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"Che tempo, che tempo": Geology and Environment in Max Frisch’s 'Der Mensch erscheint im Holozän'
(2016)
Critical readings of Frisch’s Der Mensch erscheint im Holozän [Man in the Holocene] have tended to read its heterogeneous and inter-medial form as a code for the mental disintegration of its protagonist. This paper argues instead that this feature can be seen as a poetological engagement with geological and climatic timescales. Due to its hybrid form, the incorporation of a multiplicity of textual fragments and pictorial representations, the text undermines both conventional definitions of narrative and representations of nature. Holozän’s non-linear structure establishes an aesthetic of slowness that ushers in an awareness of the utterly different time schemes of geological and climatic processes. Furthermore, the importance of the material features, such as an interplay between text and image and the disconnected, paratactical arrangement of sentences mirrors the novel’s focus on natural phenomena. Frisch’s narrative establishes a poetics that tries to reach beyond the confinements of an anthropocentric perspective and thereby subverts the borders between culture and environment.
Memoirs by women (from the Global North) who have employed a gestational host (from the Global South) to become mothers are situated in a force field of intersecting discourses about gender, race and class. The article sheds light on the characteristic dynamics of this special sub-genre of ‘mommy lit’ (Hewett), labelled ‘IP memoirs,’ with a special emphasis on memoirs featuring transnational cross-racial gestational surrogacy arrangements in India. These texts do not only present narratives of painful infertility experiences, autopathographic self-blame, and scriptotherapeutic quests towards happiness, i.e. (a) child(ren), but also speak back to knotty issues such as potential exploitation, commodification, colonisation and disenfranchisement, as well as genetic essentialism in the context of systemic inequities.
Twentieth-century scholars have thought little about the attractions of Descartes’ thinking. Especially in feminist theory, he has a bad press as the ‘instigator’ of the body-mind-split – seen as one of the theoretical bases for the subordination of women in Western culture. Seen from within seventeenth-century discourse it is the dictum that can be inferred from his writings that ‘the mind has no sex’ and which can be seen as an appeal to think about rational capacities in the utopian perspective of a gender neutral discourse. My work analyses this “face” of Cartesianism as it was adapted in favour of English seventeenth-century women. How were the specific tenets of Descartes’ philosophy employed on behalf of English women in the second half of the seventeenth century in England? My focus is on Descartes as a thinker, who – whatever his real or imagined intention might have been – provided women in seventeenth-century England with tools with which to change their status, in other words: with instruments of empowerment. So why were Descartes’ arguments so attractive for women? Descartes had argued for equal rational abilities among individuals in a gender neutral way. He had further critiqued generally accepted truth with his universal doubt. I believe this specific combination of ideas, affirming their rational capabilities, was seen by a number of women as an invitation to become involved in spheres of activity from which they were previously excluded. Moreover, a specific set of Descartes’ arguments provided a number of English women with a strategy to extend female agency. Not only did Descartes’ views legitimate female rationality, they also allowed an acknowledgement that this female intellect was equally connected to “truth” as that of their male contemporaries. As a consequence, women developed an increased self-esteem and inspiration to pursue their own independent study (and in some cases publishing). These ideas eventually helped to bring forward a demand for female education, as girls and women were still excluded from formal education in seventeenth-century England. My general thesis is that Cartesianism, as one of the earliest universalist theories on the nature of human reason, introduced new possibilities into the English debate over the nature and, hence, social position of women. It brought a radical twist to the already existing discussion on women by offering new critical tools which were taken up to argue on behalf of English women. In my work I examine the specific historical conditions of the reception of Descartes’ thought in England, the philosophical appeal of his ideas for women and analyse the writings of two English ‘disciples’ of Descartes: Margaret Cavendish, Duchess of Newcastle and Mary Astell.
Die in den 1990er Jahren erneuerte sozialwissenschaftliche Debatte um Staatsbürgerschaft (citizenship) als ein Verhältnis von Nation, Staat und Individuum, das über rein rechtliche Arrangements hinausgeht und auch Fragen der politischen und kulturellen Zugehörigkeit im weiteren Sinn betrifft, hat seit fünf bis zehn Jahren auch die Literatur- und Kulturwissenschaften erreicht, mit eigenen Schwerpunktsetzungen und Konzepten. Eines dieser Konzepte, das des sexual citizenship, ist das Thema der kulturwissenschaftlichen Magisterarbeit "We Will Be Citizens: The Notion of Citizenship in Tony Kushner's Angels in America and Larry Kramer's The Normal Heart". Kramer's The Normal Heart (1985) und Kuschner's Angels in America (1993/95) werden als Beispiele für Theaterstücke der 'ersten' und 'zweiten' Generation, die sich mit der AIDS-Krise der 1980er Jahre auseinandersetzen analysiert; dabei, so das zentrale Argument, geht es in beiden Stücken darum, die Auseinandersetzung mit AIDS und die formulierte Kritik an der unzureichenden Reaktion der Reagan-Administration auf die AIDS-Krise im Kontext von Neuverhandlungen von sexual citizenship zu lesen, also als Neuverhandlung der Rechte und gesellschaftlichen Teilhabemöglichkeit für als von der 'sexuellen Norm abweichend' definierte Personengruppen, im Kontext der Stücke vor allem homosexuelle Männer. Dabei wird citizenship klar als ein kulturelles Konzept definiert und macht dadurch auch die Bedeutung kultureller Produktionen (z.B. Literatur) für die Debatten deutlich: "Citizenship is not only to be understood as a political issue, but also as socially and materially constructed and culturally coded. If we understand culture as the ways of doing things and of organizing society, then the negotiations of citizenship take place, among other ways, through culture" (5). Die Diskussion des Themas beginnt mit einer zielgerichteten Skizze der theoretischen Debatten um sexual citizenship, der Rolle von AIDS für diese Debatten (Kap. 2) und einer Übersicht über die AIDS-Krise der 1980er Jahre (Kap. 3). Dabei stellt er mit Sontag, Yingling und Isin die Konstruktionen von Alterität – krank/gesund, self/other, citizen/non-citizen – die die Diskussion prägen, in den Vordergrund der Analyse. In den beiden folgenden Kapitel (4 und 5) werden die beiden Stücke mit Blick auf die jeweilige Aushandlung von sexual citizenship diskutiert; für Kramers Stück wird dabei das Thema schwule Identität, eine auf Aktivismus hin ausgerichtete Agenda und das Plädoyer für gesellschaftliche Anerkennung hervorgestellt, während bei der Analyse von Kuschners Text dessen Inszenierung von 'Geschichte' und ideologischer Kritik im Vordergrund steht. Den Abschluss bildet ein Vergleich der beiden Stücke in Hinsicht auf ihre jeweilige Agenda und deren Umsetzung. The Normal Heart, verfolgt insgesamt eine eher assimilatorische Sto߬richtung, die versucht, Homosexualität zu 'norm(alis)ieren', während Angels, radikaler, die Konstruktionen von sexuellen Normen hinterfragt und ein Recht auf Differenz proklamiert (z.B. S. 69).
Unquestionably (or: undoubtedly), every competent speaker has already come to doubt with respect to the question of which form is correct or appropriate and should be used (in the standard language) when faced with two or more almost identical competing variants of words, word forms or sentence and phrase structure (e.g. German "Pizzas/Pizzen/Pizze" 'pizzas', Dutch "de drie mooiste/mooiste drie stranden" 'the three most beautiful/most beautiful three beaches', Swedish "större än jag/mig" 'taller than I/me'). Such linguistic uncertainties or "cases of doubt" (cf. i.a. Klein 2003, 2009, 2018; Müller & Szczepaniak 2017; Schmitt, Szczepaniak & Vieregge 2019; Stark 2019 as well as the useful collections of data of Duden vol. 9, Taaladvies.net, Språkriktighetsboken etc.) systematically occur also in native speakers and they do not necessarily coincide with the difficulties of second language learners. In present-day German, most grammatical uncertainties occur in the domains of inflection (nominal plural formation, genitive singular allomorphy of strong masc./neut. nouns, inflectional variation of weak masc. nouns, strong/weak adjectival inflection and comparison forms, strong/weak verb forms, perfect auxiliary selection) and word-formation (linking elements in compounds, separability of complex verbs). As for syntax, there are often doubts in connection with case choice (pseudo-partitive constructions, prepositional case government) and agreement (especially due to coordination or appositional structures). This contribution aims to present a contrastive approach to morphological and syntactic uncertainties in contemporary Germanic languages (mostly German, Dutch, and Swedish) in order to obtain a broader and more fine-grained typology of grammatical instabilities and their causes. As will be discussed, most doubts of competent speakers - a problem also for general linguistic theory - can be attributed to processes of language change in progress, to language or variety contact, to gaps and rule conflicts in the grammar of every language or to psycholinguistic conditions of language processing. Our main concerns will be the issues of which (kinds of) common or different critical areas there are within Germanic (and, on the other hand, in which areas there are no doubts), which of the established (cross-linguistically valid) explanatory approaches apply to which phenomena and, ultimately, the question whether the new data reveals further lines of explanation for the empirically observable (standard) variation.
Two studies investigate the production and perception of speech chunks in Estonian. A corpus study examines to what degree the boundaries of syntactic constituents and frequent collocations influence the distribution of prosodic information in spontaneously spoken utterances. A perception experiment tests to what degree prosodic information, constituent structure, and collocation frequencies interact in the perception of speech chunks. Two groups of native Estonian speakers rated spontaneously spoken utterances for the presence of disjunctures, whilst listening to these utterances (N = 47) or reading them (N = 40). The results of the corpus study reveal a rather weak correspondence between the distribution of prosodic information and boundaries of the syntactic constituents and collocations. The results of the perception experiments demonstrate a strong influence of clause boundaries on the perception of prosodic discontinuities as prosodic breaks. Thus, the results indicate that there is no direct relationship between the semantico-syntactic characteristics of utterances and the distribution of prosodic information. The percept of a prosodic break relies on the rapid recognition of constituent structure, i.e. structural information.
Highlights
• Gender cues are defined differently across languages.
• We propose a new refined and standardized definition of gender transparency.
• Gender transparency is quantifiable with values that match theoretical expectations.
• We present the first quantitative method to measure the gender transparency of languages.
Abstract
Languages can express grammatical gender through different ortho-phonological regularities present in nouns (e.g., the cues “-o” and “-a” for the masculine and the feminine respectively in Italian, Portuguese, or Spanish). The term “gender transparency” was coined to describe these regularities (Bates et al., 1995). In gendered languages, we can hence distinguish between transparent nouns, i.e., those displaying form regularities; opaque nouns, i.e., those with ambiguous endings; and irregular nouns, i.e., those that display the typical form regularities but are associated with the opposite gender. Following a descriptive analysis of such regularities, languages have been recently classified according to their degree of gender transparency, which seems relevant in regard to gender acquisition and processing. Yet, there are certain inconsistencies in determining which languages are overall transparent and which are opaque. In particular, it is not clear whether some other complex regularities such as derivational suffixes are also “transparent” cues for gender, what really constitutes an “opaque” noun, or which role orthography and morphology have in transparency. Given the existing inconsistencies in classifying languages as transparent or opaque, this work introduces a proposal to assess gender transparency systematically. Our methodology adapts the standardized factors proposed by Audring (2019) to analyse the relative complexity of gender systems. Such factors are adapted to gender transparency on the basis of the literature on gender acquisition and processing. To support the feasibility of such a proposal, the concepts have been instantiated in a quantitative model to obtain for the first time an objective measure of gender transparency using European Portuguese and Dutch as instances of target languages. Our results coincide with the theoretically expected outcome: European Portuguese obtains a high value of gender transparency while Dutch obtains a moderately low one. Future adaptations of this model to the gender systems of other languages could allow the continuum of gender transparency to sustain robust predictions in studies on gender processing and acquisition.
This article investigates the L1 acquisition of different types of direct objects in European Portuguese (EP). Previous research has revealed that although children have early syntactic and pragmatic knowledge of objects across languages, the adequate use of pronouns and null objects is protracted in the acquisition of EP (Costa et al. 2012). The present study shows that children acquiring the distribution of direct objects are aware of universal pragmatic hierarchies but struggle with the interpretation and feature bundles of null objects. Assuming that arguments are linked to left-peripheral C/edge linkers (Sigurðsson 2011), we argue that children need more time to discover the adult-like feature composition of null objects in EP because they involve phi-silent features. Relative accessibility (Ariel 1991) is universal and available early, whereas the absolute accessibility of null objects, i.e. their feature content, is acquired relatively late.
This thesis investigates the acquisition pace and the typical developmental path in eL2 acquisition of selected phenomena of German morphosyntax and semantics and compared them to monolingual acquisition. In addition, the influence of ‘Age of Onset’ and of external factors on eL2 acquisition is examined.
To date, the most studies on eL2 acquisition focused on language production. Based on mostly longitudinal spontaneous speech data of only small number of children, they indicate that eL2 learners acquire sentence structure and subject-verb-agreement faster than monolingual children, whereas the acquisition of case marking causes them more difficulties. Moreover, similar developmental paths to those of monolingual children are claimed. Only several studies examined comprehension abilities in eL2 learners, however overwhelmingly in cross-sectional design. The findings from comprehension studies on telic and atelic verbs, and on wh-questions indicate that eL2 children acquire their target-like interpretation faster than monolingual children. The same acquisition stages towards target-like interpretation like in monolingual acquisition are assumed as well. Taking together, to date, no study exists, that examines comprehension and production abilities in a large group of eL2 learners of German in a longitudinal design.
This thesis extends the previous results by investigating pace of acquisition, impact of factors, and individual developmental paths in a longitudinal design with large groups of participants. Language data of 29 eL2 learners of German (age at T1: 3;7 years, LoE: 10 months) and 45 monolingual German-speaking children (age at T1: 3;7) are examined. The eL2 learners were tested in six test rounds (age at T6: 6;9 years). The monolingual children were tested in five test rounds (are at T5: 5;7). The standardized test LiSe-DaZ (Schulz & Tracy, 2011) was employed to examine children’s language skills.
eL2 learners show a significantly greater rate of change, thus faster acquisition pace, than monolingual children in the following scales: comprehension of telicity, comprehension of wh-questions, production of prepositions, and production of conjunctions. These phenomena are acquired early in monolingual children. No differences regarding acquisition pace between eL2 children and monolingual children are found for comprehension of negation, production of case marking, and production of focus particles. These phenomena are acquired late in monolingual development and involve semantic and pragmatic knowledge. The findings of faster acquisition pace of several phenomena are in line with several studies that reported that eL2 children develop faster than monolingual children.
Independent on whether a phenomenon is acquired early or late, no effects of external factors on eL2 children’s performance are found. These findings indicate that acquisition of core, rule-based phenomena is not sensitive to external factors if the first exposure to L2 takes place around the age of three.
Moreover, eL2 children show the same developmental stages and error types in comprehension of telicity, comprehension of negation, production of matrix and subordinate clauses. This is also independent on how fast they acquire a structure under consideration. Thus, these findings provide a further support for similar developmental paths of eL2 and monolingual children towards target-like comprehension and production.
Sentence repetition tasks (SRTs) have been extensively used as measures of bilinguals’ language abilities. Most studies relied on SRTs in which the target sentences were not connected to each other. However, participants’ performance may differ if these sentences are embedded in discourse, since discourse provides participants with additional cues for sentence comprehension and interpretation. For the present study, we designed a discourse-based SRT, whereby the target sentences were connected to each other in a story. We examined the effect of discourse on bilinguals’ performance in the SRT and investigated whether this effect varied based on the language of administration, bilinguals’ dominance score and type of target structure. We tested 32 Italian-German bilingual children (7–12 years) living in Germany with two SRTs in each language, one with discourse and one without discourse. Participants showed a better performance in the SRTs with discourse, especially in the heritage language (Italian). The effect of discourse was visible across the board with all target structures. On the whole, SRTs with discourse seem to reduce the processing costs associated with lexical retrieval and shifts in scenarios, thus tapping more directly into children's processing abilities, compared to more traditional SRTs. The results are discussed in terms of ecological validity of different assessment instruments.
