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Letter from the President 4 ; Indigenous Bilingual Education in Vietnam: Initiatives and Lessons America’s Schools Can Learn From Eirini Gouleta 5 ; The Effects of Music on Spanish- Dominant Kindergarteners - Sandra B. Chong 10 ; Indigenous Bilingual Education “Essie’s Story” Insightful Words from an Old Teacher to Teachers Today - Chelsea Bergner, Northern Arizona University 14 ; Asian and Pacific Islanders Supporting Asian Immigrant Families of Children with Disabilities Effectively - Lusa Lo, Ed.D., University of
Massachusetts, Boston 16 ; Peace Corps, an undervalued source of bilingual support? - Brock Brady 19
Contributing to NABE News - Guidelines for Writers 2 ; Letter from the President 4 ; Conceptualizing a Schoolwide Bilingual Literacy Model: Closing the Achievement Gap through Systematic Formative Assessment - Doris Luft Baker 6 ; Asian and Pacific Islanders Asian American English Language Learners’ Identity Formation and Dynamic Transformation - Deoksoon Kim 10 ; Indigenous Bilingual Education Mother Tongue Education - Jon Reyhner, Northern Arizona University 12 ; Improving the Literacy Skills of Children and Young Adults - Leo Gómez 12
Contributing to NABE News - Guidelines for Writers 2 ; Letter from the President 4 ; Memories of Title VII - Dr. Josefina Villamil Tinajero 5 ; Asian and Pacific Islanders Developing a Chinese Dual Language Program in Elementary Schools: Be Responsive to Language Characteristics - Dr. Ping Liu 13 ; The State of ELLs Education NABE 2009 Conference Proceedings 16 ; Indigenous Bilingual Education BIE Leading Indian Students to Failure 20 ; Fact Sheet on Supreme Court’s Decision In HORNE V. FLORES - David Hinojosa 21 ; Reflections on a White House Visit - By Francisco Guajardo 22
The special issue of The Linguistic Review on "The Role of Linguistics in Cognitive Science" presents a variety of viewpoints that complement or contrast with the perspective offered in Foundations of Language (Jackendoff 2002a). The present article is a response to the special issue. It discusses what it would mean to integrate linguistics into cognitive science, then shows how the parallel architecture proposed in Foundations seeks to accomplish this goal by altering certain fundamental assumptions of generative grammar. It defends this approach against criticisms both from mainstream generative grammar and from a variety of broader attacks on the generative enterprise, and it reflects on the nature of Universal Grammar. It then shows how the parallel architecture applies directly to processing and defends this construal against various critiques. Finally, it contrasts views in the special issue with that of Foundations with respect to what is unique about language among cognitive capacities, and it conjectures about the course of the evolution of the language faculty.
This dissertation investigated the development of the complementiser that from the demonstrative pronoun in the Germanic languages; each chapter dealt with a different aspect. In the introduction, the terms ‘reanalysis’ and ‘analogy’ and their relevance for grammaticalisation were explained, and the issues of the chapters were presented. The second chapter introduced some information about the Germanic language family and the languages which were relevant for this investigation, namely Gothic, Old English, Old Icelandic, Old Saxon and Old High German. Previous assumptions about the diachrony of that were presented and discussed. One of these proposals which mainly draws on evidence from West Germanic involves the idea that the source construction contained two independent main clauses with a demonstrative pronoun (that) at the end of the first clause (cf. e.g. Paul 1962, § 248). In contrast to this, the Gothic evidence showed that the source construction of the reanalysis of ϸatei was not a proper paratactic construction (at least in Gothic) but already a complex construction which contained a complementiser (ei) in the appositional subordinate clause (cf. also e.g. Longobardi 1994 for the diachrony of ϸatei). This contradiction raised the question whether the analysis of the Gothic that-complementiser also applies to the diachrony of that in West Germanic. This issue was taken up in the third chapter which presented an overview of subordination and complementisers in Northwest Germanic. The aim was to show that the Northwest Germanic languages also show a subordinating particle, which functions like the Gothic ei, namely ϸe (OE), er/es (OI), the (OHG, OS). As a result, the subordinating particle could be observed in relative and adverbial clauses in all Northwest Germanic languages. In complement clauses, which are most crucial for the argumentation, the subordinating particle is found in Old English and Old Icelandic but not in Old Saxon. In Old High German, there are only combinations of the with a following pronoun, theih and theiz, in ‘Otfrids Evangelienbuch’ (see Wunder 1965). Consequently, the presence of a subordinating particle is confirmed in North and West Germanic. The fact that the patterns of subordination are quite similar in all Germanic languages suggested a unitary analysis of the development of that in Germanic was appropriate. In chapter four, the similarities and differences between the Germanic languages with respect to the development of that were explained. It was argued that the preconditions of the reanalysis were the same, whereas the consequences of the reanalysis are realised differently in each language. The most important precondition was that the appositional source construction (explained in more detail below) was generally available in Germanic. Since the demonstrative pronoun at the end of the matrix clause and the subordinating particle of the subordinate clause were adjacent, phonological combination might have been crucial for the subsequent reanalysis to take place. After reanalysis, however, different changes can be observed in the different languages. For instance, it appears that during the Old English period the final syllable of the form ϸætte was deleted (see chapter 4 for references), whereas the final –ei is still present in the Gothic ϸatei, and completely absent in Old High German and Old Saxon. The source structure of the reanalysis was discussed in detail in a separate subsection. The appositional source construction, which was already assumed for the reanalysis of Gothic ϸatei, was compared with analyses of clitic left dislocation which propose that two constituents with the same theta-role derive from a Big DP (see e.g. Grewendorf 2009, Belletti 2005). Based on the Big DP analysis of Grewendorf (2009), it was claimed that the appositional clause, introduced by the subordinating particle, is generated in the Spec of a DP, and adjoined to this DP on the surface. It was argued that this whole complement DP-node occurred in an extraposed position in OV-languages so that the verb, when it stays in-situ, does not appear between the demonstrative pronoun and the subordinating particle. The structure in (1) illustrates the syntactic source structure which is assumed to apply to the development of the complementiser that in Germanic. ...
