410 Linguistik
Refine
Year of publication
Document Type
- Article (466)
- Part of a Book (286)
- Working Paper (120)
- Review (54)
- Conference Proceeding (33)
- Part of Periodical (20)
- Doctoral Thesis (18)
- Book (16)
- Periodical (4)
- Magister's Thesis (3)
Language
- English (630)
- German (328)
- Portuguese (24)
- Multiple languages (12)
- Croatian (11)
- Turkish (11)
- mis (4)
- French (3)
- Polish (1)
- Spanish (1)
Keywords
- Deutsch (108)
- Spracherwerb (62)
- Linguistik (52)
- Semantik (52)
- Syntax (49)
- Sprachtypologie (45)
- Kontrastive Linguistik (33)
- Sprachtest (33)
- Japanisch (32)
- Englisch (30)
Institute
- Institut für Deutsche Sprache (IDS) Mannheim (52)
- Extern (40)
- Neuere Philologien (39)
- Sprachwissenschaften (5)
- Präsidium (3)
- Medizin (2)
- Sprach- und Kulturwissenschaften (2)
- Universitätsbibliothek (2)
- Erziehungswissenschaften (1)
- Geschichtswissenschaften (1)
- Informatik (1)
- Psychologie und Sportwissenschaften (1)
Rezension zu Marta Medved Krajnović: Od jednojezičnosti do višejezičnosti. Uvod u istraživanja procesa ovladavanja inim jezikom. Zagreb: Leykam international, 2010, 193 S.
Jede der linguistischen Teildisziplinen bemüht sich, im Rahmen ihrer Forschung zu bestmöglichen Ergebnissen zu kommen. Dies zeigt sich sowohl im theoretischen Bereich, in dem bis dahin ungelöste Fragen beantwortet werden, als auch in der Praxis, die auf der Theorie beruht. Das Ziel bestmöglicher Ergebnisse verfolgen auch die sprachwissenschaftlichen Disziplinen Lexikographie und Wörterbuchforschung, deren Weiterentwicklung von der breiten Öffentlichkeit besonders positiv bewertet wird.
Die vorliegende Studie von Christine Konecny ist ein umfassendes Sammelwerk, das die internationalen Tendenzen in der Betrachtung von Kollokationen ausführlich erfasst. Der Titel und der Untertitel weisen eindeutig auf die theoretische und analytische Ausrichtung der Arbeit hin. Im ersten Teil werden die Kollokationen linguistisch betrachtet, es werden Auffassungs-, Definitions- und Abgrenzungsprobleme von Kollokationen detailliert geschildert. Eine Schlüsselkomponente im Titel ist jedoch nicht nur das Wort Kollokationen, das das Thema der Studie benennt. Aussagekräftiger ist der Untertitel, konkret sind es die Wörter Versuch und Annäherung. Die Studie ist der Versuch, einerseits die Position der Kollokationen sowohl in der Systemlinguistik als auch auf der Supraebene zu beschreiben, andererseits die Kollokationen nach unterschiedlichen sprachwissenschaftlichen Gesichtspunkten – vor allem unter phraseologischen, korpuslinguistischen, systemlinguistischen, pragmalinguistischen Aspekten - sowie aus der Sicht der kognitiven Psycholinguistik, Fremdsprachendidaktik, Wortbildungslehre, Lexikographie, kontrastiven und konfrontativen Linguistik und Translatologie zu bestimmen. Ein weiterer Versuch betrifft die Abgrenzung und Klassifikation der Kollokationen. Die Autorin hat sich u. a. zum Ziel gesetzt, Kollokationen von festen, teil- und nicht idiomatischen Wortverbindungen zu unterscheiden und sie anhand unterschiedlicher Klassifizierungskriterien hauptsächlich nach syntaktisch-morphologischen und semantisch-begrifflichen Unterscheidungsmerkmalen zu kategorisieren.
Decomposing coordination
(2014)
Natural languages display a surprising diversity of expression of elementary logical operations. The study of this variation is emerging as an important topic of cross-linguistic semantics. In this paper, we address the expression of coordination from this perspective, especially coordination of individual denoting expressions such as "John and Mary". We argue that there is an underlying universal structure for individual coordination, and that the cross-linguistic variation can be explained by assuming that languages pronounce different morphemes of this universal structure. In particular, we argue that there two main types of system for the expression of individual coordination: the J-type and the μ-type. In μ-type languages the morpheme used for individual coordination also has uses a quantificational or focus particle, while in the J-type languages it doesn't. Instead at least in many J-type languages the same morpheme is used for individual and propositional coordination. The evidence we present for our model comes from two sources: new data from specific data of the J-type and μ-type languages, and from a study of the historical development of the expression of individual coordination in Indo-European which switched from a μ-type to a J-type system.
The claim of this paper is that embedded definites can, despite the appearances, be accounted for on the uniqueness approach. Far from being a surprise, we argue that the behavior of embedded definites is actually expected once two independent facts are taken into account: the ability of noun phrases to take scope, i.e., to be interpreted in a different place from their syntactic position, and the interaction of presuppositions and scope-taking elements. Specifically, we analyze embedded definites as a case of inverse linking (Gabbay and Moravscik, 1974; May, 1977): the embedded definite takes scope over the embedding one. The presupposition of the embedded definite is weakened as a result of the independently motivated process of intermediate accommodation (Kratzer, 1989; Berman, 1991). In our case, this process transfers the presupposition of the embedding definite into the restrictor of the embedded one.
Like other scope-taking processes, inverse linking is generally taken to be subject to locality constraints: if a syntactic island, such as a finite clause boundary, intervenes in the path of a scope-taking element, then the resulting reading is unavailable or degraded (Rodman, 1976). Since our account views embedded definites as cases of inverse linking, we predict that inserting an island into an embedded definite, all else being equal, should lead to a similar degradation. We report results from an online survey with 800 participants that confirm this prediction.
The late physicist Carl Sagan, whom I quote in the first part of my title, skillfully phrased the common sense view on evidence in the mature sciences. In linguistics, however, evidence has become a controversial issue, especially so when it comes to the investigation of less well studied languages. In this paper, I argue that Sagan's principle should be applied to linguistics. The growing accessibility of a wide array of experimental techniques and computational tools to analyze such data makes it feasible to back up extraordinary claims with evidence from a variety of sources. At the same time, it is in many cases possible to agree on what constitutes an ordinary claim and focus the extra effort on extraordinary claims. For non-controversial claims no more than the minimum effort to establish the claim and properly document the evidence is necessary.
Irene Heim in unpublished work proposed a new syntax-semantics interface for propositional attitude reports based on an ontology without transworld individuals, but counterpart functions instead. We show that the approach can capture the 'de re'/'de dicto' distinction, but makes different predictions from accounts with transworld individuals. Specifically, the account uses a non-invertible counterpart functions: a single individual in an alternative world can be the counterpart of many individuals of the real world. The directionality of counterpart functions predicts that a 'de dicto' interpreted DP cannot be an argument of a 'de re' interpreted predicate. We show that the predicted restriction is corroborated by existing work on restrictions on 'de re' interpretation. The derivation of constraints on 'de re' interpretation argues empirically for the counterpart ontology and Heim’s implementation thereof.
In at least three environments—de se binding, distributive binding, and focus quantification—some presuppositions exhibit unexpectedly weak projection behavior. This holds for the presuppositions of bound pronouns, but also several other cases of presupposition. In this paper, I first describe a general approach to capture the interaction of presuppositions with quantificational operators within a multi-tiered evaluation procedure. Secondly I discuss data from Condition A, in particular non-bound occurrences of reflexives, that motivate a presuppositional account of Condition A and confirm the general approach.
The Strongest Meaning Hypothesis (SMH henceforth), a pragmatic principle motivated in Dalrymple et al.'s (1998) study of reciprocals, has recently been applied to problems in implicatures (Chierchia et al. to appear) and Vagueness (Cobreros et al. 2011). In this snippet, I argue that the SMH can apply to embedded sentences, which is perhaps unusual for a pragmatic principle.
In this paper, I revisit the arguments against the use of fuzzy logic in linguistics (or more generally, against a truth-functional account of vagueness). In part, this is an exercise to explain to fuzzy logicians why linguists have shown little interest in their research paradigm. But, the paper contains more than this interdisciplinary service effort that I started out on: In fact, this seems an opportune time for revisiting the arguments against fuzzy logic in linguistics since three recent developments affect the argument. First, the formal apparatus of fuzzy logic has been made more general since the 1970s, specifically by Hajek [6], and this may make it possible to define operators in a way to make fuzzy logic more suitable for linguistic purposes. Secondly, recent research in philosophy has examined variations of fuzzy logic ([18, 19]). Since the goals of linguistic semantics seem sometimes closer to those of some branches of philosophy of language than they are to the goals of mathematical logic, fuzzy logic work in philosophy may mark the right time to reexamine fuzzy logic from a linguistic perspective as well. Finally, the reasoning used to exclude fuzzy logic in linguistics has been tied to the intuition that p and not p is a contradiction. However, this intuition seems dubious especially when p contains a vague predicate. For instance, one can easily think of circumstances where 'What I did was smart and not smart.' or 'Bea is both tall and not tall.' don’t sound like senseless contradictions. In fact, some recent experimental work that I describe below has shown that contradictions of classical logic aren’t always felt to be contradictory by speakers. So, it is important to see to what extent the argument against fuzzy logic depends on a specific stance on the semantics of contradictions. In sum then, there are three good reasons to take another look at fuzzy logic for linguistic purposes.
