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Institute
This paper discusses how the English Resource Grammar (ERG) captures the optionality of certain complements of verbs based on a single lexical entry coupled with an ontology of markings distinguishing optional from obligatory as well as unrealized from realized elements. Subject-head and head-complement structures are modified accordingly, but due to the lack of a possibility to express and use relational goals in grammars implemented in the LKB system, the ERG encoding falls short of the goal of treating optional complements in a general way. Instead, it requires two new types of ˋauxiliary' phrases which are otherwise unmotivated. We show that the problem can be overcome by using a recursive relation selecting a member from a list. The use of a lean implementation platform not supporting such relational goals, such as the LKB, thus results in a loss of generality of the grammars that can be expressed, which undermines the closeness of the implemented grammar to current linguistic analyses as one of the hallmarks of HPSG-based grammar implementation. The case study presented in this paper thus supports the position argued in Götz and Meurers (1997) that a system for the implementation of HPSG-based grammars should include both universal implicational principles as well as definite clauses over feature terms.
Specificational pseudoclefts (SPCs) have been a great challenge for a syntactic theory, because, despite the surface division between the pre- and post-copular elements, the post-copular 'pivot' behaves as if it occupied the gap position in the precopular wh-clause. This paper argues that movement-based or deletion-based syntactic approaches and purely semantic approaches have problems in dealing with syntactic properties and connectivity problems of SPCs in English. Observing the parallelism between SPC pivots and short answers to questions, it proposes an HPSG account based on a non-deletion-based QDT (Question-in-disguise theory) approach and on the equative analysis of the specificational copular sentences. The paper shows that SPCs must be handled by an integrated account of the syntactic, semantic, and pragmatic properties of the construction, and argues that the connectivity problems should be approached from such an integrated view.
On the notion 'determiner'
(2003)
Following a common practice in generative grammar, HPSG treats the determiners as members of a separate functional part of speech (Det). The status of the functional parts of speech is a matter of debate and controversy. The auxiliaries, for instance, are commonly treated as members of a separate functional category (Aux or Infl) in many variants of generative grammar, including GB, MP and LFG, but in GPSG and HPSG, it is a matter of equally common practice to treat them as members of V and to reject the postulation of a separate functional category, see Pullum & Wilson (1977) and Gazdar, Pullum & Sag (1982). This text makes a similar case for the determiners; more specifically, it argues that the determiners are categorially heterogeneous, in the sense that some are members of A, whereas others are members of N. The argumentation is mainly based on inflectional morphology and morpho-syntactic agreement data. The consequences of the categorial heterogeneity are hard to reconcile with the specifier treatment of the determiners in Pollard & Sag (1994) and with the Det-as-head treatment in Netter (1994), but it can smoothly be integrated in the functor treatment of the prenominals in Allegranza (1998) and Van Eynde (2002).
We present an approach to the interpretation of non-sentential utterances like B's utterance in the following mini-dialogue:
A: "Who came to the party?"
B: "Peter."
Such utterances pose several puzzles: they convey 'sentence-type' messages (propositions, questions or request) while being of non-sentential form; and they are constrained both semantically and syntactically by the context. We address these puzzles in our approach which is compositional, since we provide a formal semantics for such fragments independent of their context, and constraint-based because resolution is based on collecting contextual constraints.
Wasow (1977) argues that linguistic theory should recognize two qualitatively distinct types of rules: syntactic rules, which can affect more "superficial" grammatical function properties; and lexical rules, which affect deeper lexical semantic properties of lexical items. However, lexicalist theories of grammar have replaced syntactic rules with lexical rules leaving Wasow's dichotomy potentially unexplained. Our goal in this paper is to recapture Wasow's insight within a lexicalist framework such as HPSG. Building on Sag & Wasow's (1999) distinction between lexeme and word, we claim that there is a contrast between lexical rules that relate lexemes to lexemes (L-to-L rules) and lexical rules that relate words to words (W-to-W rules) and that these differences follow from the architecture of the grammar. In particular, we argue that syntactic function features (ARGST, VALENCE, etc.) are not defined for lexemes, while lexical semantic features (CONTENT) are. From this it follows that L-to-L rules can affect lexical semantic features, and not syntactic function features. In addition, since words are defined for syntactic function features, W-to-W rules can change them. In this paper, we support this hypothesis by examining certain differences between two types of Noun Incorporation construction, and their relation to other rules in the grammar. We argue that Compounding Noun Incorporation is an L-to-L type and that Classifier Noun Incorporation is a W-to-W type; we base our argument on the interaction of Noun Incorporation and Applicative Formation in the Paleo-Siberian language Chukchi and the isolate language Ainu.
This paper examines reprise questions: questions which request clarification of the meaning intended by a speaker when uttering a word or phrase. As such they can act as semantic probes, providing information about what meaning can be associated with word and phrase types. We present corpus evidence regarding the meaning of nouns and noun phrases, and argue that this evidence runs contrary to the usual treatments of semantics in HPSG, and to the traditional generalised quantifier view of NPs as sets of sets. Instead we outline an analysis of NPs as (possibly functional) sets of individuals.
This paper seeks to improve HPSG engineering through the design of more terse, readable and intuitive type signatures. It argues against the exclusive use of IS-A networks and, with reference to the English Resource Grammar, demonstrates that a collection of higher-order datatypes are already acutely in demand in contemporary HPSG design. Some default specification conventions to assist in maximizing the utility of higher-order type constructors are also discussed.