The focus of this paper is the perspectivization of thematic roles generally and the recipient role specifically. Whereas perspective is defined here as the representation of something for someone from a given position (Sandig 1996: 37), perspectivization refers to the verbalization of a situation in the speech generation process (Storrer 1996: 233). In a prototypical act of giving, for example, the focus of perception (the attention of the external observer) may be on the person who gives (agent), the transferred object (patient) or the person who receives the transferred object (recipient). The languages of the world provide differing linguistic means to perspectivize such an act of giving, or better: to perspectivize the participants of such an action. In this article, the linguistic means of three selected continental West Germanic languages –German, Dutch and Luxembourgish– will be taken into consideration, with an emphasis on the perspectivization of the recipient role.
The Acadian population of the Atlantic provinces is located in a number of geographically separate areas. Existing phonological descriptions of specific varieties have shown the existence of a great deal of diversity, but also much common ground. Little comparative work has been conducted to assess the extent to which the various regional varieties share the characteristics described for individual communities. New data are here brought to bear on these issues, drawn from the material collected in the course of a research project which has as its general objective the systematic charting of the linguistic differences and similarities among the Acadian communities of Nova Scotia. Features common to all these communities and to previously described varieties are distinguished from those which show interdialectal differences, and the nature of these differences is analyzed.
This monograph describes the overall language situation in Luxembourg, a highly multilingual country in Western Europe, from a language policy and planning perspective. The first part discusses the social and historical contexts, including major societal changes and uncertainties about the future, which are bound up with Europeanisation and the accelerated processes of globalisation. It also deconstructs the notions of Luxembourgish as a 'minority language' and French as the 'language of prestige', and describes a two-pronged language ideology that allows for either monolingual identification with Luxembourgish or trilingual identification with the languages recognised by the language law of 1984 (Luxembourgish / German / French). The second part discusses the trilingual school-system, a system in which large numbers of romanophone students are forced to go through a German-language literacy programme. The third part provides an overview of language spread in the areas of the media and literary writing. The fourth part examines language purism and tensions concerning the standardisation of Luxembourgish, as well as the debates about language requirements for citizenship. The discussion shows how language policy scholarship needs to be approached from a multidimensional perspective, that is, by taking into account dynamics on the global, regional and local levels in addition to those at the state level.
"Ich mag so Wasserpfeifeladen" : the interaction of grammar and information structure in Kiezdeutsch
(2008)
This article presents linguistic features of and educational approaches to a new variety of German that has emerged in multi-ethnic urban areas in Germany: Kiezdeutsch (‘Hood German’). From a linguistic point of view, Kiezdeutsch is very interesting, as it is a multi-ethnolect that combines features of a youth language with those of a contact language. We will present examples that illustrate the grammatical productivity and innovative potential of this variety. From an educational perspective, Kiezdeutsch has also a high potential in many respects: school projects can help enrich intercultural communication and weaken derogatory attitudes. In grammar lessons, Kiezdeutsch can be a means to enhance linguistic competence by having the adolescents analyse their own language. Keywords: German, Kiezdeutsch, multi-ethnolect, migrants’ language, language change, educational proposals
In this article we examine and "exapt" Wurzel's concept of superstable markers in an innovative manner. We develop an extended view of superstability through a critical discussion of Wurzel's original definition and the status of marker-superstability versus allomorphy in Natural Morphology: As we understand it, superstability is - above and beyond a step towards uniformity - mainly a symptom for the weakening of the category affected (cf. 1.,2. and 4.). This view is exemplified in four short case studies on superstability in different grammatical categories of four Germanic languages: genitive case in Mainland Scandinavian and English (3.1), plural formation in Dutch (3.2), second person singular ending -st in German (3.3), and ablaut generalisation in Luxembourgish (3.4).
In order to understand the specific structures and features of the German surnames the most important facts about their emergence and history should be outlined and, at the same time, be compared with the Swedish surnames because there are considerable differences (for further details cf. Nubling 1997 a, b). First of all, surnames in Germany emerged rather early, with the first instances occurring in the 11th century in southern Germany; by the 16th century surnames were common all over Germany. Differences are related to geography (from south to north), social class (from the upper to the lower classes) und urban versus rural areas.
This article examines the expression of natural gender in Icelandic nouns denoting human beings. Particular attention will be paid to the system's symmetry with regards to nouns denoting women and men. Our society consists more or less exactly of half women and half men. One would therefore assume that systems for terms denoting persons would also be symmetrically organised. Yet this assumption could not be further from the truth, and not just in single isolated cases, but in many languages: I will attempt to show that Icelandic has numerous methods for referring to women, but also many barriers and idiosyncrasies.
Extremely short verbs can be found in various Genn::.,nic languages and dialects; the sterns of these verbs do not have a fInal consonant «C-)C-V), and they always have a monosyllabic infinitive and usually monosyllabic fInite forms as weIl. Examples for these 'kinds of short verbs are Swiss Gennan hä 'to have', gö 'to go', g~ 'to give', n~ 'to take' which correspond to the Swedish verbs ha, gä, ge and tao The last example shows that such short verb formations also occur with verbs having (nearly) identical meanings but which do not share the same etymology. Apart from their shortness, these verbs are characterized by a high degree of irregularity, often even by suppletion, which sometimes develops contrary to regular sound laws. Furthermore they are among the most-used verbs and often tend towards grammaticalization. The present paper compares the short verbs of seven Germanic languages; in addition, it describes their various ways of development and strategies of differentiation. Moreover, it examines the question of why some languages and dialects (e.g. Swiss German, Frisian, Swedish, Norwegian) have many short verbs while others (New High German, Icelandic, Faroese) only have few, the paper discusses the contribution of short verbs to questions concerning linguistic change and the morphological organization of languages.