Metrical patterning and rhyme are frequently employed in poetry but also in infant-directed speech, play, rites, and festive events. Drawing on four line-stanzas from nineteenth and twentieth German poetry that feature end rhyme and regular meter, the present study tested the hypothesis that meter and rhyme have an impact on aesthetic liking, emotional involvement, and affective valence attributions. Hypotheses that postulate such effects have been advocated ever since ancient rhetoric and poetics, yet they have barely been empirically tested. More recently, in the field of cognitive poetics, these traditional assumptions have been readopted into a general cognitive framework. In the present experiment, we tested the influence of meter and rhyme as well as their interaction with lexicality in the aesthetic and emotional perception of poetry. Participants listened to stanzas that were systematically modified with regard to meter and rhyme and rated them. Both rhyme and regular meter led to enhanced aesthetic appreciation, higher intensity in processing, and more positively perceived and felt emotions, with the latter finding being mediated by lexicality. Together these findings clearly show that both features significantly contribute to the aesthetic and emotional perception of poetry and thus confirm assumptions about their impact put forward by cognitive poetics. The present results are explained within the theoretical framework of cognitive fluency, which links structural features of poetry with aesthetic and emotional appraisal.
This afterword addresses the complex temporal and global dynamics of the coronavirus pandemic. After considering some of the new social rhythms that have emerged in the wake of Covid-19 around the world, it turns to the role of collective memory before, during and after corona. The aim is to provide a basic grid for how the Covid-19 pandemic could be addressed using memory studies expertise and concepts such as premediation, memorability, memory (ab)use, national memory, colonial memory, racial stereotypes, the digital archive, generational memory, or Anthropocene time.
Anankastic relatives
(2016)
This dissertation investigates a semantic puzzle in German concerning certain sentences with an intensional transitive verb and a modalized relative clause modifying its indefinite object. In their unspecific reading, the modal inside the relative clause seems to lack a semantic contribution and the construal of the relative clause appears spuriously ambiguous between a restrictive and an appositive reading. However, as a thorough discussion of a wide range of data reveals, the embedded modal is actually anaphoric to the matrix attitude and does contribute to the sentence meaning. But then, precisely due to its anaphoricity, this semantic contribution is restricted and in some cases very subtle; in particular, the semantic phenomenon under scrutiny cannot be analyzed as an instance of modal concord. Rather, previous observations on related data involving epistmic anaphoric modals and anankastic conditionals turn out to indicate the direction for an adequate analysis of the relevant semantic observations. For the restrictive construal, a conservative account is developed containing a fine-grained Lewis-Kratzer-style modal semantics, but with a twist: the anaphoricity of the modal is taken care of by restricting the anaphoricity of the modal to the ordering source of the matrix verb; moreover, the embedded modal receives a historical modal base. In this way compositionality issues and problems of cross-identification are avoided. Finally, the non-restrictive construal is analyzed as an instance of modal subordination, exploiting the well-studied parallel between appositive relatives and discourse anaphora.
This article traces the representation of love, gender and national identity in Shani Mootoo’s creative work in general and her most recent novel Valmiki’s Daughter (2008) in particular. In all her work, Mootoo describes the phenomenon of otherness as a part of the negotiating process of the protagonists' selves.Challenging xenophobia, homophobia and all forms of prejudices the author works with the concept of lesbian and bisexual love, cross-racial relationships in order to write identity and to create a home.
This paper describes work on the morphological and syntactic annotation of Sumerian cuneiform as a model for low resource languages in general. Cuneiform texts are invaluable sources for the study of history, languages, economy, and cultures of Ancient Mesopotamia and its surrounding regions. Assyriology, the discipline dedicated to their study, has vast research potential, but lacks the modern means for computational processing and analysis. Our project, Machine Translation and Automated Analysis of Cuneiform Languages, aims to fill this gap by bringing together corpus data, lexical data, linguistic annotations and object metadata. The project’s main goal is to build a pipeline for machine translation and annotation of Sumerian Ur III administrative texts. The rich and structured data is then to be made accessible in the form of (Linguistic) Linked Open Data (LLOD), which should open them to a larger research community. Our contribution is two-fold: in terms of language technology, our work represents the first attempt to develop an integrative infrastructure for the annotation of morphology and syntax on the basis of RDF technologies and LLOD resources. With respect to Assyriology, we work towards producing the first syntactically annotated corpus of Sumerian.
This paper investigates the interpretation of overt and null subject pronouns in the heritage language (European Portuguese, EP) of Portuguese heritage bilinguals (children and teenagers) in Germany and Andorra with German (Ger) and Spanish/Catalan (Span/Cat) as environmental languages and compares it to the outcomes of age-matched monolingual Portuguese children and monolingual adults. The results of an offline sentence interpretation task show that all groups of speakers differentiate between overt and null subjects. They are also sensitive to the syntactic context (intrasentential vs. intersentential) and the directionality of the anaphoric relation (anaphoric vs. cataphoric), although to different degrees. We argue that the interpretation of differences between monolingual and bilingual speakers needs to take into account these different syntactic contexts of pronominal resolution in order to gain a better understanding of the role of language-internal factors and cross-linguistic influence (CLI). With respect to the latter, the comparison between the Ger-EP and the Span/Cat-EP groups reveals no differences between these populations and shows that for the speakers’ knowledge of anaphora resolution in EP it is not decisive whether the contact language is a null subject language or not (confirming thus the results in Sorace et al. 2009).
Beauty is the single most frequently and most broadly used aesthetic virtue term. The present study aimed at providing higher conceptual resolution to the broader notion of beauty by comparing it with three closely related aesthetically evaluative concepts which are likewise lexicalized across many languages: elegance, grace(fulness), and sexiness. We administered a variety of questionnaires that targeted perceptual qualia, cognitive and affective evaluations, as well as specific object properties that are associated with beauty, elegance, grace, and sexiness in personal looks, movements, objects of design, and other domains. This allowed us to reveal distinct and highly nuanced profiles of how a beautiful, elegant, graceful, and sexy appearance is subjectively perceived. As aesthetics is all about nuances, the fine-grained conceptual analysis of the four target concepts of our study provides crucial distinctions for future research.
The subject of this dissertation is the aesthetic and political significance of photography for Bertolt Brecht's theatrical work and writing. Since the investigation of the gestus concept from the perspective of the politics of images—which draws attention to the fact that every image has a memory, mostly a political one—photography stands out and reveals the precise moment of the interruption of the dramatic action and, thereby, holds a significant gestus. The dissertation highlights the importance of photography’s examination for Brecht, besides featuring the extent to which his theatre responded to and dealt with the technical condition of its own time. If a gestus is recognisable as an interruption, through the observation of the detail, two different gestus appear: the gestus of the scene and the gestus of the photograph. In other words, the actor and photographer produce a double gestus with different levels of interpretation. The comparison between such a static photo and the notion of interruption in Bertolt Brecht’s works opens new grounds in Brechtian studies, and even in more general theatre studies.
Beyond "singular" identities : multiculturalism and cultural freedom in Australian literature
(2009)
Die vorliegende Arbeit befasst sich mit der Frage von Wahrnehmung und Entwicklung multipler individueller Identitäten in australischer Literatur unter Berücksichtigung von kultureller Freiheit und Multikulturalismus. Amartya Sen präsentiert in seinem Buch Identity and Violence einen Identitätsansatz, der davon ausgeht, dass jedes Individuum plurale kulturelle Identitäten besitzt, deren Relevanz kontextspezifisch zu wählen ist. Die vorliegende Arbeit soll überprüfen ob Sen's Modell der pluralen Identitäten auch für den Bereich der Literaturwissenschaften adaptiert werden kann. Fragen der Identität sind selbstverständlich nicht neu in diesem Bereich. Insbesondere die Transcultural- und Postcolonial-Studies haben unter Aspekten wie Ethnizität, Gender, oder Hybridität verschiedene Modelle von Identität entwickelt. Da solche Modelle jedoch oft primär an einem dieser spezifischen Aspekte ausgerichtet sind, ist eine generelle Aussage über Wahrnehmung und Entwicklung von Identitäten oft nur bedingt möglich. Sen's Modell hat den Vorteil, dass es einfache allgemeingültige Regeln schafft, auf deren Basis alle identitätsbezogenen Aspekte verhandelt werden können. Während vielen anderen Modellen ein serieller (diachronischer) Ansatz explizit oder implizit zu Grunde liegt, geht Sen von einer parallelen (synchronen) Identitätsstruktur aus. Außerdem rückt er im Gegensatz zu vielen gruppenorientierten Ansätzen das Individuum in das Zentrum seiner Betrachtung und entwickelt auf Basis individueller, pluraler Identitäten seine umfassende Theorie. Gerade die Betonung von Gruppenidentitäten sowie die Verhandlungen von Identitäten zwischen Individuen und / oder Gruppen macht Sen als potentiellen Ursprung von gesellschaftlichen Konflikten aus. Dies liegt unter anderem an der gesellschaftlich weit verbreiteten Annahmen, dass kulturelle Identitäten singulär und gruppenorientiert strukturiert sind. Demnach ist jedes Individuum einer primären kulturellen Gruppenidentität zuzuordnen, welche alle anderen Identitätsaspekte determiniert. Gemeinsame Identitätsmerkmale zweier Individuen mit unterschiedlichen primären Gruppenidentitäten werden somit ausgeschlossen oder als sekundär bzw. nachrangig der primären Identität untergeordnet. Die Definition dieser singulären kulturellen Identitäten und die entsprechenden Regeln der Zugehörigkeit werden innerhalb der jeweiligen Gruppe verhandelt. Kommt es zwischen zwei Individuen zu Missinterpretation von identitätsbezogenen Kausalitäten, entstehen die von Sen beschriebenen Konflikten kommen. Um dieses Konfliktpotenzial zu entschärfen fordert Sen für jedes einzelne Individuum die Freiheit seine Präferenzen kontextspezifischer Identitäten frei zu wählen, ohne Einflussnahme anderer Individuen oder Gruppen. Dies kann als allgemeine Forderung individueller kultureller Freiheit, analog zur Freiheit der eigenen Meinung verstanden werden. Das Bewusstsein für die jeweiligen kontextspezifischen Identitäten anderer kann somit durch ein größeres Verständnis von Kausalitäten zur Vermeidung identitätsbezogener Konflikte führen. Da Sen seine Theorie nicht explizit für literaturwissenschaftliche Anwendungen beschreibt, muss im Rahmen dieser Arbeit zuerst ein methodologisches Modell für die Arbeit an literarischen Texten erarbeitet werden. Dazu werden verschiedene, auf Sen basierende, Aspekte definiert, die dann an den vorliegenden Texten auf ihre Gültigkeit überprüft werden. Erstens wird ermittelt, ob es generell möglich ist individuelle und Gruppenidentitäten zu identifizieren. Zweiten wird untersucht, ob die zentralen Protagonisten plurale kulturelle Identitäten aufweisen. Drittens wird die Frage gestellt, ob ein kausaler Zusammenhang zwischen den Identitätsverhandlungen von Individuen und / oder Gruppen, sowie den in den Texten beschriebenen Konflikten hergestellt werden kann. Viertens wird untersucht, ob die Erzählungen Konzepte von singulärer kultureller Identität, pluralem Monokulturalismus, oder Multikulturalismus widerspiegeln. Fünftens soll geklärt werden, ob Sen's Forderung nach individueller kultureller Freiheit einen realistischen Lösungsansatz für die in den Erzählungen beschriebenen Konflikte bedeuten würde. Die zugrunde liegenden Primärtexte – Behrendt's Home, Haikal's Seducing Mr Maclean und Teo's Love and Vertigo – wurden auf Grund der vergleichbaren Identitätsthematik gewählt. Alle drei schildern die Wahrnehmung und Entwicklung multipler individueller Identitäten vor dem Hintergrund einer australischen Migrationsgesellschaft und deren Umgang mit Angehörigen der australischen Ureinwohner. In Bezug auf die oben genannten Fragen weisen alle drei Texte eine große Übereinstimmung mit Sen's Theorie auf. In allen Erzählungen ließen sich individuelle und Gruppenidentitäten nachweisen, wobei vor allem die zentralen Protagonisten deutliche plurale kulturelle Identitäten aufwiesen. Ebenso konnte ein starker Zusammenhang zwischen den Identitätsverhandlungen von Individuen und / oder Gruppen, sowie den in den Texten beschriebenen Konflikten hergestellt werden. Auch war es möglich bei verschiedenen Protagonisten Vorstellungen von singulärer kultureller Identität oder pluralem Monokulturalismus nachzuweisen. Letztlich kann für alle drei Texte angenommen werden, dass individuelle kulturelle Freiheit einen realistischen Lösungsansatz für die in den Erzählungen beschriebenen Konflikte bedeuten würde. Sen's Modell pluraler individueller Identitäten hat sich somit prinzipiell für den Einsatz im Bereich der Literaturwissenschaften bewährt. Für die Literaturwissenschaften hat dieses Modell den Vorteil, dass im Gegensatz zu vielen anderen Identitätskonzepten verschiedene Aspekte wie Ethnizität, Gender, oder Hybridität auf einem gemeinsamen theoretischen Fundament analysiert und diskutiert werden könnten.
As if to bear out the tenet of this study, the field of black British literature has been transformed enormously over the last ten years or so, while this book was in the making. And for myself, too, this has been a formative process. During this time I’ve been supported, challenged, and encouraged by more colleagues and friends than I can acknowledge here. ...
Most studies on bilingual children's metalinguistic awareness assess metalinguistic awareness using monolingual tasks. This may not reflect how a bilingual's languages dynamically interact with each other in creating metalinguistic representations. We tested 33 Greek–Italian bilingual children (8–11 years) for metalinguistic awareness using acceptability-rating tasks in which they had to judge and explain grammatical errors. The tasks were in monolingual and bilingual modes in order to show how far metalinguistic awareness in Italian benefited from the activation of Greek. The participants exhibited better metalinguistic awareness abilities in Italian in the bilingual acceptability-rating task in which Greek was activated. The benefits of the bilingual mode were visible in the judgment and explanation of errors and were modulated by syntactic processing abilities in Italian, length of exposure to Italian, type of structure, and age. The results show that metalinguistic awareness can be shared across languages. We discuss the pedagogical implications of our findings.
With reference to Shakespeare's play "The Winter's Tale" and its adaptation "The Gap of Time" by Jeanette Winterson the following master thesis seeks to explore literature’s ability to update and rework a given text in a sense that the new text reflects the condition humana in relation to current social and cultural milieus thereby demonstrating the actuality of the original text and constituting a genuinely new work of art in its own right at the same time.
Combining cultural history with the insights of psychoanalytic theory, this article examines Maurice Sendak's Caldecott-winning and controversial Where the Wild Things Are (1963), arguing that Sendak’s book represents picturebook psychology as it stood in the early 1960s but also radically recasts it, paving the way for a groundswell in applied picturebook psychology. The book can be understood as rewriting classical Freudian analysis, retaining some of its rigor and edge while making it more palatably American. Where the Wild Things Are has been embraced as a psychological primer, a story about anger and its management through fantasy; it is also a text in which echoes of Freud remain audible. It is read it here as a bedtime-story version of Freud’s Wolf Man case history of 1918, an updated and upbeat dream of the wolf boy. It is to Sendak what the Wolf Man case was to Freud, a career-making feral tale. Standing at the crossroads of Freudian tradition, child analysis, humanistic psychology, and bibliotherapy, the article reveals how the book both clarified and expanded the uses of picturebook enchantment.