This paper corroborates the interpretability proposal of Chomsky (1995) with evidence from scrambling in Japanese and German. First it is shown that scrambling in Japanese is semantically vacuous, whereas scrambling in German is semantically contentful. Chomsky’s proposal then predicts that the feature driving Japanese scrambling is erased after checking, while the corresponding feature in German remains visible, specifically for the Shortest Attract condition. Looking at patterns of movement that result in overlapping paths, this prediction is seen to be correct.
Embedded implicatures and experimental constraints : a reply to Geurts & Pouscoulous and Chemla
(2010)
Experimental evidence on embedded implicatures by Chemla (2009b) and Geurts & Pouscoulous (2009a) has fewer theoretical consequences than assumed: On the one hand, the evidence successfully argues against obligatory local implicature computation, which has however already been discredited. On the other hand, the data are fully consistent with optional local implicature computation.
The paper presents an additional argument for a specific account of semantic binding: the flat-binding analysis. The argument is based on observations concerning sloppy interpretations in verb phrase ellipsis when the binder is not the subject of the elided VP. In one such case, it is important that one of the binders belong to the domain of the other. This case can be derived from the flat-binding analysis as is shown in the paper, while it is unclear how to account for it within other analyses of semantic binding.
This article develops a Gricean account for the computation of scalar implicatures in cases where one scalar term is in the scope of another. It shows that a cross-product of two quantitative scales yields the appropriate scale for many such cases. One exception is cases involving disjunction. For these, I propose an analysis that makes use of a novel, partially ordered quantitative scale for disjunction and capitalizes on the idea that implicatures may have different epistemic status.
The interpretation of traces
(2004)
This paper argues that parts of the lexical content of an A-bar moved phrase must be interpreted in the base position of movement. The argument is based on a study of deletion of a phrase that contains the base position of movement. I show that deletion licensing is sensitive to the content of the moved phrase. In this way, I corroborate and extend conclusions based on Condition C reconstruction by N. Chomsky and D. Fox. My result provides semantic evidence for the existence of traces and gives semantic content to the A/A-bar distinction.
A contrast to a trace
(2001)
For movement, such as quantifier raising, the three different structures illustrated in (1) are discussed in the recent literature.
(1) A girl danced with every boy
a. [every boy]x a girl danced with x (copy + replace)
b. [every boy]x a girl danced with [every boy] (copy)
c. [every boy]x a girl danced with [thex boy] (copy + modify)
In this paper, I'll call the proposal illustrated by (1a) the copy+replace theory since the movement is analyzed as first copying the moving phrase followed by replacing the moving phrase with a trace in the base position of movement. Chomsky (1993) and Fox (1999) argue against the copy+replace theory (1a) on the basis of Condition C data that show that moved material can behave as if it occupied the base position of movement. This behavior would, for example, be expected on the copy theory of movement illustrated by (1b), which also seems conceptually simpler than the copy+replace theory since it involves only copying without replacement. This conceptual advantage, however, is probably only apparent since a theory of the interpretation of structures like (1b) would probably be more complicated than for (1a). Standard assumptions about interpretation, at least, don't predict the right meaning when applied to (1b). For this reason, Chomsky and Fox propose what I'll call the copy+modify-theory illustrated in (1c). This proposes that copying is followed by a trace modification operation that replaces the determiner of the moved DP with something else. I assume that this is an indexed definite determiner, the interpretation of which is to be clarified below.
Why variables?
(1999)
This paper addresses the question of how sentence-internal semantic dependencies are computed? The kind of semantic dependency I am looking at is that between a so called "bound (variable) pronoun" and its binder illustrated in (1), where the dependency is indicated by a connecting line. With all the literature on the topic (see for example Partee 1973, Percus 1998), I assume that this case is the prototype of all semantic dependencies, and therefore any result for this case generalizes to all types of sentence-internal semantic dependencies.
This paper addresses the syntax and semantics plurals, and then applies it to reciprocal expressions. In the course of this investigation, I address two problems for the conventional view that a reciprocal makes essentially the same semantic contribution to the sentence as other noun phrases, but has an interesting internal structure. I will show that both problems are properties of plurality in general, and can be successfully explained along these lines. As a result, the paper is more about plurality in general than reciprocals though the goal of the paper is to account for the two problems relating to reciprocals.
Early features
(1995)
This paper is an overview of the motivations and methodology for doing empirical in situ fieldwork on languages. It suggests specific methods for carrying out fieldwork in a maximally empirical way.
This brief paper discusses the nature of linguistic typology and its relationship to historical linguistics. It argues that typology includes a historical component, and historical linguistics includes a typological component, as grammaticalization studies can be said to be diachronic typology and some concepts such as markedness can be used in understanding the development of morphological systems, but the main foci differ in terms of synchronic vs. diachronic considerations. Typology can be of some help with understanding the direction of change in language, but it cannot be used as a standard for what is possible/impossible when we are doing reconstructions, and typological features cannot be used for establishing genetic relatedness.
This paper discusses the nature of habits in the use of languages. It is well-known that the habits of one's first language can influence the acquisition of a second language. This paper discusses the less well-known phenomenon of how an acquired second language can influence one's first language, and explains this influence by reference to the nature of communicative behavior.
提要 本文通过对信息传达的性质和语言的本质的探讨,来了解语言的发展。Ostension "显 示信息传达意嚣的动作"(以下简称"动作")和inference" 推测/推论"是信息传达过程中的两 个主重要环节。在信息传达的时候,信息传达者总希望信息接受者能又快又准确地对自己所传 达的信息做出"推论/推测因此,信息传达者会尽量地做出最适宜、最不费力、最能帮助对方 进行推论/推测的"动作动作"越具体,对"推论/推测"过程的制约程度就越高。语言在信 息传达过程中的作用只是作为一种制约听话者进行"推论/推测"的工具,因此,语言是因为说 话者要制约听话者的"推论/推测"过程而发展的。不同语言的说话者对不同语义领域进行相 同或不阔的制约,制约程度和手段亦有相同与不同之处。因此,每种语窑有它的独特性,但不 同语言之间也有共岗位。
Im Folgenden soll kurz geklärt werden, was Genus ist (Kap. 2) und – auch wenn diese Frage nicht mit unserem derzeitigen Wissen beantwortbar ist – woher Genus kommen könnte (Kap. 3). Hauptsächlich stellt sich jedoch die Frage: Was tun mit Genus, das heute das Endstadium einer langen Grammatikalisierung darstellt (Kap. 4)? Hier wird die wichtigste Antwort lauten: Genus hat eine neue, eine syntaktische Nutzung erfahren, indem es maßgeblich daran beteiligt ist, unsere berühmten Nominalklammern zu bauen (4.1). Außerdem gibt es weitere "Recyclingmöglichkeiten" von Genus, nämlich: a) Objekte, die Namen tragen, zu klassifizieren (die Kaiser Wilhelm), b) Beziehungen zwischen namentragenden und namenverwendenden Personen zu qualifizieren (der Peterle, das Anna) oder sogar c) Personen zu degradieren (das Merkel). Mit Punkt a) begebe ich mich in die Onomastik, mit Punkt b) in die Dialektologie, und mit Punkt c) werde ich mit der Genderlinguistik enden.
Ich möchte […] drei Beispiele für den produktiven Dialog zwischen Historischer Sprachwissenschaft und Sprachtypologie liefern: 1. Den phonologisch-typologischen Wandel des Deutschen von einer Silben- zu einer Wortsprache, 2. die frühnhd. 'Justierung' der Abfolge grammatischer Kategorien am Verb gemäß der universellen Relevanzskala, und 3. die Entwicklung unseres Höflichkeitssystems am Beispiel der Anredepronomen. Weder liefere ich Neues noch kann ich ins Detail gehen. Es geht hier nur darum, für die gegenseitige Wahrnehmung und Zusammenarbeit linguistischer Disziplinen zu werben.
This work deals with so-called wh-determination. The notion of D-linking (Discourse-linking) is used to uncover and explain properties of constructions involving wh-determiners. The central claim is that there are two types of wh-determination: Token-whs and Kind-whs. These two forms of wh-determination trigger different syntactic effects. Three structural triggers for the syntactic effects exhibited by D-linked wh-phrases (DWH) are discussed. DWH are argued to be instances of Token-whs since triggers for the syntactic effects of D-linking are identical to the once for the token-reading of a wh-phrase.
In chapter 2, which-phrases are shown to be canonical DWH with a special syntax labelled DL-S(yntax). The five most prominent and frequent DL-S effects are the absence of superiority-effects with DWH, the ability of DWH to be extracted out of weak islands, the fact that DWH licence resumptive elements, the obviation of WCO effects by DWH, and the possibility for DWH to stay in-situ. The syntax of Token-whs and Kind-whs are compared. It is demonstrated that regardless of the actual form of the wh-determiner, there are only these two types of wh-determination. These data support the idea that the DL-S effects observable with DWH are triggered by structural properties of the wh-determiners heading DWH.