German linking elements are sometimes classified as inflectional affixes, sometimes as derivational affixes, and in any case as morphological units with at least seven realisations (e.g. -s-, -es-, -(e)n-, -e-). This article seeks to show that linking elements are hybrid elements situated between morphology and phonology. On the one hand, they have a clear morphological status since they occur only within compounds (and before a very small set of suffixes) and support the listener in decoding them. On the other hand, they also have to be analysed on the phonological level, as will be shown in this article. Thus, they are marginal morphological units on the pathway to phonology (including prosodics). Although some alloforms can sometimes be considered former inflectional endings and in some cases even continue to demonstrate some inflectional behaviour (such as relatedness to gender and inflection class), they are on their way to becoming markers of ill-formed phonological words. In fact, linking elements, above all the linking -s-, which is extremely productive, help the listener decode compounds containing a bad phonological word as their first constituent, such as Geburt+s+tag ‘birthday’ or Religion+s+unterricht ‘religious education’. By marking the end of a first constituent that differs from an unmarked monopedal phonological word, the linking element aids the listener in correctly decoding and analysing the compound. German compounds are known for their length and complexity, both of which have increased over time—along with the occurrence of linking elements, especially -s-. Thus, a profound instance of language change can be observed in contemporary German, one indicating its typological shift from syllable language to word language.
Many Bantu languages have grammaticized one or both types of motion verb - COME and GO - as future markers. However, they may differ in the semantics of future temporal reference, in some cases referring to a "near" future, in others to a "remote" future. This paper explores how the underlying image-schemas of such verbs in several languages - Bamileke-Dschang, Bamun, and Larnnso' (Grassfields Bantu), Duala, Chimwera, Chindali, Kihunde, and Zulu (Narrow Bantu) - contribute to how the verbs become grammaticized in relation to the dual construals of linguistic time: ego-moving vs. moving-event.
The development of "junk" : irregularization strategies of HAVE and SAY in the Germanic languages
(2001)
Although it is a wellknown fact that the most frequent verbs are the most irregular ones (if not suppletive), it is rarely asked how they became irregular. This article deals with the irregularization process of two originally regular (weak) verbs, HAVE and SAY in the Germanic languages, e.g. have, but has/'s and had/'d (instead of regular *haves/*haved) or say [sei], but says [sez] and said [sed] in English. Other verbs, such as DO, GO, STAND, BE, COME, and so on, also tend to irregularizations again and again without any apparent reason. In contrast to HAVE and SAY these verbs have always been rather irregular, at least dating from their first written records.
Part of linguistic competence involves the ability to construct and interpret words. The average high school student knows about 60,000 words whose form and meaning are not derived from those of other words. Such words including read, language, on, cold, and if, to name but a few - must be learned and stored as separate items in the lexicon (or mental dictionary). However, countless other words can be constructed and comprehended by the application of quite general rules to more basic words. For example, any speaker of English who knows the meaning of the noun fax - and the verb derived from it - could form and interpret words such as faxable (for things that can be faxed) and fax machine (for the device that sends and receives faxes). The system of categories and rules involved in word formation and interpretation is called morphology. This chapter presents an introduction to the study of morphology, beginning with the inventory of notions relevant to the analysis of word structure.
In Belhare (Sino-Tibetan, Nepal), consonant prothesis at morpheme boundaries and deletion of stem "augments" is found if either metrical or morphological parsing would violate the bimoraic trochee pattern that underlies the stress system of the language. This finding corroborates Dresher & Lahiri’s (1991) "Principle of Metrical Coherence" and provides new evidence for the cross-linguistic applicability of Crowhurst’s (1994) "Tautomorphemic Foot" constraint. The data also support a view of the Prosodic Hierarchy as weakly layered, allowing consonants to be directly dominated by the foot or word node if they are prothetic and do not therefore need feature licensing within the syllable canon.
Languages vary in whether or not primary grammatical relations (PGRs) are sensitive to information from clause-level case or phrase structures. This variation correlates with a difference between verb agreement systems based on feature unification and systems based on feature composition. The choice between different PGR and agreement principles is found to be highly stable genetically and to characterize Indo-European as systematically different from Sino-Tibetan. Although the choice is partially similar to the Configurationality Parameter, it is shown that Indo-European languages of South Asia are nonconfigurational due to areal pressure but follow their European relatives in PGR and agreement principles.
Ever since Wilhelm von Humboldt’s (1836) pioneering study of Nahuatl, linguists have recurrently recognized that languages differ fundamentally in the syntactic weight they attribute to noun-phrases as the arguments of a verb. Currently, the most prominent attempts to turn this intuition into a precise hypothesis revolve around the notion of ‘configurationality’.
It is often assumed that the goal of typology is to define the notion ‘possible human language’. This view, which I call the Universalist Typology view is shared, for example, by virtually all contributors to Bynon & Shibatani’s 1995 volume Approaches to Language Typology, and by Moravscik in her review of this volume in Linguistic Typology 1 (p.105). In the following I claim that this assumption is fundamentally mistaken. To clarify the theoretical status of what is meant by ‘possible human language’, I argue here for a distinction between typological theory (theoretical typology) and grammatical theory (theoretical syntax and theoretical morphology) as distinct subdisciplines of linguistics.