While for centuries Greek tragedies were performed only intermittently (Flashar 1991; Foley 1999; Macintosh et al. 2005; Hall and Macintosh 2005), the 1960s saw an enormous growth internationally in the staging of ancient dramas, and between 1960 and today, more Greek tragedies have been performed than in the entire period from antiquity to 1960.1 The new interest in ancient tragedy corresponded with a fundamental crisis in Western culture, issuing from the Shoah and gradually forcing its way into consciousness. After World War II, and especially since the 1960s, the question of history needed to be reconsidered. With the increasing dissolution of tradition, the interval between antiquity and the present became an unresolved problem. At the same time, a teleological understanding, which sees history as something that can be planned and calculated, had to be considered as failed, since fascism and communism "in the name of history" had erected totalitarian systems. What then appeared in this historical void?
This dissertation is about case competition in headless relatives. Case competition is a situation in which two cases are assigned but only one of them surfaces. One of the constructions in which case competition takes place is in headless relatives, i.e. relative clauses that lack a head. This dissertation has two goals: (i) to give an overview of the data, and (ii) to provide an account for the observed data.
The grammaticality of a headless relative is determined by two aspects. The first aspect concerns which case wins the case competition. In all languages with case competition that I am aware of, this is determined by the case scale in NOM < ACC < DAT. A case more to the right on the scale wins over a case more to the left on the scale. This scale is not specific to case competition in headless relatives, but it can also be observed in syncretism patterns and morphological case containment. I show that that the case scale can be derived from assuming the cumulative case decomposition (cf. Caha 2009). A case wins over another case when it contains all features that the other case contains.
The second aspect of case competition in headless relatives concerns whether the winner of the case competition is allowed to surface when it wins the case competition. The winning case can be either the internal case required by the predicate in the relative clause, or the external case required by the predicate in the main clause. It differs from language to language whether they allow the internal and the external case to surface.
All language types I discuss allow for a headless relative when the internal and the external case match. The unrestricted type of language allows both the internal case and the external case to surface when either of them wins the case competition. Examples of this language type are Old High German, Gothic and Ancient Greek. The internal-only type of language allows only the internal case to surface when it wins the case competition, and it does not allow the external case to do so. An example of this language type is Modern German. The external-only type of language allows only the external case to surface when it wins the case competition, and it does not allow the internal case to do so. To my knowledge, there is no language that behaves like this. The matching type of language allows neither the internal nor the external case to surface when either of them wins the case competition. An example of this language type is Polish.
To account for the data, I set up a proposal that generates the attested patterns and excludes the non-attested ones. I let the variation between languages follow from properties of languages that can be independently observed. By investigating the morphology of the languages, I suggest differences between the lexical entries in the different languages. These different lexical entries ultimately lead languages to be of different types. In my proposal, I assume that headless relatives are derived from light-headed relatives. Light-headed relatives contain a light head and a relative pronoun. In a headless relative either the light head or the relative pronoun is deleted. The necessary requirement for deletion is that the deleted element (either the light head or relative pronoun) is structurally or formally contained in the other element.
I motivate the analysis for the internal-only type of language for Modern German, for the matching type of language for Polish and for the unrestricted type of language for Old High German. I first identify the morphemes that the light heads and relative pronouns in the languages consist of, and then I show to which features each of the morphemes correspond. The crucial difference between the internal-only type of language Modern German and the matching type of language Polish is how the phi and case features are spelled out. In Modern German they are spelled out by a phi and case feature portmanteau, and, in Polish, the same features are spelled out by a phi feature morpheme and a case feature morpheme. Old High German differs from the other two languages in that it has light heads and relative pronouns that are syncretic. I show how these differences in the morphology of the languages ultimately leads to different grammaticality patterns in headless relatives.
Comparing my account to others shows that all proposals account for the case facts using some kind of case hierarchy. The proposals differ in how they model the variation, both in the technical details of the proposal, but more importantly, also in empirical scope and predictions they make.
Children’s interpretations of sentences containing focus particles do not seem adult-like until school age. This study investigates how German 4-year-old children comprehend sentences with the focus particle ‘nur’ (only) by using different tasks and controlling for the impact of general cognitive abilities on performance measures. Two sentence types with ‘only’ in either pre-subject or pre-object position were presented. Eye gaze data and verbal responses were collected via the visual world paradigm combined with a sentence-picture verification task. While the eye tracking data revealed an adult-like pattern of focus particle processing, the sentence-picture verification replicated previous findings of poor comprehension, especially for ‘only’ in pre-subject position. A second study focused on the impact of general cognitive abilities on the outcomes of the verification task. Working memory was related to children’s performance in both sentence types whereas inhibitory control was selectively related to the number of errors for sentences with ‘only’ in pre-subject position. These results suggest that children at the age of 4 years have the linguistic competence to correctly interpret sentences with focus particles, which–depending on specific task demands–may be masked by immature general cognitive abilities.
This dissertation deals with the lexical, morphological, syntactic, and semantic properties of (VP )idioms and their behavior in combination with restrictive relative clauses, raising, constituent fronting, wh-movement, VP-ellipsis, pronominalization, the progressive form, verb placement, passivization, conjunction modification, and the N-after-N construction. It provides empirical evidence towards a combinatorial analysis of both semantically non-decomposable idioms (SNDIs) and semantically decomposable idioms (SDIs) and contributes to the (formal) formulation of such an account.
The Introduction (Chapter 1) first motivates why idioms are an exciting and challenging phenomenon and then gives a definition of the term idiom, a classification of idioms, and an overview of the wide spectrum of idiom analyses found in the linguistic literature.
Chapter 2, “Idioms as evidence for the proper analysis of relative clauses”, shows that the Modification Analysis beats the other two major analyses of restrictive relative clauses (RRCs), namely Raising and Matching, as (i) the latter two lead to a loss of numerous empirical generalizations in syntax and morphology, and (ii) contrary to the assumption in the literature, idioms in RRCs can, in fact, be licensed without literal syntactic movement of the RRC-head, which makes modification fully compatible with idiom reconstruction effects.
Chapter 3, “How frozen are frozen idioms?”, presents new empirical observations on the lexical, morphological, and syntactic flexibility of kick the bucket and displays that this idiom is not completely frozen with respect to its NP complement, the progressive form, and, in some contexts, even passivization. The chapter concludes that analyses of kick the bucket as a single lexical entry should be replaced by analyses of this and other SNDIs with a syntactically regular shape as consisting of individual word-level lexical entries that combine according to the standard rules of syntax.
This idea is taken up in Chapter 4, “The syntactic flexibility of semantically non-decomposable idioms”, which – based on the differences between English and German with regard to verb placement, constituent fronting, and passivization as well as a short outlook on Estonian and French – spells out a combinatorial analysis of SNDIs and augments it with a semantic analysis formulated in Lexical Resource Semantics, according to which some idiom parts make identical semantic contributions to the overall meaning of the idiom. The analysis further suggests that the syntactic flexibility of idioms is due to the semantic and pragmatic constraints on the involved constructions, rather than the syntactic encoding of the idioms.
Chapter 5, “Modification of literal meanings in semantically non-decomposable idioms”, reviews Ernst’s (1981) classical three types of idiom modification (internal, external, and conjunction) to then closely investigate the most challenging type, namely conjunction modification, in SNDIs. Based on naturally occurring examples of four SNDIs (two English, two German), it sketches an analysis in terms of two or more conjoined independent propositions, each of which can be the result of figurative reinterpretation. One of the propositions contains the idiomatic meaning, in (one of) the other(s), the meaning of the modifier applies to the literal meaning of the idiom’s noun.
Chapter 6, “Semantically decomposable idioms in the N-after-N construction”, offers a formal syntactic and semantic account of SDIs like pull strings in the N-after-N construction, as in Kim pulled string after string to get Alex into a good college. While the idiom contributes the type of entity at stake (‘string’ in the case of pull strings), N-after-N contributes that there are several instantiations of that type of entity and that these are subject to temporal or spatial succession. The chapter first summarizes the empirical properties of N-after-N, then provides an account of N-after-N in Head-driven Phrase Structure Grammar (HPSG), presents an updated version of the account of SDIs suggested in Chapter 2 within HPSG, and combines it with the HPSG account of N-after-N.
Pitch peaks tend to be higher at the beginning of longer than shorter sentences (e.g., ‘A farmer is pulling donkeys’ vs ‘A farmer is pulling a donkey and goat’), whereas pitch valleys at the ends of sentences are rather constant for a given speaker. These data seem to imply that speakers avoid dropping their voice pitch too low by planning the height of sentence-initial pitch peaks prior to speaking. However, the length effect on sentence-initial pitch peaks appears to vary across different types of sentences, speakers and languages. Therefore, the notion that speakers plan sentence intonation in advance due to the limitations in low voice pitch leaves part of the data unexplained. Consequently, this study suggests a complementary cognitive account of length-dependent pitch scaling. In particular, it proposes that the sentence-initial pitch raise in long sentences is related to high demands on mental resources during the early stages of sentence planning. To tap into the cognitive underpinnings of planning sentence intonation, this study adopts the methodology of recording eye movements during a picture description task, as the eye movements are the established approximation of the real-time planning processes. Measures of voice pitch (Fundamental Frequency) and incrementality (eye movements) are used to examine the relationship between (verbal) working memory (WM), incrementality of sentence planning and the height of sentence-initial pitch peaks.
Rebecca Walkowitz’s observation that contemporary novels tend to be “born translated” involves the notion that they equally tend to be “born in motion”; they are often already, conceptually, on the road to faraway readers during their moments of conception. A first, more narrowly defined objective of my essay is to examine the narrative strategies used in Dave Eggers’s What Is the What (2007) and Chimamanda Ngozi Adichie’s Half of a Yellow Sun (2007) that facilitate and respond to this dimension of motion in particular travels of memory. In a broader scope, this analysis will be embedded into an appraisal of the potentials of recent theorizing both in narratology (i.e. the study of narrative) and in memory studies to understand the dynamics at play in the reception of far-travelled narrative memory media. It is a central proposition of this essay that the two research fields share an amplitude of common concerns with regard to questions of reception and should therefore be brought into a close dialogue. The present study explores how some of these intersections between narratology and memory studies can be approached through the notions of “distance” and “proximity.”
In German children’s literature around 1900, the representation of childhood in pseudo-colonial realms participates in a construction of racial identities based on transcultural play. Acts of reading and scenes of instruction intersect with material objects to convey a pedagogy of race dominated by learned whiteness. This article asks: How does German children’s fiction around 1900 reconfigure national identity as imperial experience? An analysis of a noncanonical though exemplary fictional text about a jungle adventure demonstrates strategies used to include the child in the colonial experience. Imagining this ›play world‹ replicates for the child reader a sense of agency and citizenship through encounters with an indigenous mediator, an impish primate and imaginary landscapes – each represented through the lens of European epistemologies. These tropes produce tension between historical fact and imaginative fiction, working together to map a colonial geography of German identity on to a model transatlantic German childhood. Framed by theories of material objects and toys, and supported by the work of literary scholars and cultural historians, I examine the brief story »Die kleine Urwälderin« [The Little Jungle Girl] from Auerbachs Deutscher Kinder-Kalender auf das Jahr 1902 [Auerbach’s Almanac for German Children, 1902]. In it, the Amazonian setting aspires to historically factual representation, which, however, cedes considerable territory to the realm of fantasy. The projection of a German forest adventure on to a Brazilian geography elides historical truths, such as centuries of the transatlantic slave trade, and instead inserts imperial signifiers into an established syntax of the European child at play. The resulting national ideology of childhood identity in this German language story imposes colonial order on a reimagined play world.
Concepts of "Female Inversion" and the "New Woman" in Rhoda Broughton’s "Dear Faustina" (1897)
(2012)
Published in 1897, Rhoda Broughton’s fin de siècle novel "Dear Faustina" took an active part in the discursive production of two cultural figures: the New Woman and the Female Invert. Employing those identity constructs to negotiate conservative anxieties about social change, while at the same time commenting on a range of alternatives to Victorian middle-class lifestyle, the novel is clearly rooted in the discourses of transition that characterised the fin de siècle....
In this article we present experimental findings on the acceptability of different argument orders in the German middle field. Our study pursues two goals: First, to evaluate a number of surface constraints on German argument order that have been proposed in the literature, and second, to shed new light on how gradient constraints jointly determine sentence acceptability. In four experiments, we investigated the impact of surface constraints relating to animacy, thematic roles, definiteness and case. While we are able to confirm an influence of most constraints under investigation, the resulting constraint hierarchy does not coincide with any hierarchy put forward so far in the literature, to the best of our knowledge. With regard to gradience, our results can be accounted for either by an OT variant incorporating a notion of markedness, or by a fully quantified model using constraint weights. For the latter, however, we provide evidence against uniform penalties associated with constraint violations.
This thesis revolves around the development of a new critical approach to contemporary anglophone postcolonial literature in the form of a concept of ‘corporate ingression.’ This term denotes a globally recurring process of biopolitical (re)structuring of a community by corporate power and its extended cultural influence on society.
Through an analysis of contemporary engagements with similarly explored events over time and space in the form of three novels (Helon Habila’s Oil on Water, Lauren Beukes’ Moxyland and David Mitchell’s The Thousand Autumns of Jacob de Zoet), this thesis explores the relevance of the concept of corporate ingression as a new approach to such imaginative works. By reading these texts closely, with and against the grain, I enter into dialogue with their discussion of corporate power as the major structural influence in the societies they explore. I also show that a comparative analysis of these texts reveals similarities between the exploration of the period of early colonialism as acted out by the various trade corporations in existence and contemporary forms of corporate dominance. This research thus concerns various contexts and explorations of corporate power and explores the concept of recurring forms of corporate ingression as a new perspective within literary postcolonial and globalisation studies.
Oil on Water (2010) as a political novel explores the complex intricacies of communities structured around corporate power and presents a full account of the stakeholders that are influenced by or connected to the Niger Delta’s oil industry. Moxyland (2008) as a futuristic cyberpunk novel nuances the destruction implied in Oil on Water as a major factor of corporate ingression by exploring corporate power’s potential for constructive influence over a community. The Thousand Autumns (2010) as a historical novel explores an instance of corporate ingression in which the Dutch East India Company in Japan, despite its significant cultural influence, is subordinate to the host state to its activity. Corporate power is explored as a fallible construction that can be controlled by a strong regime as well as benefited from.
Despite the geographic and temporal distance between the three cases, and despite their exploration of widely differing industries, circumstances and levels of success, the common factors remain recognisable. Critical analysis shows that the contrasts between especially the constructive and destructive corporate activity in the three texts is of great interest, as it highlights the potential of corporate power both for construction and destruction of value. This research also shows how each novel actively resists a binary ethical narrative, instead presenting a set of complex power dynamics within the respective communities.
With this research I show that reading corporate ingression both significantly informs the reading of various postcolonial texts, while also showing that the analysis of these texts reveals that a conventional postcolonial binary approach is insufficient to account for what these works describe and investigate. The concept of a process of corporate ingression as a new perspective on literary explorations of historical, contemporary or futuristic forms of corporate power is thus shown to be a relevant addition to current postcolonial literary scholarship.
Corrigendum zu: Memory studies 13.2020, issue: 5, S. 861-874, doi:10.1177/1750698020943014, ISSN 1750-6999
In narratology, a widely recognized method involves exploring the connection between implied authors and implied readers. It entails correlating abstract narrative components within a text to understand the conveyed message and the multitude of interpretations it can offer. The present study adopts an implied reader-oriented approach to analyze three selected novels from the twentieth and twenty-first centuries—one Nigerian, one Caribbean, and one Kurdish. The aim is to explore the potential readings within these texts, considering the hermeneutic process of critical reading. The selected texts include Chinua Achebe’s Things Fall Apart, (1958), Same Selvon’s The Lonely Londoners, (1956), and Karwan Kakesur’s The Channels of the Armed Monkeys, (2011). This approach closely examines the communication between the author and reader of the text, with a special focus on the varying levels of communication between the components of the narration, including fictional and implied fictional communication.
