aspectual modifiers and secondary predication as a summing operation which sums the denotation of the matrix verb and the secondary predicate. I argue that, as opposed to the summing peration involved in simple conjunction, there is a constraint on secondary predication; in the 0 case of depictives, the event introduced by the matrix verb must be PART-OF the event introduced by the secondary predicate, where e1 is PART-OF e2 if the running time of e1 is contained in the running time of e2 and if e1 and e2 share a grammatical argument. I argue resultative predication differs from depictive predication in that the PART-OF constraint holds in resultative constructions between the event which is the culmination of e1 and e2: formally, while depictive predication introduces the statement PART-OF(e1,e2), resultative predication introduces the statement PART-OF(cul(e1),e2). I show that this is all that is necessary to explain the well-known properties of resultative predication.
The distinction between COMPLEMENTS and ADJUNCTS has a long tradition in grammatical theory, and it is also included in some way or other in most current formal linguistic theories. But it is a highly vexed distinction, for several reasons, one of which is that no diagnostic criteria have emerged that will reliably distinguish adjuncts from complements in all cases – too many examples seem to "fall into the crack" between the two categories, no matter how theorists wrestle with them.
In this paper, I will argue that this empirical diagnostic "problem" is, in fact, precisely what we should expect to find in natural language, when a proper understanding of the adjunct/complement distinction is achieved: the key hypothesis is that a complete grammar should provide a DUAL ANALYSIS of every complement as an adjunct, and potentially, an analysis of any adjunct as a complement. What this means and why it is motivated by linguistic evidence will be discussed in detail.
The unusual development of the PDE [present-day English] s-genitive can be historically motivated, if the 's form is supposed to be not a mere leftover of the Old English (henceforth OE) casemarking, but the outcome of the merging of two patterns: the inflectional genitive ending (levelled to -s) and the construction "John his book" (henceforth 'possessive-linked genitive') during the Middle and the Early Modem English phases.
As my corpus analysis will show, the semantic and syntactic constraints ruling the occurrence of the 's pattern in the time interval of the rise of the 's-pattern (1400 - 1650) are the same ones as those ruling the occurrence of the possessive-linked genitive.
This hypothesis is further confirmed by cross-language comparison (with the other West Germanic languages, especially Afrikaans).
The paper investigates the issue whether the stage-level/individual level contrast introduced by Carlson 1977 requires the assumption of two homonymous copulas depending on the categorization of the predicative. We argue that instead of a uniform stage-level/individual level distinction we have to distinguish several similar but independent contrasts, none of which crucially depend on the semantics of the copula. In the second part of the paper, we concentrate on one group of phenomena-the distribution of weak subjects-and propose an explanation in terms of an interaction between topic/comment structure and aspectual properties of the predicate.
In the present monograph, we will deal with questions of lexical typology in the nominal domain. By the term "lexical typology in the nominal domain", we refer to crosslinguistic regularities in the interaction between (a) those areas of the lexicon whose elements are capable of being used in the construction of "referring phrases" or "terms" and (b) the grammatical patterns in which these elements are involved. In the traditional analyses of a language such as English, such phrases are called "nominal phrases". In the study of the lexical aspects of the relevant domain, however, we will not confine ourselves to the investigation of "nouns" and "pronouns" but intend to take into consideration all those parts of speech which systematically alternate with nouns, either as heads or as modifiers of nominal phrases. In particular, this holds true for adjectives both in English and in other Standard European Languages. It is well known that adjectives are often difficult to distinguish from nouns, or that elements with an overt adjectival marker are used interchangeably with nouns, especially in particular semantic fields such as those denoting MATERIALS or NATlONALlTIES. That is, throughout this work the expression "lexical typology in the nominal domain" should not be interpreted as "a typology of nouns", but, rather, as the cross-linguistic investigation of lexical areas constitutive for "referring phrases" irrespective of how the parts-of-speech system in a specific language is defined.