The distribution of linguistic structures in the world is the joint product of universal principles, inheritance from ancestor languages, language contact, social structures, and random fluctuation. This paper proposes a method for evaluating the relative significance of each factor — and in particular, of universal principles — via regression modeling: statistical evidence for universal principles is found if the odds for families to have skewed responses (e.g. all or most members have postnominal relative clauses) as opposed to having an opposite response skewing or no skewing at all, is significantly higher for some condition (e.g. VO order) than for another condition, independently of other factors.
The present volume results from an initiative to foster cooperation between scholars of Himalayan languages in Europe. The initiative was launched five years ago and has brought about a series of annual workshop meetings and individual cooperative projects (cf. http://www.isw.unibe.ch/EuroHimal). The 1998 workshop, held in Heidelberg, was devoted to the role that notions of speech act participants play in the grammar of various Himalayan languages, and the present collection represents, with some additions and some subtractions, the proceedings of this workshop. In the following I will give some background on the rationale for the topics covered in this volume, especially on the ways in which the indexing of speech act participants is related in Himalayan languages to evidentials and other epistemological operators. I will close this introduction with a brief outline of the structure of the volume.
In the late seventies, Bernard Comrie was one of the first linguists to explore the effects of the referential hierarchy (RH) on the distribution of grammatical relations (GRs). The referential hierarchy is also known in the literature as the animacy, empathy or indexibability hierarchy and ranks speech act participants (i.e. first and second person) above third persons, animates above inanimates, or more topical referents above less topical referents. Depending on the language, the hierarchy is sometimes extended by analogy to rankings of possessors above possessees, singulars above plurals, or other notions. In his 1981 textbook, Comrie analyzed RH effects as explaining (a) differential case (or adposition) marking of transitive subject ("A") noun phrases in low RH positions (e.g. inanimate or third person) and of object ("P") noun phrases in high RH positions (e.g. animate or first or second person), and (b) hierarchical verb agreement coupled with a direct vs. inverse distinction, as in Algonquian (Comrie 1981: Chapter 6).
Recent research has adduced growing evidence for a distinct stratum of cultural practices that underlies various "tribal" traditions in the Himalayan region and that also seems to be characteristic of various local versions of the Bon tradition. Bon literature is not uncommonly embedded in cultural patterns that are more specifically Himalayan than belonging to the greater South Asian heritage. Two aspects of this that have received attention in Ramble's (1997) study of a Bon guide to the sacred Kong-po mountain (rKong-po bon- ri) are the symbolism of wild boar hunting involved in marriage rituals and poison cults with their corresponding beliefs about poisoning. Another pattern of cultoral organization that may help better understand the Bon tradition against its Himalayan background is spatial conceptualization.
Sino-Tibetan is a prime example of how strongly a language family can typologically diversify under the pressure of areal spread features (Matisoff 1991, 1999). One of the manifestation of this is the average length of prosodic words. In Southeast Asia, prosodic words tend to average on one or one-and-a-half syllables. In the Himalayas, by contrast, it is not uncommon to encounter prosodic words containing five to ten syllables. The following pair of examples illustrates this.
Verb agreement and epistemic marking : a typological journey from the Himalayas to the Caucasus
(2008)
Studies of the epistemic categories expressed in Tibetan auxiliaries and copulas have mostly compared the phenomena with mirativity marking, and this is no doubt the correct comparandum in diachronic research. However, synchronic descriptions are also often tempted to compare the relevant categories with agreement systems or similar reference-related structures, at least for expository purposes when explaining how the system works (e. g. Denwood 1999, Tournadre 1996, Goldstein et al. 1991).
Traditionally, the term "grammatical relation" (GR) refers to the morphosyntactic properties that relate an argument to a clause, as, for example, its subject or its object. Alternative terms are "syntactic function" or "syntactic role", and they highlight the fact that GRs are defined by the way in which arguments are integrated syntactically into a clause, i.e. by functioning as subject, object etc. Whatever terminology one prefers, what is crucial about the traditional notion of GRs is (a) that they are identified by syntactic properties, and (b) that they relate an argument to the clause.
Language universals are statements that are true of all languages, for example: “all languages have stop consonants”. But beneath this simple definition lurks deep ambiguity, and this triggers misunderstanding in both interdisciplinary discourse and within linguistics itself. A core dimension of the ambiguity is captured by the opposition “absolute vs. statistical universal”, although the literature uses these terms in varied ways. Many textbooks draw the boundary between absolute and statistical according to whether a sample of languages contains exceptions to a universal. But the notion of an exception-free sample is not very revealing even if the sample contained all known languages: there is always a chance that an as yet undescribed language, or an unknown language from the past or future, will provide an exception.
It is well-known that in many if not most Sino-Tibetan languages relative clause and attribute/genitive markers are identical with nominalization devices and that sentences bearing such markers can also function as independent utterances (cf. Matisoff 1972, Kölver 1977, DeLancey 1989, Genetti 1992, Ebert 1994, Bickel 1995, Noonan 1997, etc.). This morphological convergence of syntactic functions, which we may dub the ‘Standard Sino-Tibetan Nominalization’ (SSTN) pattern, is particularly prominent in some languages spoken in the eastern and southeastern part of the Kirant because these languages not only feature prenominal relative clauses, but also allow, albeit as a minor type, internally headed constructions.
In many languages, clauses can be subordinated by means of case markers. For Bodic languages, a branch of Sino-Tibetan, Genetti (1986) has shown that the meaning of case markers on clauses is in most instances a natural extension of their function on nouns. A dative, for example, which marks a referential goal with a noun, signals a situational goal, i.e., a purpose, when used on a clause. Among the case markers recruited for subordination, we not only get relatively concrete cases like datives, comitatives and various types of locatives, but also core argument relators such as ergatives and accusatives. In this paper, I focus on ergative markers in one subgroup of Bodic, viz. in Kiranti languages spoken in Eastern Nepal, especially in Belhare.