The implied fictional communication occurs between a narrative agent known as ‘the implied author’ and its fictional counterpart ‘the implied reader’ rather than between the real, flesh and blood authors and readers. I argue that this level of communication is coded, and the act of decoding it is part of the reading process performed by the reader. Certain texts can propose different and sometimes opposing readings which are initially and purposefully designed by the implied author and addressed to different implied readers. These readings are not necessarily the results of different real readers but rather incorporated ones predetermined by the implied author only to be acknowledged and uncovered by the readers. In other words, the latent meaning is and always was an integral part of the text and is not something created by the imaginative reader or critic. The core interest of my thesis lies in identifying prompts and suggestions within the narrative of the selected texts and ultimately understanding the readerships prestructured in them. Identifying the different readers within those texts will provide new reinterpretations that can add undetected values to the reading process and sometimes suggests opposing readings to how those texts have so far been read. Additionally, it is the objective of this thesis to propose new ways that readers can interact with reading literature that would result in a more aesthetic and entertaining reading experience besides providing ways to be more informed and aware of the cues certain narrative texts contain.
There have been numerous critical studies on both narratology and postcolonial or minority literatures; however, there has been little scholarly work that attempts to utilize narratology as a theoretical foundation for understanding postcolonial and minority fiction.
This study examines fictional texts from Nigerian, Caribbean, and Kurdish literature, employing the narratological concept known as ‘Multiple Implied Readers’. By incorporating concepts from Brian Richardson’s ‘Singular Text, Multiple Implied Readers’, and Peter J. Rabinowitz’s ‘authorial audiences’, I explore the various readerships that the texts could encompass. This exploitation may lead to the discovery of new readings, interpretations, and meanings that would otherwise remain undetected. These structures introduce provocative indeterminacies that challenge the reader’s synthesis of information into coherent configurations of meaning. Consequently, this approach not only enhances the reading experience but also opens doors to new interpretations of the text. In some cases, these interpretations could even dismantle prior understandings and propose entirely new readings.
The concepts of the implied author and implied reader have been studied before in relation to various disciplines of narratology. However, by applying them in conjunction with the relatively less researched subject of multiple implied readers, I aim to shed light on important aspects of these readings. This exploration could prove beneficial for literature students as well as critical readers of literary texts, revealing the potential of these texts to accommodate more than one implied reader within their narratives.
"Eurocomprehension" is the term used to describe European intercomprehension in Europe’s three major language families, the Romance, the Slavic and the Germanic. The aim of eurocomprehension is to achieve multilingualism conforming to EU language policy goals through the entry-point of receptive competence in a modular structure. Linguistic intercomprehension research forms the transfer bases for the cognitive use of relations between the language groups which didactics of multilingualism implement. ...
This thesis reports three experiments on structural choices during grammatical encoding in monolingual adult speakers of German. Conceptual accessibility, one of the most central notions in language production research, as well as the phenomena of structural and perceptual priming are investigated.
In the first two experiments, a manipulation in terms of inherent conceptual accessibility which has shown universal influences on language production - the factor animacy - is combined with a manipulation making the non-canonical passive structure itself more accessible via structural priming.
Results show that, in addition to a preference for animate entities preceding inanimate entities, speakers can be structurally primed. Structural priming of passive structures led to significantly more passive responses compared to (intransitive) baseline structures.
This holds for monologue settings (Experiment 1) as well as dialogue settings (Experiment 2).
The structural priming effect was stronger in the dialogue setting compared to the monologue setting.
The third experiment combines contexts manipulating the derived conceptual accessibility of one of two entities to be described with a visual cueing manipulation increasing the perceptual accessibility of one of the referents.
Whereas a comprehensive literature review as well as the experimental work conducted within this thesis suggest that animacy and topicalization may exert universal influences on structural choices during language production, perceptual accessibility does not seem to have this potential.
In line with previous cross-linguistic work, perceptual priming in form of an implicit visual cueing manipulation did not show significant effects on speakers' structural choices in German.
These findings contrast with findings obtained for English, suggesting that language-specific characteristics in terms of word order flexibility may influence effcts on grammatical encoding during language production.
Increasing the derived accessibility of one of two referents, however, once again showed significant influences on speakers' structural choices with the topicalization of a patient referent leading to an enhanced production of passive responses.
The present paper aims at providing empirical evidence for dialectal variation concerning the perception of the central vowel [ɐ] in European Portuguese (EP). More concretely, this study compares the perception of the contrast between [a] and [ɐ] by native speakers of two varieties of EP: 23 speakers of a northern Portuguese dialect (from the city of Braga) and 23 speakers of the Littoral Center variety of EP (from the city of Lisbon, defined as Standard European Portuguese (SEP)). Based on a discrimination test, the results show that the two groups of speakers differ with respect to the perception of the contrast between the two central vowels under investigation. The speakers of the northern variety differentiate less between the two central vowels compared to the speakers from Lisbon.
Since Vietnamese is an isolating language, word order plays an important role in identifying the function of a particular word. Yet in some contexts word order may be flexible especially in the case of special information-structural settings. Discontinuous noun phrases constitute a specific case of non-canonical word order in Vietnamese.
I have conducted two read-speech experiments in order to find out whether there are prosodic or intonational effects in a comparison between continuous and discontinuous noun phrases in Vietnamese. In the first experiment, speakers from the Northern dialect were recorded and in the second experiment speakers from the Southern dialect. The results showed prosodic differences in the two word order conditions in both dialects. The duration of the classifier is significantly longer (p<0.001, ANOVA calculation) in the case of discontinuous noun phrases and the rising tone (sắc) is clearly articulated as rising. In the case of continuous noun phrases, the duration of the classifier is significantly shorter (p<0.001, ANOVA calculation) and a classifier with rising tone may lose its rising property. These prosodic effects are related to prosodic boundaries. In the case of discontinuous noun phrases, the classifier constitutes the prosodic boundary, whereas with continuous noun phrases, the (right) prosodic boundary occurs further to the right.
I assume that in Vietnamese there is generally a correspondence between syntactic and prosodic structure as in Selkirk (2011) and Féry (2017).
This means that for example the DP hai trái cam ‘two oranges’ (two CLF orange) is matched by a prosodic phrase, thus (hai trái cam)Φ. However, when the noun cam ‘orange’ is separated from the numeral-classifier complex, the noun and the classifier form a prosodic phrase on their own: (hai trái)Φ. It can thus be concluded that intonation effects in Vietnamese are not only present when expressing sentence modality and when changing the role of function words (Đỗ et al. 1998 and Hạ & Grice 2010), but they also play a role in word order change, as in discontinuous nominal phrases.
When it comes to syntactic aspects of discontinuous noun phrases, I discuss whether split constructions in Vietnamese involve movement as proposed by Trịnh (2011) or base-generation as put forward by Fanselow & Féry (2006). I argue for base-generation analysis since the second part of a discontinuous NP (remnant) may also occur outside of discontinuous noun phrases without its head noun and some discontinuous noun phrases do not have a continuous counterpart. My study confirms the connection between syntax and prosody.
The two parts of the discontinuous noun phrase form their own phrases syntactically as well as prosodically.
In German, the subject usually precedes the object (SO order), but, under certain discourse conditions, the object is allowed to precede the subject (OS order). This paper focuses on main clauses in which either the subject or a discourse-given object occurs in clause-initial position. Two acceptability experiments show that OS sentences with a given object are generally acceptable, but the precise degree of acceptability varies both with the object‘s referential form (demonstrative objects leading to higher acceptability than other types of objects) and with formal properties of the subject (pronominal subjects leading to higher acceptability than non-pronominal subjects). For SO sentences, acceptability was reduced when the object was a d-pronoun, which contrasts with the high acceptability of OS sentences with a d-pronoun object. This finding was explored in a third acceptability experiment comparing d-pronouns in subject and object function. This experiment provides evidence that a reduction in acceptability due to a prescriptive bias against d-pronouns is suspended when the d-pronoun occurs as object in the prefield. We discuss the experimental results with respect to theories of German clause structure that claim that OS sentences with different information-structural properties are derived by different types of movement.
Recent proposals suggest that timing in acquisition, i.e., the age at which a phenomenon is mastered by monolingual children, influences acquisition of the L2, interacting with age of onset of bilingualism and amount of L2 input. Here, we examine whether timing affects acquisition of the bilingual child’s heritage language, possibly modulating the effects of environmental and child-internal factors. The performance of 6- to 12-year-old Greek heritage children residing in Germany (age of onset of German: 0–4 years) was assessed across a range of nine syntactic structures via the Greek LITMUS (Language Impairment Testing in Multilingual Settings) Sentence Repetition Task. Based on previous studies on monolingual Greek, the structures were classified as “early” (main clauses (SVO), coordination, clitics, complement clauses, sentential negation, non-referential wh-questions) or as “late” (referential wh-questions, relatives, adverbial clauses). Current family use of Greek and formal instruction in Greek (environmental), chronological age, and age of onset of German (child-internal) were assessed via the Questionnaire for Parents of Bilingual Children (PABIQ); short-term memory (child-internal) was measured via forward digit recall. Children’s scores were generally higher for early than for late acquired structures. Performance on the three early structures with the highest scores was predicted by the amount of current family use of Greek. Performance on the three late structures was additionally predicted by forward digit recall, indicating that higher short-term memory capacity is beneficial for correctly reconstructing structurally complex sentences. We suggest that the understanding of heritage language development and the role of child-internal and environmental factors will benefit from a consideration of timing in the acquisition of the different structures.
Editorial
(2017)
Editorial
(2018)
»Under the pavement lies the beach« or »Power to the imagination« – these slogans characterise the movement of ’68, which publicised its social and political demands in a creative and programmatic fashion. The year 1968 not only marks a significant upheaval in what was then West Germany, it also has strong East and West European as well as international dimensions. ’68 can be understood as a cipher for protest movements which re-evaluated and challenged institutional structures, revolutionised gender and intergenerational relations and radiated into daily life, family life as well as individual lifestyles. Literature and the media, too, were subjected to critical revision, new formats and writing styles established, traditions either abandoned or continued within new paradigms.
Children’s literature and media were significantly shaped by these developments. Their contents were influenced by the anti-authoritarian discourse in education and by the demands of emancipation movements, their themes and aesthetics by politicised concerns and a new orientation towards sociopolitical reality. Children’s literature scholars have studied and identified ’68 as a paradigm shift. Recent studies, however, have also looked at developments in the late 1950s and early 1960s, pointing out that changes on the literary-aesthetic and content levels actually started much earlier.
Fifty years after this ›paradigmatic‹ caesura, the second volume of the Yearbook of the German Children’s Literature Research Society brings the cipher »’68« into focus to discuss historical and contemporary dimensions of this junction. Articles from a variety of European perspectives examine the manifold implications of this topic from theoretical and subject-oriented angles and in its different medial forms, and discuss these in the context of their significance for today’s children’s and young adult culture.
Beyond this focus theme, and in line with the concept of the Yearbook, two fundamental theoretical and historical articles on questions of children’s literature and media present current avenues and perspectives. And the ten articles are followed by book reviews. Thanks to the involvement of the members of the German Children’s Literature Research Society (GKJF), over 30 relevant publications from the past year are discussed in individual and collective book reviews.
Editorial [2019, english]
(2019)
Editorial [2020, english]
(2020)
Editorial [2021, english]
(2021)
As language rhythm relies partly on general acoustic properties, such as intensity and duration, mastering two languages with distinct rhythmic properties (i.e., stress position) may enhance musical rhythm perception. We investigated whether second language (L2) competence affects musical rhythm aptitude in Turkish early (TELG) and late learners (TLLG) of German in comparison to German monolingual speakers (GMC). To account for inter-individual differences, we measured participants’ short-term and working memory capacity, melodic aptitude, and time they spent listening to music. Both L2 speaker groups perceived rhythmic variations significantly better than monolinguals. No differences were found between early and late learners’ performances. Our findings suggest that mastering two languages with different rhythmic properties enhances musical rhythm perception, providing further evidence of cognitive share between language and music.
In this paper, I investigate the suppletion patterns that are found in languages that make a clusivity distinction. I will show that in the triple 1SG-1EXCL-1INCL, ABA patterns do not arise, consonant with other work on suppletion patterns (Bobaljik 2012, Smith et al. 2016). That is, it is not possible for the exclusive pronoun to supplete on its own whilst the singular and inclusive share a common base. All other patterns are attested. I will argue that the lack of ABA patterns supports the view that the inclusive is the most marked category in this set (Noyer 1992, Siewierska 2004, Cysouw 2003, a.o.), and propose that there is a containment relation such that the feature set that makes up the inclusive properly contains the features that form the exclusive, following the reasoning laid out in Bobaljik (2012). I further consider the makeup of person features, and argue that the lack of ABA patterns in clusivity suggest that clusivity features are privative, rather than binary ('cf'. Harbour 2016).
Despite a large body of research, the linguistic nature of exhaustivity in single wh-questions is unresolved. Moreover, little empirical evidence exists as to which related structures pattern with bare wh-questions regarding exhaustivity. This paper explores the felicity of various exhaustivity violations in unembedded single bare wh-questions in German and compares them to related structures. In two novel felicity judgment experiments, a total of 441 participants rated exhaustive as well as non-exhaustive plural and non-exhaustive singleton answers to wh-questions or statements in a questionnaire. Answers were based on picture stimuli depicting individuals performing various actions. The felicity of non-exhaustive answers was compared across four main test conditions: bare wh-questions (wer ‘who’), wh-questions with a lexical exhaustivity marker (wer alles ‘who all’), plural definite descriptions contained in a restrictive relative clause (e.g., “the people who are fishing in the garden”), and the scalar quantifier “some” (e.g., “some people who are fishing in the garden”).
We employ a novel methodological approach to improve the interpretability of statistical differences between experimental conditions by using the statistical measure of Minimal Important Difference (MID). Our results from estimated MIDs reveal that adults’ felicity judgments of non-exhaustive plural answers to bare wh-questions pattern with those to wer alles-questions and to plural definite descriptions: exhaustivity violations in the bare wh, the wer alles and the plural definite conditions were rated as less felicitous than exhaustivity violations in the some-condition.
Highlights
• Parents with and without migration background differ in educational knowledge.
• Parents with migration background have less educational knowledge on average.
• Variations in educational knowledge by immigrant groups.
• Social and cultural resources are central to explaining knowledge differences.
• Acculturation strategies prove to be of little relevance.
Abstract
Although extant research persistently highlights the importance of information for educational decision-making, better understanding the existence of, and the underlying reasons for, informational differences between immigrant and non-immigrant parents is important. This study examines the differences in the level of information between immigrant and non-immigrant parents of third graders just before they make probably their most important educational decision in the German education system. We draw on approaches highlighting the importance of resources and parents’ acculturation to explain the informational differences between immigrant and non-immigrant parents. Employing linear regression and probability models on data from the National Educational Panel Study in Germany (N = 3961), we demonstrate that all immigrant groups, particularly those from Turkey, the former Yugoslavia, the Middle East, and northern Africa, are significantly less informed than parents without own immigration experience. This result is evident both in our overall test and in various domains of the test, which analyze different aspects of information relevant to parents’ educational decision-making. Furthermore, different endowments with social and cultural capital largely explain the informational differences between parents with and without an immigrant background. In contrast, different acculturation strategies are almost negligible in explaining the differences in the level of information. Our findings provide important insights for research on migration-related inequalities in educational decision-making and for developing interventions to improve migrant parents’ ability to make well-informed and thus intended educational decisions.