In chapter 3, it is demonstrated that although presuppositions projected by the Nominal Restrictor are important for triggering DL-I(nterpretation), they do not directly influence DL-S. The ambiguity of Amount-whs is also examined and the conclusion reached is that there are two #P projections: A NumP and a CardP. The dissertation proceeds with the structurally represented notions of definiteness and specificity and examines how these can help capturing the wh-determiner typology proposed. The idea that D-linking can be explained by recourse to topicality is discussed in detail. Empirical evidence is provided for the existence of wh-topics in general and for the claim that many DWH can be construed as wh-topics.
In chapter 4, the general pattern on which wh-pronouns are built are examined, and it is argued that the results bear directly on the topic of this thesis since wh-determiners are universally derived from pronouns. Wh-pronouns are diachronically built out of an element indicating the function of the proform (wh-morpheme), and an element denoting the range of the proform (Range Restrictor). Among other things, it is argued that the wh-morpheme does not mark interrogativity, leading to the adoption of a version of Q-theory. It is also briefly discussed whether the results are compatible with the hypothesis that wh-determiner phrases are Small Clauses. One claim is that all wh-pronouns are fossilized interrogative sentences, lending further support to the parallelism between sentential and nominal structures. It is then argued that Morphological Restrictors can be subdivided into Formal Features and Functional Nouns (and that elements which can become Functional Nouns are taken from the pool of Basic Ontological Categories). The question answered is how these elements synchronically contribute to the meaning of the wh-determiners. After examining the role of the Nominal Restrictor to the syntax of wh-determiners, the thesis continues investigating how Nominal Restrictor are related to Functional Nouns. Finally, the discussion expands to the structural correlates for DL-S effects. It is demonstrated how the results can formally be applied to wh-split constructions in order to explain differences between empty categories. Then, the results of the section on partitivity support the idea that the occurrences of most of the DL-S effects seem to strongly depend on the presence of a second nominal constituent in the structure of wh-phrases. This second nominal can be either a Functional Noun inside the wh-item used as wh-pronoun or an overt second noun as in wh-partitive phrases.
The contribution of this thesis to linguistic theorizing is not a full-fledged technical analysis of every single DL-S effect, but rather the systemisation proposed. Although a lot of terminology is introduced, the outcome of this proliferation of terms is a sharper picture of the intricate relations between the constituents of the wh-items used as wh-determiners and the Nominal Restrictor. Another main conclusion is that the concept of D-linking is not a basic notion. It is comprised of four components (of which DL-Syntax and Morphological-DL have been scrutinized in this thesis). This assumption explains why DWH do not constitute a homogeneous class. The gradual character of D-linking (i.e. the fact that certain wh-determiner constructions show only a subset of DL-S effects even if they are headed by what could faithfully be classified as a/the Token-wh determiner of the respective language) is argued to be related to the fact that the Token-reading itself can have several triggers.
"Je suis Charlie" was used over 619.000 times in the two days that have followed the attack of the editorial team of Charlie Hebdo (Le Progrès, The Huffington Post) and has regularly been taken up in both written and spoken form since. In this paper, we argue that the structure of this sentence actually clashes with its meaning. More specifically, whereas its word order and default rightmost sentence stress are compatible either with an all-focus reading or a narrow focusing of Charlie, the context of use of this sentence as well as the solidarity/empathy message it intends to communicate suggest that its subject is narrowly focused. We will propose that two strategies have emerged to solve this conflict: (i) various alternative forms have appeared that allow proper subject focusing and (ii) speakers have reinterpreted the structure so as to pragmatically retrieve the (additive) focused nature of the subject.
The papers collected in this volume have very diverse topics – such as prosodic peculiarities (Meinunger and Hamlaoui & Roussarie), morphological items (McFadden and Steriopolo), or phenomena concerning syntax and its interfaces, such as syntax-morphology (Kamali), syntax-parsing (Winkler), or syntax-pragmatics (Bittner & Dery). The languages considered range from quite prominent German and French via Turkish to very exotic Nuuchahnulth or no longer spoken Old and Middle English. However, all contributions center around structural phenomena and provide analyses in terms of grammatical theory.
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.
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.
Im vorliegenden Aufsatz werden vor dem Hintergrund der bisherigen germanistischen und bohemistischen Phraseologieforschung und in Anlehnung an die Herangehensweise von PIIRAINEN (2001) bzw. DOBROVOĽSKIJ/PIIRAINEN (2009) einige Phraseme benannt, die eine Art verstärktes Potenzial für eine geschlechtsbedingte Restriktion aufweisen. Die Überlegungen zu der Auswahl dieser Phraseme, ihrer phraseographischen Verarbeitung, der Ermittlung erforderlicher Angaben zur Geschlechtsmarkierung und einem eventuellen interlingualen phraseologischen Vergleich werden an verbalen Phrasemen mit Substantivkomponenten aus dem semantischen Bereich der Somatismen illustriert.
Die bisherige mangelhafte Berücksichtigung der substantivierten Infinitive in zweisprachigen Wörterbüchern Deutsch-Tschechisch kontrastiert mit deren oft hoher Vorkommenshäufigkeit sowie mit den Anforderungen, die an moderne Übersetzungswörterbücher seitens ihrer Benutzer gestellt werden, u. a. auch im Bereich der Darstellung der Kollokabilität und Erfassung der Synonymie bzw. Wortbildungskonkurrenz. Die Aufnahme und Darstellung der Infinitivkonvertate im entstehenden Großen Akademischen Wörterbuch Deutsch-Tschechisch wird in diesem Beitrag aus einer Corpus-Driven-Position behandelt.
Zum Informationsangebot deutscher Aussprachewörterbücher für tschechische Germanistikstudierende
(2013)
Aussprachewörterbücher stellen für nichtmuttersprachliche Germanistikstudierende nach wie vor eine der wichtigsten Informationsquellen über die gesprochene Form der deutschen Gegenwartssprache dar. Beim Vergleich der gängigen Aussprachewörterbücher des Deutschen kann man jedoch gravierende Unterschiede feststellen, die einen Nichtmuttersprachler leicht zu desorientieren (wenn nicht gerade zu verwirren) vermögen. Im Beitrag werden die zwei gebräuchlichsten Aussprachewörterbücher der deutschen Sprache (DUDEN Das Aussprachewörterbuch und De Gruyter Deutsches Aussprachewörterbuch) im Hinblick auf das darin enthaltene Informationsangebot für tschechische Germanistikstudierende verglichen. In den Vordergrund tritt somit die Darstellung der für tschechische Deutschstudierende problematischen phonetischen Erscheinungen. Des Weiteren wird folgenden Aspekten Aufmerksamkeit geschenkt: konzeptionelle Ausgangspunkte, Umfang und Stichwörterauswahl, theoretische Beschreibung des phonetisch-phonologischen Systems des Deutschen sowie der deutschen Standardlautung, Aktualitätsbezug, Beschreibung von regionalen Varietäten, Berücksichtigung der Phonostilistik usw.
Dieser Beitrag basiert auf dem Forschungsprojekt DICONALE, das sich die Erstellung eines konzeptuell orientierten, zweisprachigen Wörterbuchs mit Online-Zugang für Verballexeme des Deutschen und Spanischen zum Ziel gesetzt hat. Das Anliegen dieses Beitrags ist es, die relevantesten Eigenschaften des geplanten Wörterbuchs exemplarisch anhand von zwei Verblexemen aus dem konzeptuellen Feld der KOGNITION vorzustellen. Neben der Beschreibung der paradigmatischen Sinnrelationen der Feldelemente zueinander wird besonderer Wert auf die syntagmatischen Inhalts- und Ausdrucksstrukturen und auf die kontrastive Analyse gelegt. Es wird versucht, einerseits einen Überblick über die wichtigsten Besonderheiten des Wörterbuchs anzubieten und andererseits die Relevanz solcher Kriterien für die heutige kontrastive Lexikographie Deutsch-Spanisch nachzuweisen.
Rezension zu Zengin, Dursun: Türk Toplumunda Adlar ve Soyadları. Sosyo-Kültürel ve Dilbilimsel Bir Yaklaşım, Kurmay Yayınları, 2014
D. Seleskovitch ve M. Lederer'in birlikte geliştirmiş oldukları Yorumlayıcı Çeviri (Anlam) Kuramı, çevirmeni merkeze koyan bir yaklaşım gösterir. Çeviriye ilişkin kuramsallaşmanın tarihine bakılırsa; önceki yüzyıllardan günümüze değin çevirmenin rolünü öne çıkaran görüş ve düşüncelere rastlanmaktadır. 90'lı yıllardan sonra belirginleşen bilişsel yaklaşımlar, alana yeni kazanımlar sağlamış, çeviribilim araştırmalarının uygulama alanına yansıyarak kültürlerarası veya dillerarası aktarımın başat aktörü olarak 'çevirmen'in bilişsel bakımdan yeniden değerlendirilmesine zemin hazırlamıştır. Bilişsel odaklı bir görünüm sergileyen çevirmen merkezli yaklaşımlar, çevirinin başarısının çevirmene bağlı olduğu görüşünden hareketle çevirmenin çeviri eylemi sırasında zihninde olup bitenlerin, bilişsel süreçlerinin işleyişinin ve dili kullanma mekanizmasının açıklığa kavuşturulmasını öngörür.