Two problems cloud our understanding of subgrouping in Tibeto-Burman. One is the lack of consistent and clear standards and principles for subgrouping. Subgrouping is often based on certain features that the languages are said to share, or on a few shared lexical items, or even on the fieldworker's intuitions, or on how remote speakers feel different languages are (the degree of mutual intelligibility).
Human communication takes place when one person does something that when seen or heard by another person is taken to be done with the intention to communicate, and the other person, having seen the communicator show his or her intention to communicate, then uses inference to determine what the communicator intends to communicate. This is possible because the addressee assumes that the communicator is a rational person, that is, acts with goals in mind (see Grice 1975), and so must be doing the act for a reason, and it is worth the addressee’s effort to try to determine what that reason is, that is, determine the relevance of the act.
Rawang [...] is a Tibeto-Burman language spoken by people who live in the far north of Kachin State in Myanmar (Burma), particularly along the Mae Hka ('Nmai Hka) and Maeli Hka (Mali Hka) river valleys (see map on back page); population unknown, although Ethnologue gives 100,000. In the past they had been called ‘Nung’, or (mistakenly) ‘Hkanung’, and are considered to be a sub-group of the Kachin by the Myanmar government. Until government policies put a stop to the clearing of new land in 1994, the Rawang speakers still practiced slash and burn farming on the mountainsides (they still do a bit, but only on already claimed land), in conjunction with planting paddy rice near the river. They are closely related to people on the other side of the Chinese border in Yunnan classified as either Dulong or Nu(ng) (see LaPolla 2001, 2003 on the Dulong language). In this paper, I will be discussing the word-class-changing constructions found in Rawang, using data of the Mvtwang (Mvt River) dialect of Rawang, which is considered the most central of those dialects in Myanmar and so has become something of a standard for writing and inter-group communication.
Rawang (Rvwàng) is a Tibeto-Burman language spoken in the far north of Myanmar (Burma), and is closely related to the Dulong language spoken in China. Rawang manifests a kind of hierarchical person marking on the predicate which marks first person primarily (in several different ways - suffixes, change of final consonant, vowel length - and up to five times within one verb complex), and second person indirectly with a sort of marking similar to the inverse marking found in some North American languages: it appears when there is a first person participant, but that referent is not the actor, and when the second person is a participant. This system is quite different from those that reflect semantic role (e.g. Qiang) or grammatical relations (e.g. English).
Rawang [...] is a Tibeto-Burman language spoken by people who live in the far north of Kachin State in Myanmar (Burma), particularly along the Mae Hka ('Nmai Hka) and Maeli Hka (Mali Hka) river valleys; population unknown, although Ethnologue gives 100,000. In the past they had been called ‘Nung’, or (mistakenly) ‘Hkanung’, and are considered to be a sub-group of the Kachin by the Myanmar government. They are closely related to people on the other side of the Chinese border in Yunnan classified as either Dulong or Nu (see LaPolla 2001, 2003 on the Dulong language and Sun 1988, Sun & Liu 2005 on the Anong language). In this paper, I will be discussing a particular morphological phenomenon found in Rawang, using data of the Mvtwang (Mvt River) dialect of Rawang, which is considered the most central of those dialects in Myanmar and so has become something of a standard for writing and inter-group communication.
Questions on transitivity
(2008)
This handout (it isn’t a paper) presents phenomena and questions, rather than conclusions, related to the concept of transitivity. The idea is to return to these questions at the end of the Workshop to see if we can have a clearer consensus about the best general analysis of phenomena associated with transitivity. Section 2 presents alternative analyses of transitivity and questions about transitivity in three languages I have worked on. Section 3 discusses a few of the different conceptualisations of transitivity that might be relevant to our thinking about the questions related to these languages or that bring up further questions. Section 4 presents some general questions that might be asked of individual languages.
This paper is more about presenting phenomena and questions related to the concept of transitivity in Tibeto-Burman languages that I hope will stimulate discussion, rather than presenting strong conclusions. Sections 2 and 3 present alternative analyses of transitivity and questions about transitivity in two Tibeto-Burman languages I have worked on. In Section 4 I discuss some general issues about transitivity.
This paper is an inductive look at the constituents found in a randomly selected Tagalog text, Bob Ong’s Alamat ng Gubat (Makati City, MM: Visual Print Enterprises, 2004). The analysis is based on the full text, but we will only be able to go through the first few lines of the text here, which we will do one by one, and discuss the structures found in each line of the text in bullet format after the relevant line. At the end of the paper we will bring up some important questions about the structures found in Tagalog based on this text.
This paper is one argument for a theory of grammatical relations in Chinese in which there are no grammatical relations beyond semantic roles, and no lexical relation-changing rules. As the passive rule is one of the most common relation changing rules cross-linguistically, in this paper I will address the question of whether or not Mandarin Chinese has lexical passives, that is, passives defined as in Relational Grammar (see for example Perlmutter and Postal 1977) and the early Lexical Functional Grammar (LFG) literature (e.g. Bresnan 1982), where a 2-arc (object) is promoted to a 1-arc (subject).
In attempting to reconstruct the morphosyntax of Proto-Sino-Tibetan, one of the most basic questions to be answered is what was the unmarked word order of the proto-language? Chinese, Bai, and Karen are verb-medial languages, while all of the Tibeto-Burman languages except for Bai and Karen have verb-final word order. lf these languages are all related, as we can assume from lexical correspondences, then either Chinese, Bai and Karen changed from verb-final to verb-medial word order, or the other Tibeto-Burman languages changed trom verb-medial to verb-final order. How we answer the question of which languages changed their word would then give us the answer to the question of word order in Proto-Sino-Tibetan.