Why should we engage in language universals research and language typology? What do we want to explain? It is a fact that, although languages differ significantly and considerably. indeed, no one would deny, that they have something in common; how else could they be labelled 'language'? - There is obviously unity among them, no matter how vaguely felt and for what reasons: Scientific, practical, moral, etc. Neither diversity per se nor unity per se is what we want to explain. There is no reason whatsoever to consider either one of them as primary, and the other as derived. What we do want to explain is "equivalence in difference" – cf. our motto – which manifests itself, among others, in the translatability from one language to another, the learnability of any language, language change – which all presuppose that speakers intuitively find their way from diversity to unity. This is a highly salient property which deserves to be brought into our consciousness. Generally then, our basic goal is to explain the way in which language-specific facts are connected with a unitarian concept of language – "die Sprache" – "le langage".
The Stanford Project on Language Universals began its activities in October 1967 and brought them to an end in August 1976. Its directors were Joseph H. Greenberg and Charles A. Ferguson. The Cologne Project on Language Universals and Typology [with particular reference to functional aspects], abbreviated UNITYP, had its early beginnings in 1972, but deployed its full activities from 1976 onwards and is still operating. This writer, who is the principal investigator, had the privilege of collaborating with the Stanford Project during spring of 1976. […] One of the leading Greenbergian ideas is that of implicational generalizations, has been integrated as a fundamental principle in the construction of continua and of universal dimensions as proposed by UNITYP. It is hoped that the following considerations on numeral systems will be apt to bear witness to this situation. They would be unthinkable without Greenberg’s pioneering work on "Generalizations about numeral systems" (Greenberg 1978: 249 ff., henceforth referred to as Greenberg, NS). Further work on this domain and on other comparable domains almost inevitably leads one to the view that generalizations of the Greenberg type have a functional significance and that a dimensional framework is apt to bring this to the fore. This is the view on linguistic behaviour as being purposeful, and on language as a problem- solving device. The problem consists in the linguistic representation of cognitive-conceptual ideas. The solution is represented by the corresponding linguistic structures in their diversity and the task of the linguist consists in reconstructing the program and subprograms underlying the process of problem-solving. It is claimed that the construct of continua and of universal dimensions makes these programs intelligible.
The human mind may produce prototypization within virtually any realm of cognition and behavior. A "comparative prototype-typology" might prove to be an interesting field of study – perhaps a new subfield of semiotics. This, however, would presuppose a clear view on the samenesses and differences of prototypization in these various fields. It seems realistic for the time being that the linguist first confine himself to describing prototypization within the realm of language proper. The literature on prototypes has steadily grown in the past ten years or so. I confine myself to mentioning the volume on Noun Classes and Categorization, edited by C. Craig (1986), which contains a wealth of factual information on the subject, along with some theoretical vistas. By and large, however, linguistic prototype research is still basically in a taxonomic stage - which, of course, represents the precondition for moving beyond. The procedure is largely per ostensionem, and by accumulating examples of prototypes. We still lack a comprehensive prototype theory. The following pages are intended, not to provide such, a theory, but to do the first steps in this direction. Section 2 will feature some elements of a functional theory of prototypes. They have been developed by this author within the frame of the UNITYP model of research on language universals and typology. Section 3 will bring a discussion of prototypization with regard to selected phenomena of a wide range of levels of analysis: Phonology, morphosyntax, speech acts, and the lexicon. Prototypization will finally be studied within one of the universal dimensions, that of APPREHENSION - the linguistic representation of the concepts of objects – as proposed by Seiler (1986).
This is a survey of the development of the model of PARTICIPATION (P'ATION) with reference to the postulated sequence of the techniques on the dimension of P'ATION. Along with a brief explanation of the techniques this article contains a discussion of the major claims with regard to the sequence of the techniques and the possibilities of subjecting the claims to empirical verification.
The aim of this contribution is to embed the question of an antinomy between "integral" vs. "partial typology", inscribed as the topic of this plenary session, into the comprehensive framework of the dimensional model of the research group on language universals and typology (UNITYP). In this introductory section I shall evoke some cardinal points in the theory of linguistic typology, as viewed "from outside", viz. on the basis of striking parallelisms with psychological typology. Section 2 will permit a brief look on the dimensional model of UNITYP. In section 3 I shall present an illustration of a typological treatment on the basis of one particular dimension. In section 4 I shall draw some conclusions with special reference to the "integral vs. partial" antinomy.