Bu çalışmanın amacı, Yorumlayıcı Çeviri Kuramı doğrultusunda 'anlama'nın koşulları olarak öne çıkan saptamaları ortaya koyarak çevirmenin sahip olması gereken özniteliklere ilişkin izdüşümleri serimlemektir. Bu amaç doğrultusunda, anlamın kavranması sürecinde çevirmenin zihinsel süreçlerinin nasıl işlediği, çevirmenin bu süreçleri nasıl yönettiği betimlenmeye ve söylem çözümlemesine dayanan Yorumlayıcı Çeviri Kuramı ve Yorumlayıcı Çeviri Yöntemi'nde yer alan düşünsel veriler görünür kılınmaya çalışılacaktır.
Türkiye'de Akademik Açık Erişim Dergi Yayıncılığı ve Çeviribilim Alanındaki Açık Erişim Dergiler
(2014)
Bu çalışmada Türkiye'nin akademik açık erişim dergi yayıncılığında geldiği noktayı ortaya koymak, 70'li yıllardan itibaren dilbilim ve filolojiden ayrılarak kendi bilimsel çerçevesini çizen ve kendi bilimsel iletişim sistemini oluşturan Çeviribilim alanının, bilimsel iletişim sisteminin en önemli araçlarından biri olan akademik açık erişim dergicilik konusunda aldığı mesafeyi görmek, bu konuda mevcut eksiklikleri tespit etmek ve bunlara çözüm önerilerinde bulunmak amaçlanmaktadır. Bu amaçla ulusal ve uluslararası açık erişim veritabanları incelenerek elde edilen bilgiler değerlendirilmeye çalışıldı. Çalışmanın birinci aşamasında Türkiye'nin akademik açık erişim dergicilik konusundaki mevcut durumu değerlendirilirken ikinci aşamada Çeviribilim alanının durumu ele alındı. Son aşamada ise elde edilen verilerden anlamlı sonuçlar çıkarılarak genel bir değerlendirme yapıldı ve çeşitli öneriler sunuldu.
Çeviri yaparken her iki dile, kültüre yeterince hâkim olmamak bir dizi çeviri hatalarına yol açabilir. Bu noktada kaynak ve erek dilde yeterli kelime hazinesine sahip olmanın yanı sıra kelimelerin kullanım alanlarını, kurallarını, edim bilimsel etkilerini, sözdizimsel kuralları vs. de iyi bilmek gerekir. Humboldt ve Saussure'ün dil hakkındaki düşüncelerinden etkilenen Trier'in ortaya attığı sözlüksel alan teorisinin metin anlama ve anlatma edinci kapsamında etkilerinin neler olabileceği ve çeviribilimin sözlüksel alan teorisinden nasıl yararlanabileceği konusu irdelenmeye çalışılacaktır.
Trier'e (1973:5) göre bir sözcüğün anlaşılabilmesi için, sözlüksel alanın tamamının bilinmesi gerekir ve ancak sözlüksel alana hâkim isek o sözcüğü doğru anlayabiliriz. Anlam sadece ve sadece sözlüksel alan sayesinde vardır. Sözlüksel alan yoksa anlam da yoktur. Anlatılmak istenen düşünceye veya olguya dair bir kelimenin belli bir dilde bulunmaması bu düşüncenin veya olgunun o dilde olmadığı anlamına gelmez. Hayata dair genel kültür bilgimize ve tecrübelerimize dayanarak bu yeni kavramı anlayabiliriz.
Textkompetenz in mehreren Sprachen : Forschungsergebnisse und weiterführende Forschungsansätze
(2014)
The article presents results of an empirical study which examines productive transfer in the area of text skills competence and the associated writing skill which could be attributed to the learners' contact with several languages. The research was conducted within the research project "Multilingualism in the Czech Republik: Learning and Teaching German after English." After a short presentation of the key concepts in the development of the study and a presentation of selected results, implications and a modell for further research in multilingual writing and on transfer processes between languages are introduced.
"Jelen přeplotil skok" : kontrastiver Vergleich von Wortspielen und idiomatischen Wortverbindungen
(2014)
The article presents some of the outcomes of the contrastive comparison of the Czech original text and its German translation. It tries to show some hidden implications as well as many other peculiarities of wordplay and idiomatic phrases that a reader of the translated text may be deprived of.
O objetivo principal deste artigo é apresentar uma visão geral dos resultados obtidos em uma pesquisa empírica envolvendo aprendizes adultos de alemão como língua estrangeira com conhecimentos prévios de inglês. O foco deste artigo recai sobre os processos envolvidos no ensino/aprendizagem de terceiras línguas, levando-se em consideração que a língua alemã é comumente aprendida como uma segunda língua estrangeira após o inglês. Os principais questionamentos da pesquisa estão baseados em processos de transferência positiva, bem como na interferência linguística observada em um grupo de 50 aprendizes de alemão dos níveis A1 a B1 do Quadro Europeu Comum de Referência para as Línguas. Ao que concerne a relação entre as línguas alemã e inglesa, a afirmação de que o inglês exerce um papel importante na aprendizagem de alemão pôde ser confirmada, sendo o parentesco etimológico entre as duas línguas um dos mais importantes fatores para se determinar a ocorrência de influência interlinguística. Por outro lado, a interferência linguística resultante da coexistência de ambas as línguas demanda o desenvolvimento de uma didática do plurilinguismo que compreenda métodos alternativos para o ensino/aprendizagem de alemão como segunda língua estrangeira no Brasil.
Introduction
(2014)
Bantu languages have been at the heart of the research on the interaction between syntax, prosody and information structure. In these predominantly SVO languages, considerable attention has been devoted to postverbal phenomena. By addressing issues related to Subjects, Topics and Object-Verb word orders, the goal of the present papers is to deepen our understanding of the interaction of different grammatical components (syntax, phonology, semantics/pragmatics) both in individual languages and across the Bantu family. Each paper makes a valuable contribution to ongoing discussions on the preverbal domain.
The papers in this volume take up some aspects of the preverbal domain(s) in Bantu languages. They were originally presented at the Workshop BantuSynPhonIS: Preverbal Domain(s), held at the Center for General Linguistics (ZAS), in Berlin, on 14-15 November 2014. This workshop was coorganized by ZAS (Fatima Hamlaoui & Tonjes Veenstra) and the Humboldt University (Tom Güldemann, Yukiko Morimoto and Ines Fiedler).
The article focuses on the current state of research in simultaneous interpreting (SI), comparing cognitive pragmatic models with cognitive linguistic approaches. The author offers an objective list of the advantages and disadvantages of the cognitive linguistic approach and other models currently used in SI. The aim of the article is not to present a one-sidedly positive assessment of the cognitive linguistic approach, but instead to arrive at a balanced evaluation of the individual approaches and the possibilities offered by the models under investigation. The author also points out further approaches that could be characterized as covertly cognitive.
The 'Russian language proficiency test for multilingual children' is a linguistically and psycholinguistically-grounded test for L1-Russian bilingual children of pre-school and elementary school age. It allows the evaluation of language proficiency in Russian for scientific, therapeutic, and pedagogical purposes. The test is based on preliminary norms: data of 167 German-Russian bilingual children between the ages of 3 years and 6 years 11 months were evaluated.
Bilingual children's proficiency is examined in the following language domains:
- productive and receptive lexicon for verbs and nouns
- production of morphological marking on verbs (first and second-person singular present verbal inflection) and nouns (accusative and dative case singular)
- comprehension of grammatical constructions on the sentence level
The test should be administered by a competent – ideally native – speaker of Russian, and takes approximately 60 minutes to administer.
In addition to the test itself, the 'Russian language proficiency test for multilingual children' contains a questionnaire for gathering detailed information on the input situation as well as the child's previous linguistic and extra-linguistic development. The questionnaire is written in English and Russian and is intended to be filled out by the parents.
'Sprachstandstest Russisch für mehrsprachige Kinder' ist ein linguistisch und psycholinguistisch fundiertes Sprachstandsscreening für bilingual russisch-deutsche Kinder im Vorschul- und Frühschulalter. Es ermöglicht die Einschätzung des Sprachstands im Russischen, auf der Basis vorläufiger Normen, zu wissenschaftlichen, therapeutischen und pädagogischen Zwecken.
Der Test sollte von kompetenten, im Idealfall muttersprachlichen Sprechern des Russischen durchgeführt werden. Die Durchführungsdauer beträgt ca. 60 Minuten.
'Sprachstandstest Russisch' überprüft die Fähigkeiten bilingualer Kinder im Russischen in folgenden Bereichen:
- produktives und rezeptives Lexikon für Verben und Nomen
- Produktion morphologischer Markierungen an Verben (Verbflexion 1. und 2. Person Singular Präsens) und Nomen (Kasus Akkusativ und Dativ Singular)
- Verständnis grammatischer Strukturen auf Satzebene
Zur Interpretation der Testergebnisse werden vorläufige bilinguale Normdaten zur Verfügung gestellt. Sie basieren auf einer Stichprobe von insgesamt 167 deutsch-russisch aufwachsenden Kindern von drei bis sechs Jahren.