Thirty-one years ago Tsu-lin Mei (1961) argued against the traditional doctrine that saw the subject-predicate distinction in grammar as parallel to the particular- universal distinction in logic, as he said it was a reflex of an Indo-European bias, and could not be valid, as ‘Chinese ... does not admit a distinction into subject and predicate’ (p. 153). This has not stopped linguists working on Chinese from attempting to define ‘subject’ (and ‘object’) in Chinese. Though a number of linguists have lamented the difficulties in trying to define these concepts for Chinese (see below), most work done on Chinese still assumes that Chinese must have the same grammatical features as Indo-European, such as having a subject and a direct object, though no attempt is made to justify that view. This paper challenges that view and argues that there has been no grammaticalization of syntactic functions in Chinese. The correct assignment of semantic roles to the constituents of a discourse is done by the listener on the basis of the discourse structure and pragmatics (information flow, inference, relevance, and real world knowledge) (cf. Li & Thompson 1978, 1979; LaPolla 1990).
In chapters seven and eight of his book Language, Sapir talked about what he called ‘drift’, the changes that a language undergoes through time [...]. Dialects of a language are formed when that language is broken into different segments that no longer move along the same exact drift. Even so, the general drift of a language has its deep and its shallow currents; those features that distinguish closely related dialects will be of the rapid, shallow currents, while the deeper, slower currents may remain consistent between the dialects for millennia. It is this latter type that Sapir felt is ‘fundamental to the genius of the language’ (p. 172), and he said that ‘The momentum of the more fundamental, the pre-dialectal, drift is often such that languages long disconnected will pass through the same or strikingly similar phases’ (p. 172).
This paper presents the first results of a comprehensive project on comparative Tibeto-Burman (TB) morpho-syntax. Data on morphological forms and typological patterns were collected from one hundred fifty-one languages and dialects in the TB family. For this paper the data were surveyed for nominal 'ergative' or agentive case marking (postpositions), in an attempt to determine if it would be possible to reconstruct an ergative case marker to Proto-Tibeto-Burman (PTB), and in so doing learn more about the nature of grammatical organization in PTB. Ablative, instrumental, genitive, locative, and other case forms were also surveyed for possible cognacy with ergative forms, as suggested in DeLancey 1984.
In attempting to understand the history of the morphology of a language or group of languages, we occasionally face a problem of isomorphy, where two or more semantic categories evince the same formal marking. We then must decide which use of that particular form of marking is the oldest, and also determine the possible source and path of development of the marking. In languages with written documents of great time depth this is often not a problem, but in unwritten languages it can be quite difficult. This paper discusses two tools that can be used for this purpose: the concepts of markedness and prototypes.
Middle voice marking is very rarely recognized as such in the grammars written on Tibeto-Burman languages. It is often simply treated as a normal direct reflexive or as an intransitivizer. In order to draw the attention of scholars to the existence and function of middle voice marking in Tibeto-Burman languages, the present paper discusses the form and function of middle marking in several of these languages. We will first discuss key facts about middle marking in general, then discuss the individual Tibeto-Burman examples.
The role of migration and language contact in the development of the Sino-Tibetan language family
(2001)
Ever since the publication of Greenberg 1963, word order typologists have attempted to formulate and refine implicational universals of word order so as to characterize the restricted distribution of certain word order patterns, and in some cases have also attempted to develop general principles to explain the existence of those universals.
Qiang
(2003)
Evidentiality in Qiang
(2003)
The Qiang language is spoken by about 70,000 (out of 200,000) Qiang people, plus 50,000 people classified as Tibetan by the Chinese government. Most Qiang speakers live in Aba Tibetan and Qiang Autonomous Prefecture on the eastern edge of the Tibetan plateau in the mountainous northwest part of Sichuan Province, China. The Qiang language is a member of the Qiangic branch of the Tibeto-Burman family of the Sino-Tibetan stock. Within Tibeto-Burman, a number oflanguages show evidence of evidential systems, but these systems cannot be reconstructed to any great time depth. The data used in this chapter is from Ranghang Village, Chibusu District, Mao County in Aba Prefecture.
Sperber and Wilson (1996) and Wilson and Sperber (1993) have argued that communication involves two processes, ostension and inference, but they also assume there is a coding-decoding stage of communication and a functional distinction between lexical items and grammatical marking (what they call 'conceptual' vs. 'procedural' information). Sperber and Wilson have accepted a basically Chomskyan view of the innateness of language structure and Universal Grammar.
For this paper, 170 Tibeto-Burman languages were surveyed for nominal ease marking (adpositions), in an attempt to determine ifit would be possible to reeonstruet any ease markers to Proto· Tibeto-Burman, and in so doing leam more about the nature of the grammatieal organization of Proto-Tibeto-Burman. The data were also eross-cheeked for patterns of isomorphy/polysemy, to see ifwe can leam anything about the development ofthe forms we da find in the languages. The results of the survey indicate that although a11 Tibeto-Bunnan languages have developed some sort of relation marking, none of the markers ean be reconstrueted to the oldest stage of the family. Looking at the patterns of isomorphy or polysemy, we find there are regularities to the patterns we find, and on the basis of these regularities we can make assurne that the path of development most probably followed the markedness/prototypicality clines: the locative and ablative use would have arose first and then were extended to the more abstract cases.