Expletives as features
(2000)
Expletives have always been a central topic of theoretical debate and subject to different analyses within the different stages of the Principles and Parameter theory (see Chomsky 1981, 1986, 1995; Lasnik 1992, 1995; Frampton and Gutman 1997; among others). However, most analyses center on the question how to explain the behavior of expletives in A-chains (such as there in English or Þad in Icelandic). No account relates wh-expletives (as one finds them in so-called partial wh-movement constructions in languages such as Hungarian, Romani, and German) to expletives in Achains. In this paper, I argue that the framework of the Minimalist Program opens up the possibility of accounting for expletive-associate relations in A-/A'-chains in a unified manner. The main idea of the unitary analysis is that an expletive is an overtly realized feature bundle that is (sub)extracted from its associate DP. There in an expletive-associate chain is a moved D-feature which orginates inside the associate DP. Similarily, in A'-chains, the whexpletive originates as a focus-/wh-feature in the wh-phrase with which it is associated. This analysis provides evidence for the feature-checking theory in Chomsky (1995). The paper is organized as follows. Section 2 contains the discussion of expletive there. In section 3 I suggest an analysis for whexpletives, and I also explore whether this analysis can be extended to relations between X°-categories such as auxiliary and participle complexes.
The question of 'Fantastic motion' is whether films in the 1910s and 1920s should be viewed as merely the forerunners of patriarchal cinema, which some colleagues believe, or whether they offered - and still offer - alternatives to a female audience. The author makes a case for the latter possibility and searches for explanations for the enjoyable and liberating sensations they, as women, experienced while becoming acquainted with early film. Using a historical and contextual approach, Schlüpmann investigates genres including non-fiction, comedy and romantic drama from the early 1910s, and describes how the significance of notions such as the beauty of nature, the culture of humour and love could have been adopted into the perception of women filmgoers at the time.
This special issue explores how finance deploys time, structures the future, and interacts with actors and institutions that sometimes function according to very different temporal regimes. Finance capitalism’s logic of recurrence, repetitive cycles, and successive ruptures has long been with us, but the essays in this special issue are particularly interested in how recent decades of intensified financialization have restructured temporal experience. They interrogate the production and dissemination of agency in an age of acceleration, risk, and uncertainty, asking how the temporality inscribed in financial transactions emerges from and simultaneously shapes individual and social practice. Topics covered range from the logic of finance and foundational concepts of financial theory to the intersection between objective structures and social practice, the role of literature, and finally questions of social insecurity, political action, and the possibility of resistance within a context of competing temporalities. In this introduction, the editors delineate some fundamental concepts and questions for our financial times.
The outset of Joyce’s A Portrait of the Artist as a Young Man presents a stage of life and language that is commonly evoked and, at the same time, systematically avoided in autobiographies as well as theoretical approaches to language: infancy. This textual strategy refers back to Augustine’s Confessiones, one of the most canonical autobiographies, reading it as a mainstay for an unconventional hypothesis: Rather that understanding infancy as an early stage of, or even before, language, Joyce expounds that the condition called infancy – the openness for receiving language while being unable to master it – accompanies all speech, be it childlike or eloquent. The article analyses Joyce’s text as one instance of a general paradox of autobiographical writing: initial aphasia. Setting out with birth or infancy, autobiographical texts precede articulate discourse. In Joyce, this paradox appears as starting point for a poetical – rather than theoretical – thinking about language, and language acquisition.
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.
The micro–blogging service Twitter can be used to publicly share information about events that used to be limited to a defined number of participants only. How does this affect different types of formal or semi–formal events, from the university seminar to the council meeting? This paper uses Goffman’s notion of involvement and Lindroth and Bergquist’s notions of alignment and glancing to describe the potential for conflict that this use of Twitter causes, and suggests approaches that may help to avoid or to alleviate conflicts.
The frequency of intensional and non-first-order definable operators in natural languages constitutes a challenge for automated reasoning with the kind of logical translations that are deemed adequate by formal semanticists. Whereas linguists employ expressive higher-order logics in their theories of meaning, the most successful logical reasoning strategies with natural language to date rely on sophisticated first-order theorem provers and model builders. In order to bridge the fundamental mathematical gap between linguistic theory and computational practice, we present a general translation from a higher-order logic frequently employed in the linguistics literature, two-sorted Type Theory, to first-order logic under Henkin semantics. We investigate alternative formulations of the translation, discuss their properties, and evaluate the availability of linguistically relevant inferences with standard theorem provers in a test suite of inference problems stated in English. The results of the experiment indicate that translation from higher-order logic to first-order logic under Henkin semantics is a promising strategy for automated reasoning with natural languages.
This paper compares the production of different types of direct objects by Portuguese–German and Polish–German bilingual school-aged children in their heritage languages (HLs), Polish and European Portuguese (EP). Given that the two target languages display identical options of object realization, our main research question is whether the two HLs develop in a similar way in bilingual children. More precisely, we aim at investigating whether bilingual children acquiring Polish and EP are sensitive to accessibility and animacy when realizing a direct object in their HL. The results of a production experiment show that this is indeed the case and that the two groups of bilinguals do not differ from each other, although they may overgeneralize null objects or full noun phrases to some extent. We conclude that the bilingual acquisition of object realization is guided by the relevant properties in the target languages and is not influenced by the contact language, German.
This paper intends to provide some speculative remarks on how consistency and continuity in language use practices within and across contexts inform heritage language acquisition outcomes. We intend “consistency” as maintenance of similar patterns of home language use over the years. “Continuity” refers to the possibility for heritage language speakers to be exposed to formal education in the heritage language. By means of a questionnaire study, we analyze to what extent Italian heritage families in Germany are consistent in their use of the heritage language with their children. Furthermore, by analyzing the educational offer related to Italian as a heritage language across different areas in Germany, we reflect on children’s opportunities to experience continuity between home and school language practices. Finally, we interpret the results of previous studies on Italian heritage language acquisition through the lens of consistency and continuity of language experience. In particular, we show that under the appropriate language experience conditions (involving consistency and continuity), heritage speakers may be successful even in the acquisition of linguistic phenomena that have been shown to be acquired late in first language acquisition.
This article examines Jamal Mahjoub's 2003 novel Travelling with Djinns from a transcultural perspective. Drawing on Wolfgang Welsch's definition of transculturality, I argue that the road trip plays an integral role in how the novel maps 21st century Europe as a heterogeneous construct. While driving from Germany through France to Spain, the main character Yasin adopts a fluid understanding of identity, informed by his experience of being on the move. Simultaneously, the novel conceptualises the European continent as irrevocably shaped by its history of migration, relating the road trip to other historic experiences of travel, migration and exile, some – but not all – of which linked to Europe's colonial past. Extensive intertextual references also support the novel's central idea that cultural encounters have shaped Europe for centuries. Since transcultural exchanges tend to be an ever-growing phenomenon in the face of mass migration, globalisation and communication technology, Travelling with Djinns sets out to underscore the continent's transcultural condition as both historic and ongoing.
Spain is a gateway to Europe and has long been a destination for migrants and refugees from Africa and Latin America. In the last decades, the country has received a significant number of people from the Saharawi tribe in the Western Sahara, a former Spanish colony today occupied by Morocco and Algeria. Like other European countries it has also received individuals and families fleeing from the conflicts in the wake of the so-called Arab Spring. Spain has a history of its people crossing the borders during and after the Spanish Civil War (1936–1939). Despite these experiences, exiles and asylum seekers are seldom depicted in its children’s books. When they address such topics, most stories in recent books are about forced displacements of people during World War II or conflicts in regions far from Spain such as Nepal, the Middle East, or Afghanistan. A few Spanish books addressed to young adults, or recommended for readers between nine and eleven, deal with Saharawi refugees but they are usually set in African refugee camps. They seldom depict the refugee as a migrant who might come and establish a life in Europe. ...
This article develops a reading of Don DeLillo’s novel Cosmopolis that differentiates between two thematic and poetological axes running through the text. On the one hand, Cosmopolis explores the future-fixation of the risk regime of finance capitalism; on the other, it stages scenes of insecurity that physically threaten the protagonist and his world. Insecurity, the article argues, is a condition that throughout the text increasingly gains in appeal because it promises to offer an alternative to a world of managed risk. The concern with security emphasizes finitude and mortality, thus enabling a turn to existential matters that the virtual abstractions of finance have seemingly made inaccessible. While proposing an opposition between a logic of risk based on virtuality and a logic of (in)security based on authenticity, DeLillo’s novel also suggests that it is impossible to break out of the logic of risk management pervading late modernity. The appeal of (in)security articulated in Cosmopolis rather lies in the promise to existentially revitalize life within the confines of financialized capitalism.
This contribution focuses on indefinite arguments in object position. We address this topic from the point of view of the crosslinguistic variation within the Romance continuum, especially looking at Northern Italian Dialects (NIDs). The target is to describe the distribution of the different possible realizations of this kind of arguments in this area by means of an in-depth analysis of the data coming from the ASIt database and from three new fieldwork sessions. We show that the microvariation attested in this area reflects and refines the “macro” variation attested among the major Romance languages. The fine-grained picture that can be drawn from a closer look to a set of minimally varying languages helps crosslinguistic comparison and, consequently, the modeling of more precise analyses.
This dissertation is concerned with the phenomenon of intervention effects, observed in three different domains: wh-questions, alternative questions (AltQ) and Negative Polarity Item (NPI) licensing. I propose that these three domains share some common properties, namely, they all involve focus-sensitive licensing, and are thus sensitive to an intervening focus phrase. The overview of the dissertation is as follows. In chapter 2, I discuss the phenomenon of intervention effects in wh-questions, brought to light in the discussion of German in Beck (1996), and Korean in Beck and Kim (1997). The basic idea of their analysis is that quantifiers block LF wh-movement. I show that intervention effects are observed in many other languages, too, suggesting that the intervention effect has a universal character. I then point out some problems with the analysis proposed by Beck (1996) and Beck and Kim (1997). In chapter 3, I propose a new generalization of the wh-intervention effects, namely that the core set of interveners, which is crosslinguistically stable, consists of focus phrases (and not quantifiers in general). Furthermore, I argue that the wh-intervention effect is actually an instance of the more general intervention effect, the "Focus Intervention Effect", which says that in a focus-sensitive licensing construction, no independent focus phrase may intervene between the licensor Op and the licensee XP. The underlying idea is that the Q operator is a focus-sensitive operator and that wh-phrases in-situ are dependent (i.e., semantically deficient) focus elements, which must be associated with the Q operator in order to be interpreted. An intervening independent focus operator precisely blocks that association. I further propose that the domain of focus-sensitive licensing includes not only wh-licensing, but also AltQ-licensing and NPI-licensing. In chapter 4, I show that alternative questions are also subject to the focus intervention effect, just like wh-questions. I provide evidence that the intervention effect in wh-questions and in alternative questions should receive a parallel analysis, in terms of focus-sensitivity. In chapter 5, I discuss a third construction which is sensitive to the focus intervention effect: the licensing of Negative Polarity Items (NPIs). I show that focus consistently blocks NPI licensing, with data from German and Korean. I propose that NPIs are also semantically deficient focus elements, which need to be associated with a NEG operator. Finally, chapter 6 summarizes the intervention effects and suggests some topics for future research into the precise nature of the intervention effect.
Introduction
(2014)
This introduction outlines new developments in the field of cultural and media memory studies in the wake of the transcultural turn. It pays specific attention to the twofold dynamics of memory’s travel and locatedness. While in recent memory studies discourse there has been a tendency to see travel as the inspiration for innovative research, locatedness has become associated with old-fashioned, bounded approaches. Rather than reproduce the positive charging of travel and negative charging of locatedness, this special issue aims to emphasise the complexity of memory dynamics resulting from the interaction of the two poles and to make visible that the production, (re)mediation, and reception of the past in the present is constituted by both travel and locatedness.
A growing body of experimental syntactic research has revealed substantial variation in the magnitude of island effects, not only across languages but also across different grammatical constructions. Adopting a well-established experimental design, the present study examines island effects in Spanish using a speeded acceptability judgment task. To quantify variation across grammatical constructions, we tested extraction from four different types of structure (subjects, complex noun phrases, adjuncts and interrogative clauses). The results of Bayesian mixed effects modelling showed that the size of island effects varied between constructions, such that there was clear evidence of subject, adjunct and interrogative island effects, but not of complex noun phrase island effects. We also failed to find evidence that island effects were modulated by participants’ working memory capacity as measured by an operation span task. To account for our results, we suggest that variability in island effects across constructions may be due to the interaction of syntactic, semantic-pragmatic and processing factors, which may affect island types differentially due to their idiosyncratic properties.
Language and transnationalism : language discourse in transnational Salsa communities of practice
(2013)
Language ideologies in contemporary Western societies are characterised by a strong influence of the idea that one language ‘pertains’ to one culture. Yet, cultural developments of globalisation, such as migration, the construction of transnational networks or global mass media, question national frameworks of culture and language.
In this thesis, after reviewing the field of language ideology and discussing historical examples of the development of national language discourse, language ideologies in a transnational context are examined. Using ethnographic research methods and a discursive approach to interview data, concepts and ideas revolving around language of transnational Communities of Practice constituted through Salsa dancing are analysed. Due to its connections to the Latin American cultural space, the practice of Salsa dancing in non-Latin contexts intrinsically constructs transnational ties. Different Salsa Communities of Practice are studied in Sydney, Australia, and Frankfurt, Germany. Interestingly, different local communities show very different ideologies concerning the role of language, multilingualism, concepts of authenticity or influences of capitalist discourse. The cross-national approach allows studying the influence of different national discourses on the formation of local ideologies in transnational contexts.
Thus, next to scrutinising the traditional concept of a ‘language’ and its relevance in a transnational age, the theoretical aim of this study is to analyse the interaction of discourses from different realms – local, regional, national, transnational – in the formation of contemporary discourses on language. These construct new symbolic meanings of language that co-exist next to the national concept of the relationship of language and culture, so that a multiplication of language boundaries can be considered to be a characteristic trait of contemporary language discourse.
This paper addresses a set of issues related to language documentation that are not often explicitly dealt with in academic publications, yet are highly important for the development and success of this new discipline. These issues include embedding language documentation in the socio-political context not only at the community level but also at the national level, the ethical and technical challenges of digital language archives, and the importance of regional and international cooperation among documentation activities. These issues play a major role in the initiative to set up a network of regional language archives in three South American countries, which this paper reports on. Local archives for data on endangered languages have recently been set up in Iquitos (Peru), Buenos Aires (Argentina), and in various locations in Brazil. An important feature of these is that they provide fast and secure access to linguistic and cultural data for local researchers and the language communities. They also make data safer by allowing for regular update procedures within the network.
Language use before and after Stonewall: a corpus-based study of gay men’s pre-Stonewall narratives
(2019)
This study presents a contrastive corpus linguistic analysis of language use before and after Stonewall. It uses theoretical insights on normativity from the field of language and sexuality to investigate how the shifting normativities associated with the Stonewall Riots (1969) – widely considered the central event of gay liberation in the Western world – have shaped our conceptualization of sexuality as it surfaces in language use. Drawing on two corpora of gay men’s pre-Stonewall narratives dating from two time periods (before and after Stonewall, called PRE and POST), the analysis combines quantitative (keyword analysis, collocation analysis) and qualitative (concordance analysis) corpus linguistic methods to examine discursive shifts as evident from narrators’ language use. The study identifies the terms homosexual and normal as central contrastive labels in PRE, and gay and straight as corresponding terms in POST. Other discursive shifts detected are from sexual desire/practices to identity (and vice versa), from an individualistic to a community-based conceptualization of sexuality, and from unquestioned heteronormativity and gender binarism to a weakening of such dominant discourses. The findings are discussed in relation to the desire-identity shift, which is traditionally assumed to have taken place at the end of the 19th century, and shed new light on Stonewall as a central event for the development of an identity-based conceptualization of sexuality as we know it today.