Zusätzlich zum Test zur Feststellung der sprachlichen Kompetenzen enthält 'Sprachstandstest Russisch' einen Fragebogen, der die detaillierte Inputsituation sowie die bisherige sprachliche und nichtsprachliche Entwicklung des Kindes erfasst. Der Fragebogen ist russisch-deutsch verfasst und wird von den Eltern durch Ankreuzen ausgefüllt.
Papers on pragmasemantics
(2009)
Optimality theory as used in linguistics (Prince & Smolensky, 1993/2004; Smolensky & Legendre, 2006) and cognitive psychology (Gigerenzer & Selten, 2001) is a theoretical framework that aims to integrate constraint based knowledge representation systems, generative grammar, cognitive skills, and aspects of neural network processing. In the last years considerable progress was made to overcome the artificial separation between the disciplines of linguistic on the one hand which are mainly concerned with the description of natural language competences and the psychological disciplines on the other hand which are interested in real language performance.
The semantics and pragmatics of natural language is a research topic that is asking for an integration of philosophical, linguistic, psycholinguistic aspects, including its neural underpinning. Especially recent work on experimental pragmatics (e.g. Noveck & Sperber, 2005; Garrett & Harnish, 2007) has shown that real progress in the area of pragmatics isn’t possible without using data from all available domains including data from language acquisition and actual language generation and comprehension performance. It is a conceivable research programme to use the optimality theoretic framework in order to realize the integration.
Game theoretic pragmatics is a relatively young development in pragmatics. The idea to view communication as a strategic interaction between speaker and hearer is not new. It is already present in Grice' (1975) classical paper on conversational implicatures. What game theory offers is a mathematical framework in which strategic interaction can be precisely described. It is a leading paradigm in economics as witnessed by a series of Nobel prizes in the field. It is also of growing importance to other disciplines of the social sciences. In linguistics, its main applications have been so far pragmatics and theoretical typology. For pragmatics, game theory promises a firm foundation, and a rigor which hopefully will allow studying pragmatic phenomena with the same precision as that achieved in formal semantics.
The development of game theoretic pragmatics is closely connected to the development of bidirectional optimality theory (Blutner, 2000). It can be easily seen that the game theoretic notion of a Nash equilibrium and the optimality theoretic notion of a strongly optimal form-meaning pair are closely related to each other. The main impulse that bidirectional optimality theory gave to research on game theoretic pragmatics stemmed from serious empirical problems that resulted from interpreting the principle of weak optimality as a synchronic interpretation principle.
In this volume, we have collected papers that are concerned with several aspects of game and optimality theoretic approaches to pragmatics.
Die vorliegende Arbeit widmet sich der phonetischen Motivation phonologischer Palatalisierungsprozesse, bei welchen Vorderzungenvokoide die Palatalisierung (bzw. Affrizierung) vorangehender Plosive bewirken. Durch akustische Analysen zu deutschen und bulgarischen stimmlosen alveolaren und velaren Verschlußlauten wird der Einfluß nachfolgender vorderer Vokoide und des tiefen Vokals /a/ auf die geräuschähnliche Phase nach der plosiven Verschlußlösung der Konsonanten untersucht. Zum Zwecke der Überprüfung einer nach universellen phonologischen Prinzipien formulierten Hierarchie der wahrscheinlichen Inputkandidaten für Palatalisierungen werden akustische Messungen zur Zeitdauer und zu den spektralen Eigenschaften des konsonantischen Segments in wortinitialen Konsonant-Vokoid-Sequenzen vorgestellt. Die Ergebnisse der Studie unterstützen nur teilweise die vorgeschlagene Hierarchiehypothese und zeigen, daß sprachspezifische Besonderheiten einen Einfluß auf die Anordnung der Elemente der Hierarchie ausüben.
Low- dimensional and speaker-independent linear vocal tract parametrizations can be obtained using the 3-mode PARAFAC factor analysis procedure first introduced by Harshman et al. (1977) and discussed in a series of subsequent papers in the Journal of the Acoustical Society of America (Jackson (1988), Nix et al. (1996), Hoole (1999), Zheng et al. (2003)). Nevertheless, some questions of importance have been left unanswered, e.g. none of the papers using this method has provided a consistent interpretation of the terms usually referred to as "speaker weights". This study attempts an exploration of what influences their reliability as a first step towards their consistent interpretation. With this in mind, we undertook a systematic comparison of the classical PARAFAC1 algorithm with a relaxed version, of it, PARAFAC2. This comparison was carried out on two different corpora acquired by the articulograph, which varied in vowel qualities, consonantal contexts, and the paralinguistic features accent and speech rate. The difference between these statistical approaches can grossly be described as follows: In PARAFAC1, observation units pertain to the same set of variables and the observation units are comparable. In PARAFAC2, observations pertain to the same set of variables, but observation units are not comparable. Such a situation can be easily conceived in a situation such as we are describing: The operationalization we took relies on the comparability of fleshpoint data acquired from different speakers, which need not be a good assumption due to influences like sensor placement and morphological conditions.
In particular, the comparison between the two different approaches is carried out by means of so-called "leverages" on different component matrices originating in regression analysis, calculated as v = diag(A(A A)−1A ) and delivering information on how "influential" a particular loading matrix is for the model. This analysis could potentially be carried out component by component, but we confined ourselves to effects on the global factor structure. For vowels, the most influential loadings are those for the tense cognates of non-palatal vowels. For speakers, the most prominent result is the relative absence of effects of the paralinguistic variables. Results generally indicate that there is quite little influence of the model specification (i.e. PARAFAC1 or PARAFAC2) on vowel and subject components. The patterns for the articulators indicate that there are strong differences between speakers with respect to the most influential measurement as revealed by PARAFAC2: In particular, the most influential y-contribution is the tongue-back for some talkers and the tongue-dorsum for other speakers. With respect to the speaker weights, again, the leverage patterns are very similar for both PARAFAC-versions. These patterns converge with the results of the loading plots, where the articulator profiles seem to be most altered by the use of PARAFAC2. These findings, in general, are interpreted as evidence for the reliability of the PARAFAC1 speaker weights.
This dissertation provides an analysis of Finnish prosody, with a focus on the sentence or phrase level. The thesis analyses Finnish as a phrase language. Thus, it accounts for prosodic variation through prosodic phrasing and explains intonational differences in terms of phrase tones.
Finnish intonation has traditionally been described in terms of accents associated with stressed syllables, i.e. similarly as prototypical intonation languages like English or German. However, accents are usually described as uniform instead of forming an inventory of contrasting accent types. The present thesis confirms the uniformity of Finnish tonal contours and explains it as based on realisations of tones associated with prosodic phrases instead of accents. Two levels of phrasing are discussed: Prosodic phrases (p-phrases) and intonational phrases (i-phrases). Most prominently, the p-phrase is marked by a high tone associated with its beginning and a low tone associated with its end; realisations of these tones form the rise-fall contours traditionally analysed as accents. The i-phrase is associated with a final tone that is either low or high and additionally marked by voice quality and final lengthening. While the tonal specifications of these phrases are thus predominantly invariant, variation arises from different distributions of phrases.
This analysis is based on three studies, two production experiments and one perception study. The first production study investigated systematic variation in information structure, first syllable vowel quantity and the target word's position in the sentence, while the second production experiment induced variation in information structure, first and second syllable type and number of syllables. In addition to fundamental frequency, the materials were analysed regarding duration, the occurrence of pauses and voice quality. The perception study investigated the interpretation of compound/noun phrase minimal pairs with manipulated fundamental frequency contours using a two-alternative forced-choice picture selection task. Additionally, a pilot perception study on variation in peak height and timing supported the assumption of uniform tonal contours.
Statistical machine translation (SMT) should benefit from linguistic information to improve performance but current state-of-the-art models rely purely on data-driven models. There are several reasons why prior efforts to build linguistically annotated models have failed or not even been attempted. Firstly, the practical implementation often requires too much work to be cost effective. Where ad-hoc implementations have been created, they impose too strict constraints to be of general use. Lastly, many linguistically-motivated approaches are language dependent, tackling peculiarities in certain languages that do not apply to other languages. This thesis successfully integrates linguistic information about part-of-speech tags, lemmas and phrase structure to improve MT quality. The major contributions of this thesis are: 1. We enhance the phrase-based model to incorporate linguistic information as additional factors in the word representation. The factored phrase-based model allows us to make use of different types of linguistic information in a systematic way within the predefined framework. We show how this model improves translation by as much as 0.9 BLEU for small German-English training corpora, and 0.2 BLEU for larger corpora. 2. We extend the factored model to the factored template model to focus on improving reordering. We show that by generalising translation with part-of-speech tags, we can improve performance by as much as 1.1 BLEU on a small French- English system. 3. Finally, we switch from the phrase-based model to a syntax-based model with the mixed syntax model. This allows us to transition from the word-level approaches using factors to multiword linguistic information such as syntactic labels and shallow tags. The mixed syntax model uses source language syntactic information to inform translation. We show that the model is able to explain translation better, leading to a 0.8 BLEU improvement over the baseline hierarchical phrase-based model for a small German-English task. Also, the model requires only labels on continuous source spans, it is not dependent on a tree structure, therefore, other types of syntactic information can be integrated into the model. We experimented with a shallow parser and see a gain of 0.5 BLEU for the same dataset. Training with more training data, we improve translation by 0.6 BLEU (1.3 BLEU out-of-domain) over the hierarchical baseline. During the development of these three models, we discover that attempting to rigidly model translation as linguistic transfer process results in degraded performance. However, by combining the advantages of standard SMT models with linguistically-motivated models, we are able to achieve better translation performance. Our work shows the importance of balancing the specificity of linguistic information with the robustness of simpler models.