Adjectives in Qiang
(2004)
Qiang is a Tibeto-Burman language spoken by 70,000-80,000 people in Northern Sichuan Province, China, classified as being in the Qiang or Tibetan nationality by the Chinese government. The language is verb final, agglutinative (prefixing and suffixing), and has both head-marking and dependent-marking morphology.
Typology and complexity
(2005)
For the Workshop I was asked to talk about complexity in language from a typological perspective. My way of approaching this topic was to ask myself some questions, and then see where the answers led. The first one was of course, "What sort of system are we looking at complexity in - what kind of system is language?"
A survey of 170 Tibeto-Burman languages showed 69 with a distinction between inclusive and exclusive first-person plural pronouns, 18 of which also show inclusive- exclusive in Idual. Only the Kiranti languages and some Chin languages have inclusive-exclusive in the person marking. Of the forms of the pronouns involved in the inclusive-exclusive opposition, usually the exclusive form is less marked and historically prior to the inclusive form, and we find the distinction cannot be reconstructed to Proto-Tibeto-Burman or to mid level groupings. Qnly the Kiranti group has marking of the distinction that can be reconstructed to the proto level, and this is also reflected in the person-marking system.
Chao Yuen Ren (1892–1982)
(2005)
Y. R. Chao is easily the most famous linguist to have come out of China. Born before the end of the last dynasty in China, he received a traditional Confucian education, but was also one of the first Chinese people to be sent to the West for training in modern Western science (under the Boxer Indemnity Fund). The remarkable breadth and scope of his studies included physics, mathematics, linguistics, musical and literary composition, and translation, and he was a pioneer in many of these fields.
Wang Li (1900-1986)
(2006)
Li Fang-Kuei (1902-1987)
(2006)
Fang-Kuei Li was one of the foremost scholars of Thai and Sino-Tibetan studies and a major contributor to Amerind studies. Born in China, he was one of the early scholars sent to the United States to study. He had developed an interest in language while learning English, Latin, and German as part of his studies in China, and so he decided to study linguistics in the United States. In 1924, he went to the University of Michigan at Ann Arbor, receiving his B.A. 2 years later, then moved to the University of Chicago, where he received his M.A. and Ph.D., studying with Edward Sapir, Leonard Bloomfield, and Carl Darling Buck.
Sino-Tibetan languages
(2006)
The Sino-Tibetan (ST) language family includes the Sinitic languages (what for political reasons are known as Chinese ‘dialects’) and the 200 to 300 Tibeto-Burman (TB) languages. Geographically it stretches from Northeast India, Burma, Bangladesh, and northern Thailand in the southeast, throughout the Tibetan plateau to the north, across most of China and up to the Korean border in the northeast, and down to Taiwan and Hainan Island in the southeast. The family has come to be the way it is because of multiple migrations, often into areas where other languages were spoken (LaPolla, 2001).
Based on a Relevance Theory-informed view of language development, this paper argues that grammatical relations are construction-specific conventionalizations (grammaticalizations) of implicatures which arise out of repeated patterns of reference to particular types of referents. Once conventionalized, these structures function to constrain the hearer's identification of referents in discourse. As they are construction-specific, and hence language-specific, there is no category "subject" across languages; different languages will either show this type of grammaticalization or not, and if they do, may show it or not in different constructions. Any cross-linguistic use of terms such as "subject" (and "S", as in "SOV") should then be avoided.
On describing word order
(2006)
One aspect that is always discussed in language descriptions, no matter how short they may be, is word order. Beginning with Greenberg 1963, it has been common to talk about word order using expressions such as "X is an SOV language", where "S" represents "subject", "0" represents "object", and "V" represents "verb". Statements such as this are based on an assumption of comparability, an assumption that all languages manifest the categories represented by "S", "0", and "V" (among others), and that word order in all languages can be described (and compared) using these categories.
Minority languages of China
(2007)
This chapter looks at language endangerment in the People's Republic of China, focusing on three of the main factors that influence language maintenance in China today: increased contact due to population movements and changes in the economy; the population policies of the government, particularly the identification of nationalities and languages; and the education system, particularly bilingual education. Finally, we give a brief account of the major efforts to document endangered languages.
Nominalization in Rawang
(2009)
This paper discusses the types of relative clause and noun complement structures found in the Rawang language, a Tibeto-Burman language of northern Myanmar, as well as their origin and uses, with data taken mainly from naturally occurring texts. Two types are preposed relative clauses, but in one the relative clause is nominalized, and in the other it is not. The non-nominalized form with a general head led to the development of nominalizing suffixes and one type of nominalized relative clause structure. As the nominalized form is a nominal itself, it can be postposed to the head in an appositional structure. There is also discussion of the Rawang structures in the context of Tibeto-Burman and the development of relative clause structures in the language family.
Many linguists in China and the West have talked about Chinese as a topic-comment language, that is, a language in which the structure of the clause takes the form of a topic, about which something is to be said, and a comment, which is what is said about the topic, rather than being a language with a subject-predicate structure like that of English. Y. R. Chao (1968), for example, said that all Chinese clauses have topic-comment structure and there are no exceptions.
Language contact has become a major focus of inquiry in historical and typological linguistics in the last twenty years, spurred in a large part by the publication of Thomason & Kaufman (1988), which tried to make sense of a large amount of language contact data. They argued that there was a direct relationship between the degree or intensity of language contact and the amount and type of influence the contact would have on one or more of the languages involved. Essentially, the greater the degree of bilingualism, the greater the degree of contact influence (see also Thomason 2001); if the contact and bilingualism was minimal, then there might just be a few loanwords adapted to the borrowing language's phonology and grammatical system, but if the contact and bilingualism was of a greater degree there would be influence in the grammar and phonology of the affected language. As more linguists came to take language contact more seriously, they came to realize how common language contact phenomena are.