This paper is intended to show how Latinos in general and Mexican Americans, Cuban Americans, and Puerto Ricans in particular, engage politically in the United States. Latinos execute their influence by voting or in non-electoral activities like campaign work or financial contributions. As an individual, one participates as a member of society and possibly as a member of an interest group, i.e. a party. Thus, to be successful, it is necessary to combine one’s personal interest with that of others in order to form an alliance that, due to its size, may have an impact on the political stage. This study will show which factors are necessary and which steps were taken to gain and enhance Latino political influence. In doing so, it will become clear that Mexican Americans, Cuban Americans, and Puerto Ricans all started their struggle from diverse backgrounds and possess significantly different goals. Although common language unites these three national-origin groups, they do not have the same political and economic resources at their disposal. Decisive differences in immigration politics, naturalization, and economic opportunities become visible and will prove a distinct heterogeneity of Latinos concerning political behavior and goals. Political activities of Mexican Americans, Cuban Americans, and Puerto Ricans will be outlined as well as how they differ from each other. In doing so, it is necessary to take notice of their specific histories and legal experiences upon arrival in the United States. Furthermore, different demographic factors of the three national-origin groups additionally affect political participation. An understanding of Latino political participation should be in the interest of the U.S. public as well as scholars engaging in American Studies. This biggest minority increasingly makes its presence felt in the electoral arena, especially at the state level. In states such as California, Texas, Florida and New Mexico Latinos constitute decisive voting blocs. But also, Latinos nationwide enlarge their political clout, due to cumulative numbers and a more developed political consciousness. With this national and state level significance of the Latino electorate, examining their policy preferences and goals has become progressively more important to the understanding of the U.S. political scene. The approach here is twofold. First, political participation of the Latino population as a whole will be researched; using numbers and results from the presidential election 2004. In this part of the paper, the concept of pan-ethnicity using the label Latino will be used to sum up Spanish-speaking nationalities and their political efforts. In order to be eligible to vote, certain legal requirements are to be met, so factors that account for voting will be outlined first. In accordance with the large share of non-citizens among the Latino population, it is also necessary to examine their non-electoral political activities. The second part will portray Latinos in more detail, examining the three largest national-origin groups. By demonstrating their specific histories and varied experiences and opportunities in U.S. politics, it will become clear that when talking about Latino Politics, it is indispensable to bear in mind the heterogeneity of America’s biggest minority and the side effects this has.
Left dislocation in Zulu
(2004)
This paper examines left dislocation constructions in Zulu, a Southern Bantu language belonging to the Nguni group (Zone S 40). In Zulu left dislocation configurations, a topic phrase in the beginning of the sentence is linked to a resumptive element within the associated clause. Typically, the resumptive element is an incorporated pronoun (cf. Bresnan & Mchombo 1987), as illustrated by the examples in (1) and (2). In these examples, the object pronoun (in italics) is part of the verbal morphology and agrees with the noun class (gender) of the dislocate. This situation is schematically illustrated in (3), where co-indexation represents agreement: ...
This dissertation explores the linguistic identity changes of Chinese international students in Germany, and the relationship between their identity reconstruction and their multilingual competence. With the social turn (Block, 2003) of applied linguistics, research on study abroad has shown that student sojourners abroad encounter challenges not only to their language abilities, but also to their identities, which explains the vast individual differences in the measurable outcomes of student sojourns abroad. However, the realm of learners’ linguistic identity development in the English as a lingua franca (ELF) and multilingual contexts remains to be further explored, since most existing studies examined learners in the target language community. Guided by poststructuralist views and sociocultural theories, this study is designed with a view towards investigating the lived experience of Chinese international students at German universities.
Employing a qualitative approach, my research tracked seventeen Chinese students’ experiences of language learning and use in both their social lives and academic settings over one year. The empirical work combined semi-structured, in-depth interviews and emails. Three rounds of one-to-one interviews were conducted every 6 months and each round focused on students’ respective past, present and future. The grounded theory approach (Corbin & Strauss, 2015) was used in this study to analyse the data, aiming at generating theoretical explanations for phenomena through constant comparison.
The results of the category-based analysis offer a new lens on the intricate linguistic identity development of Chinese students in the study abroad context. The construction of their new identity facets is related to various contextual elements in experiences of their language learning and use. More importantly, learners’ identity changes related to the use of ELF is conceived as within a framework of multilingualism (Jenkins, 2015). In any given social interaction, learners’ linguistic identities are influenced by a combination of factors: perceived linguistic proficiency gap, power distribution,preferred communication styles, sensitivity to second/third language self-images and openness to new cultures. It is these factors, instead of the lingua franca context or
target language context per se, that come into play in the reformation of learners’
linguistic identities. Learners’ linguistic identity changes, together with their priority setting in studying abroad, are in turn interconnected with their multilingual competence development.
The findings of my study suggest theories for understanding learners’ linguistic identity development and the outcomes of their language learning in the study abroad context in the face of the complexity of individual experiences. My study also demonstrates the importance to foster learners’ “self-presentational competence” (Pellegrino Aveni, 2005: 145-146) so that they could successfully negotiate new subject positions when crossing the borders.
This dissertation is concerned with the role of prosody and, specifically, linguistic rhythm for the syntactic processing of written text. My aim is to put forward, provide evidence for, and defend the following claims:
1. While processing written sentences, readers make use of their phonological knowledge and generate a mental prosodic-phonological representation of the printed text.
2. The mental prosodic representation is constructed in accordance with a syntactic description of the written string. Constraints at the interface of syntax and phonology provide for the compatibility of the syntactic analysis and the (mental) prosodic rendition of the sentence.
3. The implicit prosodic structure readers impose on the written string entails phonological phrasing and accentuation, but also lower level prosodic features such as linguistic rhythm which emerges from the pattern of stressed and unstressed syllables.
4. Phonological well-formedness conditions accompany and influence the process of syntactic parsing in reading from the very beginning, i.e. already at the level of recognizing lexical categories. At points of underspecified syntactic structure, syntactic parsing decisions may be made on the basis of phonological constraints alone.
5. In reading, the implicit local lexical-prosodic information may be more readily available to the processing mechanism than higher-level discourse structural representations and consequently may have more immediate influence on sentence processing.
6. The process of sentence comprehension in reading is conditioned by factors that are geared towards sentence production.
7. The interplay of syntactic and phonological processes in reading can be explained with recourse to a performance-compatible competence grammar.
The evidence from three reading experiments supports these points and suggests a model of grammatical competence in which constraints from various domains (syntax, semantics, pragmatics, discourse structure, and phonology) interact in providing the possible structural, i.e. grammatical descriptions.
This dissertation investigates a special class of anaphoric form, yè, in Ewe known as the logophoric pronoun. This research makes a number of novel observations.
In the first chapter, I introduce the reader to the phenomenon under investigation as well as provide information on Ewe and its dialects and, methodology. In Chapter 2, I present the pronominal system of Ewe which is categorised into strong and weak forms following Cardinaletti & Starke (1994) and Agbedor (1996). The distribution of pronouns is outlined which sets the tone for an overview of logophoric marking. In this respect, I present variations in logophoric marking strategies cross linguistically and show that Ewe differs significantly from other pronouns in this category. In an effort to explain the deviant case of yè, I entertain the idea that yè is a pure logophoric pronoun in the sense of Clements (1975) and thus, its additional de re and strict interpretation does not imply non-logophoricity.
Chapter 3 demonstrates that yè is sensitive to contexts which portray the intention of an individual. Following Sells (1987), the antecedent of yè must have an intention to communicate. I broadly categorize logophoric contexts into reportative (direct-indirect speech) or non-reportative (speaker’s mental attitude, reporter’s observation or background knowledge of a situation). Based on this categorization, indirect speech report (Clements 1975), dis- course units such as a paragraph or an episode (Clements 1975), and sentential adjuncts such as purpose, causal and consequence clauses (Culy 1994a) are reviewed. The logophoric pro- noun occurs in the complement of attitude verbs (Clements 1975), also termed logocentric (à la (Stirling 1994)) or logophoric predicates (à la (Culy 1994a)) as well as with non-attitudinal verbs (e.g. va ‘come’ or wO ‘do’ as in sentential adjuncts). I argue contra Clements (1975) and Culy (1994a) that yè can occur with perception predicates. I further provide three new instances of non-reportative contexts which are compatible with yè namely, as-if clauses, benefactive na clauses and alesi ‘how’ clauses. I show, corroborating previous studies that contexts which are necessary for the licensing of yè include all of the aforementioned except causal clauses. Among these contexts, the complementizer be or regarding cases where there is no be, an element in C (due to the Doubly-Filled-Comp Filter (DFCF) c.f. Chomsky & Lasnik (1977)), is sufficient to license yè. Following Bimpeh & Sode (2021), yè is licensed by feature checking (in the spirit of von Stechow (2004)): be bears the interpretatble [log] feature which checks the uninterpretable [log] feature of yè. I include a redefinition of logophoricity as pertaining to Ewe.
Given the disparity found in the literature concerning the interpretation of yè: Ewedome (pronounce EVedome) has only de se readings (Bimpeh 2019); while ‘pure’ Ewe, Mina (variety of Ewe spoken in Togo) Pearson (2015), Danyi (O’Neill 2015) and Anlo (pronounced ANlO) (Satık 2019) has de re readings; chapter 4 aims at lending empirical support to the ungoing discussion by verifying the interpretation of yè. Two acceptability judgment tasks were conducted namely, truth value judgment task and binary forced choice task. The results corroborates Pearson (2012, 2015) and others’ discovery that yè has a de re interpretation in the Ewedome (contra Bimpeh (2019); Bimpeh et al. (2022)), Anlo and Tonu (pronounced TONu) dialects of Ewe.
In chapter 5, I discuss the relation between logophoricity (yè, yè a) and Control (PRO). I show that yè may be restricted to a set of verbs which obligatorily require the morpheme a ‘potential marker’ (Essegbey 2008), in subject position. This set of verbs are those that are known as control verbs c.f. (Landau 1999) in English. As a result of this restriction, research such as Satık (2019) claims that yè a is the overt instantiation of PRO in English. According to the Ewe facts, it appears as though on one hand, yè and PRO share similar properties in logophoric contexts and on the other hand, yè in combination with the potential marker, a also share properties with PRO in subject control environments. Against this background, I discuss the relation between yè, yè a and PRO and show that neither yè in isolation nor yè in combination with a, contrary to Satık (2019), is the overt instantiation of PRO. I clarify that the potential morpheme a is not cliticised or combined with the logophoric yè. The two forms are seperate morphemes. The potential marker a only shows up in control environments because a sub-class of verbs require it for grammaticality purposes. As such, the property of de se-ness does not come from yè by itself, yè a or a but rather from the sub-class of verbs which require the potential marker a...
This master thesis will consider the question how far American history influenced, and is mirrored in, (American) science fiction literature. The main work of reference for this endeavor will be the award-winning Mars Trilogy by the aforementioned, renowned science fiction author Kim Stanley Robinson.
Chapter one will deal specifically with the topic of how certain events of American history – especially the War of Independence, its origins and its aftermath – are more or less mirrored in the Mars novels, often with only minor changes (and adapted into a sci-fi setting, of course). The historic concepts of ‘the Frontier’ and ‘Manifest Destiny’ will find some minor mention here.
The second chapter of this paper will be exclusively about one of the early main characters of the trilogy, one with a lasting influence even though he dies early. The leading thesis will be that this ‘all-American hero’ is, more or less, a fusion of two major figures of early American history, specifically Captain John Smith and legendary ‘frontiersman’ Daniel Boone. The name of this character alone – John Boone – should serve easily as an indicator for the truth of this thesis.
The final chapter of this thesis then leaves the Mars Trilogy behind in order to look at the whole wide field of science fiction literature. Selected works will serve to illustrate the pervasive presence of American history in this genre. The concept of the ‘frontier’ will be of considerable importance to this endeavor, and will feature significantly in this section.
Concluding the paper will be a short overview of the paper’s major points and a few final thoughts will then round out this thesis and mark its end.
More than 100 years after Henry James’s death, criticism is still working through unresolved gender issues in his fiction. This study proposes a new interdisciplinary approach to the gendered power relations in James’s novels that fills a crucial vacancy in the literature. Reading James’s intricately woven narrative form through the lens of relational sociology, specifically Pierre Bourdieu’s concept of symbolic domination, reconciles some of the most fiercely disputed positions in James studies of the past decades. With its focus on gender-related symbolic domination, this study demonstrates this approach’s potential to probe the depths of James’s fictional social worlds while developing the narratological tools to do so.
Many critics have paid attention to the relational nature of James’s social fictions as well as his talent for capturing unspoken, invisible, hidden social constraints. Blatantly missing from the literature is a systematic relational analysis into the specifically Jamesian method of narrating the socio-psychological, embodied responses to power and oppression. The present study closes this research gap. It reveals how James persistently narrates his characters as social agents whose perception, affects, and bodily practices are products of the social structures that they in turn continue to shape and reproduce. Moreover, it traces a development throughout James’s career that reflects his growing sensitivity for the stubbornness of some seemingly insurmountable social constraints. James’s fictional social worlds are relational ones through and through. This study is the first sustained effort to investigate the way in which his narratives capture this interrelatedness.
Employing an intersectional approach—drawing on cultural and new kinship studies, (medical) anthropology, gender and media studies—this article analyzes how the 2013 MTV series Generation Cryo as cultural text deals with medicalized masculinities and (in)fertilities. It asks in what ways masculinities and also fathers, fathering, and fatherhoods are (re)presented and negotiated in a story which has sperm donation by an anonymous donor and the donor siblings and/in their respective families at its center. In the show, essentially an (auto)biographical narrative, all families emphasize social parenthood over genetic inheritance, yet there are also deep-seated insecurities (re)triggered by the donor who is literally and metaphorically a present absence transforming into a potential family member, thus shaking family tectonics and challenging familial/familiar gender and family roles. Generation Cryo is a story about donor conceived children, but also about clinically infertile men and their social roles as fathers, their struggles to narrate and embody individual forms of masculinities in the face of cultural normative templates of hegemonic masculinities— complex practices constantly oscillating between genetic essentialism and social parenthood.
German free relative constructions allow for case requirement mismatches under two types of circumstances. The first is when the case required in the embedded clause is more complex (NOM < ACC < GEN < DAT) than the case required in the main clause, and the relative pronoun takes the form of the embedded clause case. The second type of circumstance is when the form that corresponds to the two required cases is syncretic. I propose an analysis that combines Caha’s (2009) case hierarchy in Nanosyntax with Van Riemsdijk’s (2006a) concept of Grafting. By placing case features as separate heads in the syntax, a less complex case can be Grafted into a different clause, explaining the first type of circumstance. The second type makes reference to the fact that syncretic forms are inserted via the same lexical entry (Superset Principle). A cross-linguistic comparison shows that it is language-specific whether a more complex case requirement in the main or embedded clause causes non-matching non-syncretic free relatives to be grammatical. For all languages it holds that the relative pronoun appears in the most complex case required, which provides additional evidence for case being complex and more complex cases being able to license less complex cases.
Modeling misretrieval and feature substitution in agreement attraction: a computational evaluation
(2021)
We present computational modeling results based on a self-paced reading study investigating number attraction effects in Eastern Armenian. We implement three novel computational models of agreement attraction in a Bayesian framework and compare their predictive fit to the data using k-fold cross-validation. We find that our data are better accounted for by an encoding-based model of agreement attraction, compared to a retrieval-based model. A novel methodological contribution of our study is the use of comprehension questions with open-ended responses, so that both misinterpretation of the number feature of the subject phrase and misassignment of the thematic subject role of the verb can be investigated at the same time. We find evidence for both types of misinterpretation in our study, sometimes in the same trial. However, the specific error patterns in our data are not fully consistent with any previously proposed model.