In literary translation 'correctness' is rarely ratified by linguistic rules; it is more often a question of what a sensitive translator feels to be correct. Intuition will therefore play a major part. This intuition is seen here neither as instinctive reaction prompted by experience, nor as native competence, but as an inquiring, self-moderating influence inspired by the language itself. It is treated in this respect as an informed intuition, that is, as having a linguistic base for sensitive judgement. This assumes that the literary translator is both a creative writer and his own critical reader as well as a fine judge of language potential. This line is applied to translating meaning and sense, transferring the very language, imitating the form and style, re-creating the features, and above all, to capturing those unique qualities of the original. After dealing with word-accuracy, the question of literary input demanded by form and style is examined. The treatment of language used for effect features in a section on Kafka. The merits and the problems of translating dialect as dialect for its own sake are looked at closely and in a positive way as are the possibilities of reproducing 'oddities' of language. The immense task of translating the language of Joyce ('Ulysses ') with all its vagaries and skilful manipulation of words is examined for the possibility of providing an accurate copy. The ultimate test of reproducing a uniqueness of artistic creation together with the profound thought which inspired it, is reserved for a section on Hopkins. While it is recognized that, owing to the constrictions imposed by the extreme and sensitive use of language, no translation can fully include all that there is in his poems, it might be possible to capture enough of their essence to give an impression of a 'German' Hopkins at work. A major objective throughout is the establishment of a linguistic base for the part played by intuition in literary translation.
Çeviri yaparken her iki dile, kültüre yeterince hâkim olmamak bir dizi çeviri hatalarına yol açabilir. Bu noktada kaynak ve erek dilde yeterli kelime hazinesine sahip olmanın yanı sıra kelimelerin kullanım alanlarını, kurallarını, edim bilimsel etkilerini, sözdizimsel kuralları vs. de iyi bilmek gerekir. Humboldt ve Saussure’ün dil hakkındaki düşüncelerinden etkilenen Trier’in ortaya attığı sözlüksel alan teorisinin metin anlama ve anlatma edinci kapsamında etkilerinin neler olabileceği ve çeviribilimin sözlüksel alan teorisinden nasıl yararlanabileceği konusu irdelenmeye çalışılacaktır. Trier’e (1973:5) göre bir sözcüğün anlaşılabilmesi için, sözlüksel alanın tamamının bilinmesi
gerekir ve ancak sözlüksel alana hâkim isek o sözcüğü doğru anlayabiliriz. Anlam sadece ve sadece sözlüksel alan sayesinde vardır. Sözlüksel alan yoksa anlam da yoktur. Anlatılmak istenen düşünceye veya olguya dair bir kelimenin belli bir dilde bulunmaması bu düşüncenin veya olgunun o dilde olmadığı anlamına gelmez. Hayata dair genel kültür bilgimize ve tecrübelerimize dayanarak bu yeni kavramı
anlayabiliriz.
‘Çeviribilim’ olarak adlandırılan araştırma alanında geride bırakılan son birkaç on yıla bakıldığında bilim ve kültürde yaşanan kimi olay ve gelişmelerin Almanya ve Avrupa merkezli ‘çeviri’ araştırmalarına yön verdiği söylenebilir. Bilişim konusundaki gelişmeler, eylem kuramının ve iletişimbilimin dönüşümü, işlevselciliğin yeniden yorumlanması; edimbilimin evrimi, bilişsel felsefedeki yeni gelişmeler, yeni bakış açılarını ortaya çıkarmıştır. Bu bakış açılarının birer sonucu olarak ‘çeviribilim’ olarak adlandırılan çeviri odaklı düşünmelerde yeni ağırlık noktaları ve buradan hareketle ‘kuram’ ya da ‘yaklaşım’ biçiminde ifade edilen çalışmalar oluşmuştur. Kuramcıların belli olgulara bakış açıları onların nesneye yaklaşım biçimlerini ve algılarını etkiler. Çeviri olgusuna dönük savlar ortaya koyan kuramcılara bakıldığında ‘olgular bütünü’ ya da ‘karmaşık olgu’ olarak değerlendirilebilecek bir olguya dair farklı yaklaşım ve tutum alışlardan söz edilmektedir. Bu noktada, karmaşık bir dünyayı temsil eden çok boyutlu bir olgu olarak ‘çeviri’nin kendine özgü niteliği, 90’lı yıllardan başlayarak günümüze kadar gelen süreçte, ‘çeviribilimin’ psikoloji alanı ile ilişkilendirilmesi sonucunu beraberinde getirmiştir. Bu çerçevede araştırmaların ilgisi, ‘çeviri gerçekliği’nde merkeze oturtulan ‘çevirmen’e yönelmiş, ‘çevirmen’in bir ürün olarak ‘çeviri’yi hangi tutum ve ruhsal duruma dayanarak ortaya koyduğuna ilişkin araştırma yönelimi önem kazanmıştır. “Belli koşullar altında bir çevirmeni belli bir çeviri çıktısına, diğer bir deyişle belli bir çeviri metne götüren olay örgüsü nedir?” ya da “çeviri sırasında hangi zihinsel işlemler gerçekleşiyor?” gibi sorulardan hareket eden yaklaşımların bir üst bakışla ele alınması bu çalışmanın ana konusunu oluşturmaktadır.
The present study is about note taking techniques in consecutive translation and their application. In the beginning we analyzed in the relevant literature, consecutive interpretation among translation techniques, note taking, and the function and features of note taking in consecutive translation. Afterwards, we presented the problems that an interpreter might face in consecutive interpretation with concrete examples and provided possible methods and techniques to overcome these. Hereby, we emphasized that note taking techniques are an important feature to remember while translating and its function as a memory supporting tool. In the last section we discussed the roles of a consecutive interpreter and emphasized within this context the usage of the earlier mentioned note taking techniques (use of acronyms, signs, and symbols). Moreover we highlighted that each interpreter has to have his/her own techniques and improve these continuously.
Several phenomena associated with the differences in the performance of novice interpreters and semi-professionals have been discussed in the paper. Particular emphasis was placed on the occurrence of imported cognitive load which strongly influenced the performance of the subjects also in places where no intrinsic difficulty had been detected. Nevertheless, too little evidence was provided to establish a more detailed pattern of imported cognitive load, which was due to the limited number of participants in the study. It would be possible to obtain more detailed data and comments from the participants by means of interviews conducted individually with the participants. It would allow asking detailed questions to the participants, which might be a more reliable method than the immediate retrospective accounts. Moreover, in the present study such variables as gender differences, age differences and the possible influence of other foreign languages were not taken into account. Perhaps these variables might shed some light on the issue of the management of cognitive resources. Also, the corpus gathered for the present study may be used for the investigation of other aspects of the SI performance.
Translation is a very broad, complex and multi-faceted phenomenon, encompassing much more factors than it seems at first glance. It is not just copying the words from the original work while changing the language, but it consists of a careful selection of appropriate phrases and expressions, combining them together in a skillful way while taking into consideration numerous aspects, one of them being the text type. The purpose of this article is, therefore, to present various text typologies and text types, specify their implications for translators and determine the role of the correct recognition of text type in producing a successful translation. This will be done on the assumption that a text type is one of the basic factors that allow the translator to recognise the function and purpose of the text as well as the author's intention. Thus, depending on the nature of these, the translator will inevitably resort to different techniques and strategies in order to successfully render the source text. Therefore, identifying the text type also helps the translator to select the appropriate translation strategy.
Ausgehend von der Ansicht, dass Wörterbücher als kulturelle Gebrauchsgegenstände, als Werkzeuge aufzufassen sind, widmet sich der Beitrag ausgewählten Fragestellungen der phraseologischen Lernerlexikographie. Anhand von Überlegungen über die Benutzer- (gruppen), Benutzersituationen und Benutzerbedürfnisse wird auf die Frage eingegangen, warum die Praxis des Fremdsprachenerwerbs solche Wörterbücher braucht und was deren Autoren beherzigen sollten. Am Beispiel von Idiomen aus dem semantischen Feld ÄRGER werden Probleme der Auswahl sowie Möglichkeiten korpusbasierter Beschreibung von Phraseologismen angesprochen. Abgerundet wird der Beitrag durch eine Bildgeschichte, die ein typisches ärgerbezogenes Handlungsszenario reflektiert und sich somit zu einer lernfördernden Präsentation von Phraseologismen aus diesem semantischen Feld eignet.