Ergativity in Samoan
(1985)
Most typological and language specific studies on so- called ergative languages are concerned with case marking patterns, particularly split ergativity, with the organization of syntactic relations as defined by syntactic operations such as coreferential deletion across coordinate conjunctions, Equi-NP-deletion and relativization , and with the notion of subject, but usually neglect the notion of valency, though the inherent relational properties of the verb , i. e. valency, play a fundamental role in the syntactic organization of sentences in ergative as well as in other languages . The following investigation of ergativity in Samoan aims to integrate the notion of valency into the description of semantic and syntactic relations and to outline the characteristic features of Samoan verbal clauses as far as they seem to be relevant to recent and still ongoing discussions on linguistic typology and syntactic theory. The main points of the definition of valency […] are: Valency is the property of the verb which determines the obligatory and optional number of its participants, their morphosyntactic form, their semantic class membership (e.g. ± animate, ± human) , and their semantic role (e.g. agent , patient , recipient). All semantic properties and morphosyntactic properties of participants not inherently given by the verb and therefore not predictable from the verb, are not a matter of valency. Valency is not a homogenous property of the verb, but consists of several exponents which show varying degress of relevance in different languages or different verb classes within a single language.
Possessive constructions are grammatical constructions which contain two nominals and express that the referent of one of these nominals belongs to the other. The kind of relationship denoted by possessive constructions is not only that of ownership (1), as the term "possessive" might suggest, but also that of kinship (2), bodypart relationship (3), part/whole relationship (4) and similar relationships [...]. The following investigation will start with possessive constructions on phrase level, i.e. possessive phrases, and then deal with possessive constructions on clause level.
At the end of last year, I designed an inquiry about the present state of linguistic typology in the form of a questionnaire. It was an attempt to cover the whole field by formulating the questions which seemed most relevant to it. This questionnaire is reproduced, without modifications, following this preface. In the first days of this year, it was sent to 33 linguists who I know are working in the field. The purpose was to form, on the basis of responses received, a picture of convergences and divergences among trends of present-day linguistic typology. The idea was also to get an objective basis for my report on "The present state of linguistic typology", to be delivered at the XIII. International Congress of Linguistics at Tokyo, 1982.
The approach outlined in the present paper is based on observations made with African languages. Although the 1000-odd African languages display a remarkable extent of structural variation, there are certain structures that do not seem to occur in Africa. Thus, to our knowledge, an African language having anything that could be called an ergative case or a numeral classifier system has not been discovered so far. It may turn out that our approach can, in a modified form, be made applicable to languages outside Africa. This , however, is a possibility that has not been considered here. The present approach is based essentially on diachronic findings in that it uses observations on language evolution in order to account for structural differences between languages. Thus, it has double potential: apart from describing and explaining typological diversity it can also be material to reconstructing language history.
The basic question is whether POSSESSOR and POSSESSUM are on the same level as the roles of VALENCE, two additional roles as it were. My research on POSSESSION has shown (Seiler 1981:7 ff.) that this is not the case, that there is a difference in principle between POSSESSION and VALENCE. However, there are multiple interactions between the two domains, and these interactions shall constitute the object of the following inquiry. It is hoped that this will contribute to a better understanding both of POSSESSION and of VALENCE.
In this study I want to show, above all, that the linguistic expression of POSSESSION is not a given but represents a problem to be solved by the human mind. We must recognize from the outset that linguistic POSSESSION presupposes conceptual or notional POSSESSION, and I shall say more about the latter in Chapter 3. Certain varieties of linguistic structures in the particular languages are united by the fact that they serve the common purpose of expressing notional POS SESSION. But this cannot be their sole common denominator. How would we otherwise be able to recognize, to understand, to learn and to translate a particular linguistic structure as representing POSSESSION? There must be a properly linguistic common denominator, an invariant, that makes this possible. The invariant must be present both within a particular language and in cross-language comparison. What is the nature of such an invariant? As I intend to show, it consists in operational programs and functional principles corresponding to the purpose of expressing notional POSSESSION. The structures of possessivity which we find in the languages of the world represent the traces of these operations, and from the traces it becomes possible to reconstruct stepwise the operations and functions.