This article serves as both an état présent of emerging scholarship in the interdisiplinary field of Memory Studies and a conference report following the first MSA Forward interactive workshop which preceded the second annual conference of the Memory Studies Association (MSA) in December 2017. MSA Forward is the postgraduate arm of the Memory Studies Association and offers a platform for exchanging ideas amongst a cohort of emerging scholars engaging with recent developments in Memory Studies and interacting with key academics in the field. The idea of engagement, with its political undertone, draws attention to the political valence and ethical sensitivity of emerging research as evidenced in this article, which contends that if Memory Studies is to be moving forwards as well as looking back, then it is important for emerging scholars as well as established academics to be at the forefront of the field.
The present study aims at analyzing the role of nativeness, the amount of input in L1 acquisition and the multilingual competence in the performance of Italian–German bilingual speakers. We compare novel data from the performance of adult L2 learners (L1: Italian; late L2: German) and that of heritage speakers (heritage language: Italian; majority language: German) to previous data from monolingual speakers of Italian. The comparison deals with the produced word order at the syntax-discourse interface in sentences containing New Information Subjects in answers to questions that prompt the identification of the clausal subject. Overall, adult L2 speakers and heritage speakers perform alike but crucially differently from Italian monolinguals. These data reveal that multilingual proficiency determines an increased variety in the adopted answering strategies; in particular, the German-like strategy is active in Italian. Nativeness alone is thus no guarantee for a homogeneous performance across groups, nor do we find similar patterns of performance in speakers who grew up as monolinguals. Data also show heritage speakers’ sensitivity to verb classes, with answering strategies varying in accordance with the verb argument structure. Participants’ productions reveal an interesting relation in sentences with transitive verbs between subject position (pre-/postverbal) and object form (lexical DP/clitic pronoun).
This monograph contributes to research in content and language integrated learning (CLIL). Amidst the absence of any educational standards as well as other research deficits, Chapter II sketches a conceptual framework with a competence model for multilingual CLIL classes in the social sciences. It develops a line of argument for the promotion of global discourse competence for democratic participation within a transnational civil society. The subsequent four chapters, comprising one conceptual, one methodological and two empirical contributions, look at different aspects of the conceptual framework. Chapter III defends the developed competence model and further specifies its idea of thought in proposing the construction of multilingual 'cosmopolitan classroom glocalities' for the genesis of 21st century skills. The example of #climonomics, a multilingual EU parliamentary debate about climate change, illustrates its practical realization within school education and exemplifies the contribution to education for sustainable development (ESD) and the value of democratic and participatory learning arrangements. Chapter IV introduces design-based action research (DBAR), the method used in Chapters V & VI. DBAR is a hybrid of action and design-based research and is thereby ideally suited for bridging the gap of theory and practice in educational research. Chapter IV argues for closer cooperation between academics and practitioners, along with pragmatic stakeholder participation by involving students and teachers into research, in a quest for inductively making practical knowledge scientific. Chapter V, more language-biased, draws on the notion of translanguaging and presents the concept of 'trans-foreign-languaging' as a multilingual approach to CLIL with first language (L1) use. During six weeks DBAR, a comprehensive CLIL teaching model with judicious and principled L1 use was designed together with the study group. The model offers affordance-based and differentiated methods for different learner types. Its genesis is reconstructed by a thick description of the natural classroom dynamics. Chapter VI, rather subjectbased, asks about the influence of such bilingual language use on emotions, in particular on the formation of political judgments. It suggests different ways to measure emotions during various natural classroom settings. The chapter concludes that CLIL with L1 use has the potential to engender a perfect equilibrium of emotional and rational learning, integrating emotions into learning and valuing its positive contribution towards appropriate and multilayered political judgments. The concluding Chapter VII binds the previous chapters together and discusses the results. Criteria for the generalization of the results are assessed, and limits demarcated. It highlights the contribution to CLIL research and looks into the future, suggesting further direct classroom interventions, also with the goal to prepare the research field for larger undertakings.
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.
Whether minorities such as the Māori in Aotearoa New Zealand, the San across Southern Africa and the Métis in Canada, or native majority peoples such as the Aymara and Quechua in South America: indigenous peoples" lifeworlds have been transfigured by the difficulties originating from a history of conquest, settlement and suppression. The imperialist strife of European empires and the atrocities committed by their gang of "explorers" – including "this person Cook" in the South Pacific, Columbus in North America, Cortéz in Mexico, Gomes in West Africa, or van Riebeeck in South Africa – was aimed at enforcing European values and institutions, destroying, silencing or marginalizing indigenous cultures and societies as inferior "others." Unsurprisingly, the disruption of formal colonialism in the second half of the 20th century held no inherent improvement for the concerns of formerly colonized peoples. ...
Ascribing to the premise that film festivals are crucial to the production of cultural memory, this article explores different parameters through which festivals shape our reception of films. In its focus on the Asian American film festival CAAMFest, the article reveals that festivals are part of a complex network of actors whose different agendas influence the narratives produced around the film, direct its role as memory object and encourage memories to travel. What is more, it shows that festival locations—from the city in which a festival takes place to the concrete venue in which a film is screened—play a significant role in shaping our experience and understanding of films. Finally, it establishes that festivals create frames for their films, constructed through and circulated by the various festival media and live performances at the festival events. Bringing together film festival studies and memory studies, the article makes use of an interdisciplinary approach with which to explore the film festival phenomenon, thus shedding light on the complex dynamics of acts of framing, locations and networks of actors shaping the festival’s memory production. It also draws attention to the understudied phenomenon of Asian American film festivals, showing how such a festival may actively engage in constructing and performing a minority group’s collective identity and memory.
The neural processing of speech and music is still a matter of debate. A long tradition that assumes shared processing capacities for the two domains contrasts with views that assume domain-specific processing. We here contribute to this topic by investigating, in a functional magnetic imaging (fMRI) study, ecologically valid stimuli that are identical in wording and differ only in that one group is typically spoken (or silently read), whereas the other is sung: poems and their respective musical settings. We focus on the melodic properties of spoken poems and their sung musical counterparts by looking at proportions of significant autocorrelations (PSA) based on pitch values extracted from their recordings. Following earlier studies, we assumed a bias of poem-processing towards the left and a bias for song-processing on the right hemisphere. Furthermore, PSA values of poems and songs were expected to explain variance in left- vs. right-temporal brain areas, while continuous liking ratings obtained in the scanner should modulate activity in the reward network. Overall, poem processing compared to song processing relied on left temporal regions, including the superior temporal gyrus, whereas song processing compared to poem processing recruited more right temporal areas, including Heschl's gyrus and the superior temporal gyrus. PSA values co-varied with activation in bilateral temporal regions for poems, and in right-dominant fronto-temporal regions for songs. Continuous liking ratings were correlated with activity in the default mode network for both poems and songs. The pattern of results suggests that the neural processing of poems and their musical settings is based on their melodic properties, supported by bilateral temporal auditory areas and an additional right fronto-temporal network known to be implicated in the processing of melodies in songs. These findings take a middle ground in providing evidence for specific processing circuits for speech and music in the left and right hemisphere, but simultaneously for shared processing of melodic aspects of both poems and their musical settings in the right temporal cortex. Thus, we demonstrate the neurobiological plausibility of assuming the importance of melodic properties in spoken and sung aesthetic language alike, along with the involvement of the default mode network in the aesthetic appreciation of these properties.
George Orwells Roman 1984 aus dem Jahre 1949 gilt gemeinhin als einer der Klassiker dystopischer Literatur. Auch wenn das tatsächliche Jahr 1984 inzwischen Vergangenheit ist, hat Orwell’s Entwurf einer repressiven, totalitären Gesellschaft bis heute nichts an Aktualität eingebüßt. Konzepte wie „Big Brother“ oder „doublethink“ sind in unseren alltäglichen Wortschatz übergegangen, und Orwells Roman bildet auch weiterhin das Vorbild für viele aktuelle Dystopien. Doch nicht nur Orwells Darstellung eines düsteren, futuristischen Überwachungsstaates, in dem eine Gruppe von Machtinhabern versucht, sowohl die Vergangenheit als auch die Gedanken der Bevölkerung zu steuern, verkörpert wichtige Leitmotive dystopischer Literatur. Auch die Rolle und Anwendung von Sprache in dieser Zukunftsvision hat nachhaltig seine Spuren in dystopischer Literatur hinterlassen, auch wenn diese Rolle in der Forschungsliteratur häufig übersehen wird. Zwar befassen sich regelmäßig Kritiker mit dem Aspekt von Sprache in Romanen wie 1984 oder Aldous Huxleys Brave New World, allerdings gibt es kaum komparative Studien, die Sprache als ein eigenes, zentrales dystopisches Motiv sehen, sondern Sprache in der Regel in andere Aspekte subsumieren.
George Orwells Roman 1984 aus dem Jahre 1949 gilt gemeinhin als einer der Klassiker dystopischer Literatur. Auch wenn das tatsächliche Jahr 1984 inzwischen Vergangenheit ist, hat Orwell’s Entwurf einer repressiven, totalitären Gesellschaft bis heute nichts an Aktualität eingebüßt. Konzepte wie „Big Brother“ oder „doublethink“ sind in unseren alltäglichen Wortschatz übergegangen, und Orwells Roman bildet auch weiterhin das Vorbild für viele aktuelle Dystopien. Doch nicht nur Orwells Darstellung eines düsteren, futuristischen Überwachungsstaates, in dem eine Gruppe von Machtinhabern versucht, sowohl die Vergangenheit als auch die Gedanken der Bevölkerung zu steuern, verkörpert wichtige Leitmotive dystopischer Literatur. Auch die Rolle und Anwendung von Sprache in dieser Zukunftsvision hat nachhaltig seine Spuren in dystopischer Literatur hinterlassen, auch wenn diese Rolle in der Forschungsliteratur häufig übersehen wird. Zwar befassen sich regelmäßig Kritiker mit dem Aspekt von Sprache in Romanen wie 1984 oder Aldous Huxleys Brave New World, allerdings gibt es kaum komparative Studien, die Sprache als ein eigenes, zentrales dystopisches Motiv sehen, sondern Sprache in der Regel in andere Aspekte subsumieren.
Die vorliegende Arbeit, befasst sich mit genau dieser Unzulänglichkeit. Anhand von acht dystopischen Romanen in Englischer Sprache, die allesamt in den letzten 80 Jahren erschienen sind, wird die Rolle von Sprache herausgearbeitet, und ihre Relevanz für das Genre der Dystopie deutlich gemacht. Die verwendeten Werke sind, in chronologischer Reihenfolge: Aldous Huxleys Brave New World (1932), George Orwells 1984 (1949), Anthony Burgess‘ Clockwork Orange (1960), Russell Hobans Riddley Walker (1980), Suzette Haden Elgins Native Tongue (1984) und The Judas Rose (1987), Margaret Atwoods The Handmaid’s Tale (1985), sowie Will Selfs The Book of Dave (2006). Die Romane sind bewusst gewählt, um einen größtmöglichen Rahmen und Zeitraum abzudecken, der zudem unterschiedliche Strömungen und Traditionen innerhalb des Genres der dystopischen Literatur aufgreift.
Bevor die eigentliche Textanalyse beginnt, werden zunächst Entstehung und Charakteristika des dystopischen Konzeptes erläutert. Die Studie blickt kurz auf die Entwicklung der Utopie, dem Gegenkonzept von Dystopie, von der Klassik zur Moderne und verfolgt anschließend die Entstehung anti-utopischer Tendenzen bis hin zum Auftreten der Dystopie, einer speziellen Unterkategorie anti-utopischer Literatur, im späten 19. Jahrhundert. Darauf basierend werden einige der wichtigsten Leitmotive vorgestellt, die im weiteren Verlauf auch in Verbindung mit Sprache eine maßgebliche Rolle spielen. Zu guter Letzt wird auch auf die Problematik der Organisation und Klassifikation von Sprache in der folgenden Analyse eingegangen. Nicht nur ist Sprache an sich ein weitreichender Begriff; auch die Verwendung von Sprache in den einzelnen Romanen ist sehr unterschiedlich geprägt. So sind beispielsweise Romane wie Riddley Walker, Clockwork Orange und Book of Dave komplett oder zu weiten Teilen in einer eigenen, fiktiven Sprache verfasst, die verfügt, dass der Leser seinen Interpretationsrahmen anpassen muss. In anderen Romane dagegen, wie in Brave New World, The Handmaid’s Tale oder 1984, spielt Sprache dagegen fast ausschließlich auf der Handlungsebene eine Rolle. Eine umfangreiche Analyse erfordert es, alle Aspekte des Sprachgebrauchs abzudecken, auch wenn der begrenzte Rahmen dieser Arbeit es nur zulässt, die wichtigsten Aspekte in dieser Hinsicht abzudecken.
Aus den unterschiedlichen Formen des Sprachgebrauch, in dem sich auf Sprache sowohl als Schrift- wie Sprechmedium bezogen wird, geht auch der Aufbau der Hauptanalyse hervor: Im ersten Teil wird auf die Rolle von Sprache auf der Handlungsebene eingegangen. Es wird, unter Zuhilfenahme von Michel Foucaults Diskurstheorie, gezeigt, wie Sprache auf der einen Seite von einer autoritären Macht oder Institution verwendet wird, um bestimmte Diskurse durchzusetzen, die Stabilität der dystopischen Gesellschaft zu garantieren und das Äußern von kritischen Gedanken abzuwenden. Auf der anderen Seite, analog zu Foucaults Diskurs-Begriff, wonach ein Diskurs immer auch seinen Widerstand produziert, wird Sprache in einigen Romanen jedoch als gegenteiliges Medium eingesetzt; als ein Medium zur Befreiung und Wahrung der Individualität. Die wechselseitige Beziehung wird ausgiebig analysiert. Im dritten Analysepunkt wird die Beziehung zwischen sozialer Klasse und Status aufgedeckt.
Die zweite Hälfte der Studie wendet sich von der Handlungsebene ab und konzentriert sich auf stilistische und strukturelle Aspekte. Es wird gezeigt, wie Sprache von den Autoren benutzt wird, um die dystopische Erfahrung zu verstärken, wie die Einbindung von fiktiven Sprachen, Para- und Intertextualität sowie Namensgebung als stilistisches Mittel verwendet wird, das im Gegenzug zwei der wichtigsten Charakteristika dystopischer Literatur hervorhebt: Zum einen die didaktische Absicht, mit der Dystopien vor einer möglichen (und unweigerlich schlechteren) Zukunft warnen, falls keine Gegenmaßnahmen ergriffen werden, und zum anderen, wie Dystopien gezielt Aspekte aus der Zeit der Autoren aufgreifen, und diese in den Rahmen der Handlungsstruktur extrapolieren. Basierend auf dieser Annahme werden zum Abschluss einige Sprach- und kulturtheoretische Ideen aufgegriffen, die ihren Weg in die einzelnen Werke gefunden haben, und somit einen eigenen Diskurs von Sprache im dystopischen Roman ermöglichen.
Zum Abschluss der Arbeit werden die Ergebnisse aufgegriffen und im Hinblick auf eine mögliche Repositionierung von Sprache in der Forschung des dystopischen Romanes evaluiert. Es werden drei bestimmte Funktionen von Sprachgebrauch anhand der Analyse erschlossen und abschließend vorgeschlagen, Sprache zukünftig als eigenes Motiv innerhalb dystopischer Literatur zu sehen, da der Aspekt von Sprache in den hier diskutierten Texten unweigerlich mit der Absicht und Form der Dystopie in Einklang steht.