Der Aufsatz analysiert die 1867 herausgegebene Schrift "Austria Polyglotta" von Jan Evangelista Purkyně. Der aus Böhmen stammende Gelehrte beschäftigt sich anhand wissenschaftlich gesammelter Daten und mit Hilfe wissenschaftlicher Methodik mit der heute aktuellen Frage, wie das "Miteinander-Leben" in einer multilingualen Gesellschaft gestaltet werden kann, so dass sie durch den Druck der schon etablierten Sprach-Nationalismen nicht auseinanderbricht. Dabei verliert er aber auch das andere damit zusammenhängende Problem nicht aus den Augen: Wie wird dabei gegen die Nivellierung bzw. den Verlust von "nationalen Besonderheiten" gesteuert. Wie wird also eine nationale Identität in einem übergeordneten multikulturellen politischen Gebilde gewahrt? Der zentrale Schlüsselbegriff der Studie, wie schon der Titel verrät, ist die Sprachenproblematik und die damit verbundenen Fragen des Spracherwerbs. Die aus eigener Erfahrung resultierenden Ansichten Purkyněs können gerade heute anregend wirken.
Approaching the grammar of adjuncts : proceedings of the Oslo conference, September 22 - 25, 1999
(2000)
Issues on topics
(2000)
The present volume contains papers that bear mainly on issues concerning the topic concept. This concept is of course very broad and diverse. Also, different views are expressed in this volume. Some authors concentrate on the status of topics and non-topics in so-called topic prominent languages (i.e. Chinese), others focus on the syntactic behavior of topical constituents in specific European languages (German, Greek, Romance languages). The last contribution tries to bring together the concept of discourse topic (a non-syntactic notion) and the concept of sentence topic, i.e. that type of topic that all the preceding papers are concerned with.
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.
The 'de-allative'-pattern (Heine/ Kuteva 2008: 103) gives rise to the French grammaticalized periphrasis aller + INF and the Spanish grammaticalized periphrasis ir a + INF. This construction (anar + INF) also consists in Catalan, but here, however, with the periphrasis expressing a past tense. Concerning the grammaticalization path ir a + INF and aller + INF were formerly used to express a past (historical present), whereas anar + INF also expressed a future (and can still take on this function). This paper discusses possible reasons for the development and the thus exceptional position of the Catalan past-periphrasis. In addition to morphological and normative explanations, language contact between Catalan and Spanish/ French as well as sociolinguistic circumstances are factors which may possibly account for the development of the Catalan construction. After a separate presentation of the development and the former and actual use(s) and forms of the three periphrasis, the cognitive processes which took place during the grammaticalization are presented. Afterward the three periphrasis are compared using the parameters of Lehmann. The second part of this paper consists of a corpus which verifies and illustrates the results of the previous part.
The main concern of this article is to discuss some recent findings concerning the psychological reality of optimality-theoretic pragmatics and its central part – bidirectional optimization. A present challenge is to close the gap between experimental pragmatics and neo-Gricean theories of pragmatics. I claim that OT pragmatics helps to overcome this gap, in particular in connection with the discussion of asymmetries between natural language comprehension and production. The theoretical debate will be concentrated on two different ways of interpreting bidirection: first, bidirectional optimization as a psychologically realistic online mechanism; second, bidirectional optimization as an offline phenomenon of fossilizing optimal form-meaning pairs. It will be argued that neither of these extreme views fits completely with the empirical data when taken per se.
This paper deals with the development of discourse competence in German-, Russian- and Bulgarian-speaking children. In particular, it examines the use of anaphoric pronominal reference in elicited narrations of children between the ages of 2;6 and 6;0. As the pronominal (and nominal) systems of target German, Russian and Bulgarian differ in the repertoire and functions of anaphoric elements we will examine which kind of noun phrases children use to make reference to story participants. In a second step of the analysis, we will investigate how pronominal expressions relate to antecedents. In this respect the pronominal form of the anaphor, the syntactic function of the antecedent and the distance between antecedent and anaphor will be analyzed. The findings will be discussed with regard to predictions made by proposals such as the Complementary Hypothesis (Bosch, Rozario, and Zhao 2003) which assumes an asymmetry between the use of personal pro-nouns and demonstrative pronouns when referring back to subject or object antecedents.
It is well known that English children between the age of 4 and 6 display a so-called Delay of Principle B Effect (DPBE) in that they allow pronouns to refer to a local c-commanding antecedent. Their guessing pattern with pronouns contrasts with their adult-like interpretation of reflexives. The DPBE has been explained as resulting from a lack of pragmatic knowledge or insufficient cognitive resources. However, such extra-grammatical accounts cannot explain why the DPBE only shows up in particular languages and in particular syntactic environments. Moreover, such accounts fail to explain why the DPBE only emerges in comprehension and not in production. This paper hypothesizes that the presence or absence of the DPBE can be explained from the properties of the grammar. Fischer's (2004) optimality-theoretic analysis of binding, explaining cross-linguistic variation, and Hendriks and Spenader's (2005/6) optimality-theoretic account of the acquisition of pronouns and reflexives are combined into a single model. This model yields testable predictions with respect to the presence or absence of the DPBE in particular languages, in particular syntactic environments, and in comprehension and/or production.
This paper presents results of corpus analytic investigations of children's use of referring expressions and considers possible implications of this work for questions relating to development of theory of mind. The study confirms previous findings that children use the full range of referring forms (definite and indefinite articles, demonstrative determiners, and demonstrative and personal pronouns) appropriately by age 3 or earlier. It also provides support for two distinct stages in mind-reading ability. The first, which is implicit and non-propositional, includes the ability to assess cognitive statuses such as familiarity and focus of attention in relation to the intended referent; the second, which is propositional and more conscious, includes the ability to assess epistemic states such as knowledge and belief. Distinguishing these two stages supports attempts to reconcile seemingly inconsistent results concerning the age at which children develop theory of mind. It also makes it possible to explain why children learn to use forms correctly be-fore they exhibit the pragmatic ability to consider and calculate quantity implicatures.
This paper follows a new perspective on speech errors within the framework of Articulatory Phonology, as proposed by Goldstein et al. (in prep.). On the basis of kinematic evidence, their work has demonstrated that speech errors are not restricted to categorical exchanges of position of segmental units, but rather gestures that compose segments can exhibit errors that vary from zero to maximal in magnitude.
Here we report results from two perceptual experiments which use stimuli selected on the basis of their articulatory properties only, covering a range of errorful gestural activations. The outcome of the perceptual experiments suggests that different segments show different degrees of vulnerability to (subsegmental) speech errors: While listeners detected errors reliably for some segments, for other segments the reaction to errorful and non-errorful tokens was not distinct. The data suggest that at least for some error types an asymmetric error distribution arises due to perception, while production itself is not asymmetric. However, for error types involving segments whose gestural compositions stand in a subset relationship to each other (as described below), asymmetries may indeed originate in production due to the overall dominance of a gestural intrusion bias observed in the production data of Goldstein et al. (in prep.).
Ever since the discovery of neural networks, there has been a controversy between two modes of information processing. On the one hand, symbolic systems have proven indispensable for our understanding of higher intelligence, especially when cognitive domains like language and reasoning are examined. On the other hand, it is a matter of fact that intelligence resides in the brain, where computation appears to be organized by numerical and statistical principles and where a parallel distributed architecture is appropriate. The present claim is in line with researchers like Paul Smolensky and Peter Gärdenfors and suggests that this controversy can be resolved by a unified theory of cognition – one that integrates both aspects of cognition and assigns the proper roles to symbolic computation and numerical neural computation.
The overall goal in this contribution is to discuss formal systems that are suitable for grounding the formal basis for such a unified theory. It is suggested that the instruments of modern logic and model theoretic semantics are appropriate for analyzing certain aspects of dynamical systems like inferring and learning in neural networks. Hence, I suggest that an active dialogue between the traditional symbolic approaches to logic, information and language and the connectionist paradigm is possible and fruitful. An essential component of this dialogue refers to Optimality Theory (OT) – taken as a theory that likewise aims to overcome the gap between symbolic and neuronal systems. In the light of the proposed logical analysis notions like recoverability and bidirection are explained, and likewise the problem of founding a strict constraint hierarchy is discussed. Moreover, a claim is made for developing an "embodied" OT closing the gap between symbolic representation and embodied cognition.
This volume represents a collection of papers that present some of the results of two projects on control: on the one hand, the project Typology of complement control directed by Barbara Stiebels and funded by the German Research Foundation (DFG STI 151/2-2), and on the other hand the project Variation in control structures directed by Maria Polinsky and Eric Potsdam and funded by the US National Science Foundation (NSF grants BCS-0131946, BCS-0131993; website http://accent.ucsd.edu/). Whereas the first project pursued a lexical approach to control with a semantic definition of obligatory control, the second project has mainly pursued a syntactic approach to control – with special emphasis on less studied control structures (such as adjunct control, backward control, finite control, etc.). Both projects have aimed at extending the research on complement control to structures that differ from the prototypical cases of infinitival complements with empty subjects found in many Indo-European languages; their common interest was to bring in new empirical data, both primary and experimental.
To monitor one's speech means to check the speech plan for errors, both before and after talking. There are several theories as to how this process works. We give a short overview on the most influential theories only to focus on the most widely received one, the Perceptual Loop Theory of monitoring by Levelt (1983). One of the underlying assumptions of this theory is the existence of an Inner Loop, a monitoring device that checks for errors before speech is articulated. This paper collects evidence for the existence of such an internal monitoring device and questions how it might work. Levelt's theory argues that internal monitoring works by means of perception, but there are other empirical findings that allow for the assumption that an Inner Loop could also use our speech production devices. Based on data from both experimental and aphasiological papers we develop a model based on Levelt (1983) which shows that internal monitoring might in fact make use of both perception and production means.