There is every reason to welcome the revised edition (2009) of Thomas Olander’s dissertation (2006), which I have criticized elsewhere (2006). The book is very well written and the author has a broad command of the scholarly literature. I have not found any mistakes in Olander’s rendering of other people’s views. This makes the book especially useful as an introduction to the subject. It must be hoped that the easy access to a complex set of problems which this book offers will have a stimulating effect on the study of Balto-Slavic accentology.
All's well that ends well
(2009)
A few years ago, Jasanoff adopted the central tenet of my accentological theory, viz. that the Balto-Slavic acute was a stød or glottal stop, not a rising tone (cf. Kortlandt 1975, 1977, 2004, Jasanoff 2004a). Of course, nobody will believe Jasanoff’s claim that he arrived at the same result independently thirty years after I published it and ten years after we discussed it when he came to Leiden to visit us. Though at the time he haughtily dismissed “the tangle of secondary hypotheses and “laws” that clutter the ground in the field of Balto-Slavic accentology” (Jasanoff 2004b: 171), he has now recognized the importance of Pedersen’s law, Hirt’s law, Winter’s law, Meillet’s law, Dolobko’s law, Dybo’s law and Stang’s law and largely accepted my relative chronology of these accent laws, including the loss of the acute shortly before Stang’s law (cf. Jasanoff 2008). He has also accepted my split of Pedersen’s law into a Balto-Slavic and a Slavic phase (to which a Lithuanian phase must be added), my thesis that the tonal contours of Baltic and Slavic languages are post-Balto-Slavic innovations (cf. Jasanoff 2008: 344, fn. 10), and the rise of a tonal distinction on non-acute initial syllables before Dybo’s law which I discussed at some length in my review (1978) of Garde’s monograph (1976). This is great progress.
West Slavic accentuation
(2009)
At the time of the earliest reconstructible dialectal divergences, which belong to the Late Middle Slavic period of my chronology (stages 7.0 - 8.0 of Kortlandt 1989a, 2003, 2008), the West Slavic languages represented the most conservative part of the Slavic dialects (cf. Kortlandt 1982b: 191 and 2003: 231).
It appears that the complexity of Slavic historical accentology is prohibitive for most non-specialists in the field. It may therefore be useful to approach the subject from a number of different angles in order to render it more accessible to a wider audience. In the following I shall discuss the separate accent paradigms and their development from the Late Balto-Slavic system, which is structurally similar to that of modern Lithuanian, up to the end of the Proto-Slavic period, when the system resembled what we find in modern Serbo-Croatian. The numbering of the stages 1.0 through 10.12 is the same as in my earlier publications (1989, 2003, 2005, 2006a, 2008b). For the rise and development of the accentual system up to the end of the Balto-Slavic period I may refer to my discussion (2006b, 2008a) of Olander’s dissertation (2006). It resulted in a system of four major and two minor accent types.
After the very well-organized Leiden conference for which we must be grateful to Tijmen Pronk, it seems appropriate for me to review some of the papers, as I did after the previous conferences in Zagreb and Copenhagen. The aim of this review is merely to point out some of the differences of opinion which require further debate.
In his early years, C. C. Uhlenbeck was particularly interested in the problem of the Indo-European homeland (1895, 1897). He rejected Herman Hirt’s theory (1892) that the words for ‘birch’, ‘willow’, ‘spruce’, ‘oak’, ‘beech’ and ‘eel’ point to Lithuania and its immediate surroundings and returned to Otto Schrader’s view (1883, 1890) that the original homeland must rather be sought in southern Russia and may have included some of the later Germanic and Iranian territories. It is clear that the Mediterranean region and the area around the North Sea can safely be excluded because the arrival of the Indo-Europeans was comparatively recent here, as it was in Iran and the Indian subcontinent. It is difficult to be more specific within the limits of central and eastern Europe and central Asia. Uhlenbeck was impressed by the lexical correspondences between Indo-European and Semitic which had been adduced in favor of an eastern homeland but pointed out that borrowings from Semitic may have reached the Indo-Europeans through an intermediary. He agrees that the Indo-European words for trees and animals point to a moderate climate but questions the possibility of a more specific localization as well as the concept of homeland itself.
Winter's law again
(2007)
Since I discussed the scholarly literature on Winter’s law twenty years ago (1988), several important articles on the subject have appeared (Young 1990, Campanile 1994, Matasovic 1995, Derksen 2002, Dybo 2002, Patri 2005, Derksen 2007). As the law evidently continues to be controversial, it is important to look into the nature of the evidence and counter-evidence which is adduced. It appears that doubts about Winter’s law are largely the result of four types of misunderstanding.
In an earlier study (1983) I argued that unlike aorists and athematic presents, Indo-European perfects and thematic presents originally had a dative subject, as in German mir träumt ‘me dreams’ for ich träume ‘I dream’, e.g. Greek oida ‘I know’ < ‘it is known to me’, édomai ‘I will eat’ < ‘it is eatable to me’. On the basis of Oettinger’s epoch-making book (1979), I proposed that the Hittite hi-flexion originated from a merger of the perfect, where *-i was added to 3rd sg. *-e in order to supply a new present, with the thematic flexion of causatives and iteratives, where the final *-e of 3rd sg. *-eie was dropped before the loss of intervocalic *-i- (1983: 315).
Gothic gen.pl. -e
(2007)
Like its predecessor in Zagreb, the conference on Balto-Slavic accentology in Copenhagen was a great success. The enthusiasm of the organizers Adam Hyllested and Thomas Olander proved highly effective in stimulating discussion among the participants. While in Zagreb most papers dealt with Slavic data, in Copenhagen the emphasis was on Balto-Slavic problems.