Does linguistic rhythm matter to syntax, and if so, what kinds of syntactic decisions are susceptible to rhythm? By means of two recall-based sentence production experiments and two corpus studies – one on spoken and one on written language – we investigated whether linguistic rhythm affects the choice between introduced and un-introduced complement clauses in German. Apart from the presence or absence of the complementiser dass (‘that’), these two sentence types differ with respect to the position of the tensed verb (verb-final/verb-second). Against our predictions, that were based on previously reported rhythmic effects on the use of the optional complementiser that in English, the experiments fail to obtain compelling evidence for rhythmic/prosodic influences on the structure of complement clauses in German. An overview of pertinent studies showing rhythmic influences on syntactic encoding suggests these effects to be generally restricted to syntactic domains smaller than a clause. We assume that, in the course of language production, initially, clause level syntactic projections are specified; their specification is in fact the prerequisite for phonological encoding to start. Consequently, prosodic effects may only touch upon the lower level categories that are to be integrated into the clausal projection, but not upon the syntactic makeup of the higher order projection itself.
This thesis primarily investigates an (hitherto unnoticed) agreement alternation between Romance and Germanic in D>N>&>N constructions (e.g. “these walls and ceiling”). While Romance exhibits left conjunct agreement, Germanic shows morphologically resolved agreement on the determiner, i.e. the phi-feature mismatching conjuncts can only be licensed if a syncretic form is available. To handle these data the author suggests a theory in which coordination is syntactically and morphologically unspecified and multiple agree is a general option. Infelicitous derivations are ruled out by interface conditions on the semantic and the phonological well formedness. The complete results of the corpus research conducted to deliver a sound empirical basis for the phenomena investigated in this thesis can be found in the appendix.
Nominal modification in language production: Extraposition of prepositional phrases in german
(2019)
In my dissertation, I investigate the phenomenon of extraposition of PP out of NP in German in language production. Four production experiments, using the method of production of memory, and three experiments testing the acceptability of extraposition were conducted. In extraposition, a constituent is realized in a position to the right of what would be considered the canonical position. A special case is extraposition out of a nominal phrase (NP), in which a constituent is moved out of NP to the end of the utterance. The example in (1a) illustrates the canonical version, in which a prepositional phrase (PP) is adjacent to its head noun. In (1b) the PP is extraposed out of NP to the right edge of the sentence.
(1) a. Gestern hat eine Frau mit einer lauten, schrillen Stimme angerufen.
b. Gestern hat eine Frau angerufen mit einer lauten, schrillen Stimme.
There are two main aspects to consider: the length of the extraposed constituent (the PP), and the length of the intervening material. Experiment 1 investigated the influence of constituent length on extraposition. The hypothesis is that longer and more complex constituents are harder to produce and are therefore produced towards the end of the utterance. In the experiment, PPs of three different lengths (2-3, 5-6, 9-11 words) had to be reproduced in either adjacent or extraposed position. As to the length of the intervening material, the hypothesis is that sentences with more intervening material between head noun and extraposed PP will tend to be reproduced with the PP in adjacent position to the head noun. In order to test this hypothesis, the length of the intervening material (1, 2 and 4 words) was manipulated in Experiment 2. The same material was used in an acceptability experiment, using the method of magnitude estimation (Experiment 5).
Previous studies found that extraposition is preferred over verbal material only, thus Experiment 3 investigated the influence of different lengths of purely verbal intervening material. Experiment 4 was concerned with the differences between PP and RC extraposition in production.
Experiment 6 and 7 used Likert scales to assess the acceptability of extraposition. Experiment 6 investigated whether the acceptability of extraposition is influenced by the definiteness status of the NP out of which is extraposed and if a soft constraint for definiteness can be found for PP extraposition in German. Experiment 7 asked if the inner structure of the extraposed constituent (PP only vs. PP+RC) influences its acceptability. An extraposed PP that includes an RC should be "heavier" than a PP without an RC, since the number of phrasal nodes is higher. If indeed heavier constituents are realized at the end of an utterance, the acceptability of an extraposed PP that includes an RC should be higher than that of an extraposed PP without one.
The results of the production experiments show that sentences are mostly reproduced in their original linear sequence, which suggests that extraposed position seems to be just as canonical as adjacent position, especially when extraposition takes place over verbal material only. With regard to constituent length, in extraposed position long PPs are shortened less often, supporting the hypothesis that longer and more complex constituents tend to be produced at the end of the utterance. Recency effects were found for intervening material as participants dropped intervening material rather than change syntactic position of constituents. The length and type of the intervening material is important with respect to how much intervening material is acceptable. Verb clusters were not shortened in sentences with extraposed PPs, however, 1⁄3 of adverbs and 1⁄2 of PP adverbials including a lexical NP were shortened to „verb only“. Extraposed PPs are more often reproduced in adjacent position than adjacent PPs are reproduced in extraposed position. However, the position of RCs is more often changed from adjacent to extraposed than from extraposed to adjacent.
While producing extraposed PPs seems not to be any more difficult than producing adjacent ones, adjacent constituents are consistently rated higher than extraposed constituents in grammaticality judgment tasks. This is in line with findings of Konieczny (2000) on German RC extraposition. The number of phrasal nodes, as suggested by Rickford et al. (1995), did not have an influence on the acceptability of extraposition, while the length of the constituent, measured in words, seems to play a role. Definiteness had no effect on adjacent PPs, but when the PP was extraposed, sentences with an indefinite antecedent were rated higher than sentences with a definite antecedent. This suggests that there is a "soft constraint" for definiteness with regard to PP extraposition out of NP in German.
The project investigates how economic paradigm shifts that occur at the beginning of the 1970s (primarily the abandonment of the gold standard and the endlessly increasing pool of capital awaiting investment that succeeded it) led to the emergence of a unique building type: the high-altitude observation deck. Part investment vehicle, part iteration of an ongoing fascination with the view from above, the project presents the observation deck as the point where three distinct paradigms intersect: observation, speculation and spectacle. Tracing the emergence of the observation deck through a series of case studies (Top of the World atop the World Trade Center (NYC), One World Observatory (NYC), The Tulip (London) the project enriches its interdisciplinary approach with archival research and fieldwork. Re-telling the complicated collaboration between architect Warren Platner and graphic designer Milton Glaser at the end of the 1960s, the project lays out how the observation deck is conceived at a time when the perceived “crisis” of New York results in a rapidly accelerating neoliberalization of urban space. An avatar of this emerging ideology the observation deck is heavily invested in making the city visually comprehensible. Incorporating a sort of neoliberalist geometry, the deck transforms the city into a product to be consumed instead of a reality to live in and thus paves the way for other ventures of what has been called the “experience economy.” Thus, it signals the ongoing shift away from an architecture that possesses any use value, towards one that, as Barthes put it with regards to Eiffel Tower, is centered only on viewing and being viewed. A speculative machine, the observation deck renders the city into a product.
There are two main approaches to change of state verbs. One adopts an approach in terms of a total change (becomeP, for base predicate P), i.e., a change from not being in the extension of the base predicate to being in it. The other adopts an approach in terms of a relative change (becomemore P, for base predicate P), i.e., a change for a theme in which it increases in the extent to which it holds the property denoted by the base predicate. Different languages have been analyzed using one or the other approach. I argue that both proposals are actually appropriate for analyzing related but not (completely) overlapping phenomena in the domain of derived change of state verbs in the very same language. This proposal is based on the discussion of change of state verbs in Southern Aymara that are derived with the suffixes -pta and -ra. I show that verbs with -pta convey the meaning of total change and that verbs with -ra convey the meaning of relative change. I further discuss how expressions with -pta and -ra interact: expressions with -ra implicate that the theme does not change from not being in the extension of the base to being in it. I propose an account in terms of scalar implicatures in which -pta and -ra are lexical alternatives, thus extending the domain of linguistic phenomena for which the computation of scalar implicatures is relevant.
In this paper I show that Clitic Climbing (CC) in Spanish and Long Scrambling (LS) in German (and Polish) are (im-)possible out of the same environments. For an explanation of this fact I propose a feature-oriented analysis of incorporation phenomena. The idea is that restructuring is a phenomenon of syntactic incorporation. In German and Polish, Agro incorporates covertly into the matrix clause and licenses LS out of the infinitival into the matrix clause. Similarily the clitic in Spanish, which is analysed as an Agro-head, incorporates into the matrix clause. I argue that this movement is necessary for reasons of feature-checking, i. e. for checking of an [+R]- or Restructuring-feature. In section 2 I discuss several differences between CC and LS. For example, the proposed analysis correctly predicts that clitics in contrast to scrambled phrases are subject to several serialization restrictions. Throughout the paper I use the term restructuring only in a descriptive sense, in order to describe the phenomenon in question.
This thesis investigated the acquisition of restrictive and appositive interpretations of relative clauses in German-speaking children between the age of 3 and 6 in three experiments.
The theoretical background shows that restrictive relative clauses are semantically less complex than appositive ones. This assumption is supported by observations from a typological overview on the semantic functions attested across languages. It is shown that the existence of appositive relative clauses implies the availability of restrictive readings in a given language. Furthermore, restrictive readings may be favored due to the functioning of general processing principles. Previous research on the acquisition of relative clauses demonstrates that the acquisition of the semantic functions of relative clauses is an understudied area. In contrast, the acquisition of syntactic aspects of relative clauses is well documented. Relative clauses start to be produced in the third year of life and can be interpreted target-like between the age of 4 and 8 depending on their structure. Which semantic interpretation children assign to relative clauses at this age, however, is still an open question.
Based on the formal background and insights from previous studies, three experiments were designed: two picture selection tasks and one acceptability task. The crucial aspect of the experimental design constitutes the interaction of an ordinal number word and the interpretation of the relative clause in sentences like “Take the third car(,) that/which is red”. The scope of the ordinal number reveals whether the relative clause had been attached restrictively at the NP-level or whether it had been attached higher up at the DP shell resulting in an appositive interpretation.
The results of the experiments demonstrate that 4- to 6-year-old German-speaking children and adults prefer restrictive readings over appositive ones. This preference is found within the group data and is mirrored by the results of an individual analysis. In addition, while the majority of children has acquired restrictive readings at the age of 4, appositive interpretations are mastered only by about half of the children between age 4 and 6. Interestingly, 3-year-old children show a different pattern than their older peers. Appositive but not restrictive interpretations seem to be available to these children. Although the results may be taken as evidence that appositivity is acquired before restrictivity in relative clauses by German-speaking children, I propose the contrary. Based on assumptions about the complexity of restrictive and appositive derivations, I argue that the appositive interpretations observed at the age of 3 do not result from a target-like syntactic and semantic representation. I propose that 3-year-old children do not yet identify relative clauses as nominal modifiers. Instead, they are derived from an incorrect attachment of the relative clause higher up in the syntactic tree.
The results of the three experiments are the first to show that neither a prototypical unintegrated prosodic contour nor the presence of a lexical marker, the discourse particle “ja”, or a visual context biasing for appositivity led to an increase of appositive interpretations in the children’s groups. Adults, in contrast, were sensitive to the presence of the discourse particle and the cues from the visual context. As for children, the prosodic format of the relative clauses did not systematically change the interpretation preferences of adults.
The proposed acquisition path may not be specific to German. Instead, it is predicted to hold cross-linguistically and may also be transferred to the interpretation of adjectives. Moreover, the assumptions on how children integrate relative clauses during comprehension may be generalized to other types of subordinate clauses.
In this paper, we investigate the question of whether and how perspective taking at the linguistic level interacts with perspective taking at the level of co-speech gestures. In an experimental rating study, we compared test items clearly expressing the perspective of an individual participating in the event described by the sentence with test items which clearly express the speaker’s or narrator’s perspective. Each test item was videotaped in two different versions: In one version, the speaker performed a co-speech gesture in which she enacted the event described by the sentence from a participant’s point of view (i.e. with a character viewpoint gesture). In the other version, she performed a co-speech gesture depicting the event described by the sentence as if it was observed from a distance (i.e. with an observer viewpoint gesture). Both versions of each test item were shown to participants who then had to decide which of the two versions they find more natural. Based on the experimental results we argue that there is no general need for perspective taking on the linguistic level to be aligned with perspective taking on the gestural level. Rather, there is clear preference for the more informative gesture.
If we want to develop a semantic analysis for explicit performatives such as I promise you to free Willy, we are faced with the following puzzle: In order to account for the speech act expressed by the performative verb, one can assume that the so-called performative clause is purely performative and provides the illocutionary force of the speech act whose content is given by the semantic object denoted by the complement clause. Yet under this perspective, the performative clause that is, next to the performative verb, the indexicals I and you that refer to the speaker and to the addressee of the utterance context is semantically invisible and does not contribute compositionally its meaning to the meaning of the entire explicit performative sentence. Conversely, if we account for the truth conditional contribution of the performative clause and deny that the meaning of the performative verb is purely performative, then we have to find a way to account for the speech act expressed by the performative verb. Of course, there is already the widely accepted and very appealing indirectness account for explicit performative utterances developed by Bach & Harnish (1979). Roughly, Bach and Harnish solve this puzzle in deriving the performativity by means of a pragmatic inference process. According to them, the important speech act performed by means of the utterance of the explicit performative sentence is a kind of the conventionalized indirect speech act. However, the boundary between semantics and pragmatics can be drawn in many various ways. Therefore, I think there could be other perspectives regarding the interface between the truth-functional treatment of the declarative explicit performative sentences and the speech acts performed with their utterances and which are expressed by the performative verbs. Hence, this thesis consists in the experiment to develop a further analysis and to check out its consequences with respect to the semantics and pragmatics of explicit performative utterances and the new interface emerged. Briefly, the experiment runs as follows: First, I develop an analysis for explicit performative sentences framed by parenthetical structures such as in (1)(a). In a second step, this parenthetical analysis is applied to the proper Austinian explicit performative sentences in (1)(b). (1) a. Tomorrow, I promise you this, I will teach them Tyrolean songs. b. I promise you that I will teach them Tyrolean songs. To analyze at first explicit performatives framed by parenthetical structures bears the convenience that we are faced with two utterances of two main clauses. In (1)(a) there is the utterance of the host sentence Tomorrow I will teach them Tyrolean songs, and the utterance of the explicit parenthetical I promise you this, where the demonstrative this refers to the utterance of Tomorrow I will teach them Tyrolean songs. Since speakers perform speech acts with utterances of main clauses, I assume that the meaning of the explicit parenthetical I promise you this specifies that the actual illocutionary force of the utterance of Tomorrow I will teach them Tyrolean songs is the illocutionary force of a promise. Hence, instead of deriving an indirect illocutionary force by means of a pragmatic inference schema, we can deal with an ordinary direct speech act that is performed with the utterance of the host sentence. This kind of analysis stresses the particular discourse function of explicit performative utterances. Performative verbs are used whenever the contextual information is not sufficient to determine the illocutionary force of the corresponding implicit speech act. The resulting consequences of the parenthetical analysis are interesting since they cast a different light on performative verbs. Surprisingly, the performative verbs are not performative at all. They do not constitute the execution of a speech act, but are execution supporting. Instead of constituting the particular illocutionary force, they merely specify the illocutionary force of the utterance of the host sentence. For instance, the speaker utters the explicit parenthetical I promise you this for specifying what he is simultaneously doing. Hence the speaker does not succeed in performing the promise simply because he is uttering I promise you this. Rather, by means of the information conveyed by the utterance of I promise you this, the potential illocutionary forces of the utterance of the host sentence are disambiguated. Thus, it is not the case that explicit parentheticals are trivially true when uttered. Their function is more complex. Their self-verifying property (‘saying so makes it so’) is explained by means of disambiguation. Furthermore, according to the parenthetical analysis, instead of being purely performative, the performative verbs contribute compositionally their meanings to the truth conditions of the entire explicit performative sentence. Together with its consequences, this analysis is applied to the proper Austinian performatives, which display subordination. I assume that regardless of their structure, explicit performatives always semantically and pragmatically behave as the parenthetical analysis predicts.