In this paper the issue of the nature of the representations of the speech production task in the speaker's brain is addressed in a production-perception interaction framework. Since speech is produced to be perceived, it is hypothesized that its production is associated for the speaker with the generation of specific physical characteristics that are for the listeners the objects of speech perception. Hence, in the first part of the paper, four reference theories of speech perception are presented, in order to guide and to constrain the search for possible correlates of the speech production task in the physical space: the Acoustic Invariance Theory, the Adaptive Variability Theory, the Motor Theory and the Direct-Realist Theory. Possible interpretations of these theories in terms of representations of the speech production task are proposed and analyzed. In a second part, a few selected experimental studies are presented, which shed some light on this issue. In the conclusion, on the basis of the joint analysis of theoretical and experimental aspects presented in the paper, it is proposed that representations of the speech production task are multimodal, and that a hierarchy exists among the different modalities, the acoustic modality having the highest level of priority. It is also suggested that these representations are not associated with invariant characteristics, but with regions of the acoustic, orosensory and motor control spaces.
A fundamental question in the study of speech is about the invariance of the ultimate percepts, or features. The present paper gives an overview of the noninvariance problem and offers some hints towards a solution. Examination of various data on place and voicing perception suggests the following points. Features correspond to natural boundaries between sounds, which are included in the infant's predispositions for speech perception. Adult percepts arise from couplings and contextual interactions between features. Both couplings and interactions contribute to invariance. But this is at the expense of profound qualitative changes in perceptual boundaries implying that features are neither independently nor invariantly perceived. The question then is to understand the principles which guide feature couplings and interactions during perceptual development. The answer might reside in the fact that: (1) adult boundaries converge to a single point of the perceptual space, suggesting a context-free central reference; (2) this point corresponds to the neutral vocoïd, suggesting the reference is related to production; (3) at this point perceptual boundaries correspond to the natural ones, suggesting the reference is anchored in predispositions for feature perception. In sum, perceptual invariance seems to be grounded on a radial representation of the vocal tract around a singular point at which boundaries are context-fee, natural and coincide with the neutral vocoïd.
This paper presents the results of Open Quotient measurements in EGG signals of young (18 to 30 year old) and elderly (59 to 82 year old) male and female speakers. The paper further presents quantitative results on the relation between the OQ and the perception of a speaker's age. Higgins & Saxman (1991) found a decreased OQEGG with increasing age for females, whereas the OQEGG in sustained vowel material increased for males as the speakers age increased. In Linville (2002), however, the spectral amplitudes in the region of F0 (obtained by LTAS-measurements of read speech material) increased with increasing age independent of gender; this could be interpreted indirectly as an increasing OQ. We measured the OQEGG not only for sustained vowels, but also in vowels taken from isolated words. In order to analyse the relation between breathiness in terms of an increased OQ and the mean perceived age per stimulus a perception test was carried out in which listeners were asked to estimate speaker's age based on sustained /a/-vowel stimuli varying in vocal effort (soft - normal - loud) during production. The results indicated the following: (i) The decreased OQ for elderly females originally found by Higgins & Saxman is not apparent in our data for sustained /a/-vowels. For our female speakers no significant difference between the OQ of young and old speakers was found; for elderly males, however, we also found an increasing OQ with increasing age.(ii) In addition, a statistically significant increased OQEGG occurs for the group of the elderly males for the vowels from the word material. (iii) Our results show a strong positive relation between perceived age and OQ in male voices. Regarding (i) and (ii), at least the male speaker's voice becomes more breathy as age increases. Considering (iii), increased breathiness may contribute to the listener’s perception of increased age.
Table of Contents:
T. A. Hall (Indiana University): English syllabification as the interaction of markedness constraints
Antony D. Green: Opacity in Tiberian Hebrew: Morphology, not phonology
Sabine Zerbian (ZAS Berlin): Phonological Phrases in Xhosa (Southern Bantu)
Laura J. Downing (ZAS Berlin): What African Languages Tell Us About Accent Typology
Marzena Zygis (ZAS Berlin): (Un)markedness of trills: the case of Slavic r-palatalisation
Laura J. Downing (ZAS Berlin), Al Mtenje (University of Malawi), Bernd Pompino-Marschall (Humboldt-Universitat Berlin): Prosody and Information Structure in Chichewa
T. A. Hall (Indiana University). Silke Hamann (ZAS Berlin), Marzena Zygis (ZAS Berlin): The phonetics of stop assibilation
Christian Geng (ZAS Berlin), Christine Mooshammer (Universitat Kiel): The Hungarian palatal stop: phonological considerations and phonetic data
In the research field initiated by Lindblom & Liljencrants in 1972, we illustrate the possibility of giving substance to phonology, predicting the structure of phonological systems with nonphonological principles, be they listener-oriented (perceptual contrast and stability) or speaker-oriented (articulatory contrast and economy). We proposed for vowel systems the Dispersion-Focalisation Theory (Schwartz et al., 1997b). With the DFT, we can predict vowel systems using two competing perceptual constraints weighted with two parameters, respectively λ and α. The first one aims at increasing auditory distances between vowel spectra (dispersion), the second one aims at increasing the perceptual salience of each spectrum through formant proximities (focalisation). We also introduced new variants based on research in physics - namely, phase space (λ,α) and polymorphism of a given phase, or superstructures in phonological organisations (Vallée et al., 1999) which allow us to generate 85.6% of 342 UPSID systems from 3- to 7-vowel qualities. No similar theory for consonants seems to exist yet. Therefore we present in detail a typology of consonants, and then suggest ways to explain plosive vs. fricative and voiceless vs. voiced consonants predominances by i) comparing them with language acquisition data at the babbling stage and looking at the capacity to acquire relatively different linguistic systems in relation with the main degrees of freedom of the articulators; ii) showing that the places “preferred” for each manner are at least partly conditioned by the morphological constraints that facilitate or complicate, make possible or impossible the needed articulatory gestures, e.g. the complexity of the articulatory control for voicing and the aerodynamics of fricatives. A rather strict coordination between the glottis and the oral constriction is needed to produce acceptable voiced fricatives (Mawass et al., 2000). We determine that the region where the combinations of Ag (glottal area) and Ac (constriction area) values results in a balance between the voice and noise components is indeed very narrow. We thus demonstrate that some of the main tendencies in the phonological vowel and consonant structures of the world’s languages can be explained partly by sensorimotor constraints, and argue that actually phonology can take part in a theory of Perception-for-Action-Control.
Arguing against Bhat’s (1974) claim that retroflexion cannot be correlated with retraction, the present article illustrates that retroflexes are always retracted, though retraction is not claimed to be a sufficient criterion for retroflexion. The cooccurrence of retraction with retroflexion is shown to make two further implications; first, that non-velarized retroflexes do not exist, and second, that secondary palatalization of retroflexes is phonetically impossible. The process of palatalization is shown to trigger a change in the primary place of articulation to non-retroflex. Phonologically, retraction has to be represented by the feature specification [+back] for all retroflex segments.
Consonants exhibit more variation in their phonetic realization than is typically acknowledged, but that variation is linguistically constrained. Acoustic analysis of both read and spontaneous speech reveals that consonants are not necessarily realized with the manner of articulation they would have in careful citation form. Although the variation is wider than one would imagine, it is limited by the phoneme inventory. The phoneme inventory of the language restricts the range of variation to protect the system of phonemic contrast. That is, consonants may stray phonetically into unfilled areas of the language's sound space. Listeners are seldom consciously aware of the consonant variation, and perceive the consonants phonemically as in their citation forms. A better understanding of surface phonetic consonant variation can help make predictions in theoretical domains and advances in applied domains.
Data on lingual movement, dorsopalatal contact and F2 frequency presented in previous papers of ours (Recasens, 2002; Recasens and Pallarès, 2001; Recasens, Pallarès and Fontdevila, 1997) suggest that the degree of articulatory constraint (DAC) model accounts to a large extent for the extent and direction of tongue dorsum coarticulation in VCV and CC sequences. A goal of this investigation is to verify the predictions of this model with respect to jaw V-to-V effects in VCV sequences using articulatory movement data collected with electromagnetic articulometry (EMA).
This volume presents a collection of papers touching on various issues concerning the syntax and semantics of predicative constructions.
A hot topic in the study of predicative copula constructions, with direct implications for the treatment of he (how many he's do we need?), and wider implications for the theories of predication, event-based semantics and aspect, is the nature and source of the situation argument. Closer examination of copula-less predications is becoming increasingly relevant to all these issues, as is clearly illustrated by the present collection.
This paper argues for non-primary c- and s-selectional restrictions of verbs in computing nonprimary predicatives such as resultatives, depictives, and manners. Our discussion is based both on the selection violations in the presence of nonprimary predicates and on the cross-linguistic and language-internal variations of categorial and semantic constraints on nonprimary predicates. We claim that all types of thematic predication are represented by an extended projection, and that the merger of lexical heads with another element, regardless of the type of the element, consistently has c- and s-selectional restrictions.