This paper shows that the Gerund Phrase (GP) in the Spanish Gerund Construction (e.g., El jefe entró a su oficina corriendo, lit. The boss entered his office running ) is sometimes a complement (in SGCC) and sometimes an adjunct (in SGCA). Although in both cases, the GP expresses a non-argument of the main lexical verb's denotation, it is a syntactic adjunct in SGCA and a syntactic dependent of the main clause s head in SGCC. We argue that there is a semantic correlate of this syntactic difference and propose a general principle that constrains the semantic relations that can hold between the denotata of heads and added members of their ARG-ST lists: The two denotata must be part of a larger macro-event in the sense of Talmy (2000). We further show that the relation between the events denoted by the gerund and main verbs involves four semantic conditions and that which subset of those four conditions are satisfied in a particular SGCC sentence determines what subkind of SGCC is involved.
It is a much-debated issue whether one should assume separate lexical entries for participles used in passive and perfect constructions or whether there is just one lexical entry that is used in different ways depending on whether a passive or perfect auxiliary is present in the clause.
In previous work I criticized approaches trying to analyze the passive with one lexical entry for making empirically wrong predictions and suggested a lexical-rule based approach were two different lexical items for the participle are licensed.
In this paper I show how Heinz and Matiasek's (1994) formalizations of Haider's (1986) ideas can be extended and modified in a way that both modal infinitives and control constructions can be captured correctly. The suggested analysis needs only one lexical item for participles, base form infinitives, and zu infinitives irrespective of their usage in active or passive like structures.
In Japanese, as in other classifier languages like Chinese and Malay, numerals do not directly quantize nouns, but first combine with a classifier to form a measure phrase (MP; cf. Aikhenvald 2000). From the perspective of constraint-based approaches to syntax/semantics, the mutual selective restriction between classifiers and nouns can be stated in terms of information-sharing and featural identity, to some extent parallel to the treatment of gender/number agreement (between determiner and noun, for instance) (cf. Pollard and Sag 1994; Kathol 1999). There are, however, data that challenge this line of approach to noun-classifier matching. We demonstrate in this paper that it is possible that a single noun is associated with different types of classifier, and show why they are problematic for unification-based approaches, similar to the situation with case syncretism in European languages (Ingria 1990 and others). Later in the paper, we argue that information-sharing between noun, predicate and classifier is not completely transitive, and present a formal analysis which models multiple selectional requirements with sets.
This paper compares transformation-based and constraint-based treatments of unbounded filler-gap dependencies, the latter specifically as articulated in terms of HPSG, and argues, contrary to the commonly made allegations of notational variance , that there is purely empirical evidence that is consistent with only the constraint-based account. Recent proposals to deal with parasitic gaps in terms of null pronominals and empty operators are unable to account for the phenomenon of symbiotic gaps, the apparent case mismatches found in parasitic gap constructions, or (in general) for the well-known across-the-board effects within coordinate structures.
Most researchers now agree that subcategorization correlates significantly with semantics. But this semantic component of linking has proved elusive. Most, if not all, theories of linking have, in pratice, resorted to constructs that are syntactic diacritics. We show in this paper that the implicit syntactic diacritics that plague the basic linking constraints posited in at least some of these theories can be eliminated, provided that (i) the metalanguage in which linguistic constraints are written allows for true implicational statements; (ii) one is willing to slightly increase the number of linking constraints. We focus in particular on the linking theory presented in Davis and Koenig 2000, Davis 2001, and Koenig and Davis 2000, but we maintain that our arguments apply, mutatis mutandis, to many other linking theories. We note some of the consequences of this view of linking, including: linking constraints are stated in terms of semantically natural classes of situations, a single entailment of a verb's argument is sufficient to determine its linking, and interaction among linking constraints restricts the range of possible lexical items.
In this paper we investigate the factors conditioning a morphological alternation on verbal heads in Lai. We show that this alternation eludes a simple characterization and instead exhibits a many-to-many form-function mapping. We will further show that the facts can be given a straightforward analysis in terms of default conditions based on valence and polarity, together with various constructional overrides. Our analysis thus follows recent proposals in HPSG, in particular Malouf (forthcoming), in using a constructional type hierarchy with defaults (cooperating constructions) as an alternative to an Optimality Theoretic system of ranked violable constraints.
In Jaeger (to appear) I have described clitic doubling in Bulgarian wh-interrogatives which constitutes a type of Superiority violation that cannot be accounted for by any existing analyses. By showing that clitic doubling of object wh-phrases marks topicality, I raised the hypothesis that many (or maybe all) so called Superiority effects in Bulgarian are due to topic-fronting of wh-phrases. Here, I provide further support for this hypothesis and show that there is also evidence for topic-fronting of non-object wh-phrases. Differences between colloquial and formal Bulgarian are restricted to how topical objects have to be realized at the source of the extraction (i.e. the VP), which also makes the account readily extendable to other multiple fronting languages. The complex ordering constraints on the left periphery are captured in a Linear Syntax approach (similar to but different from Kathol 2000).
In this article, the so-called wh-relative clause construction is investigated. The German wh-relative clauses are syntactically relevant as they show both, root clause and subordinate clause properties. They matter semantically because they are introduced by a wh-anaphor that has to be resolved by an appropriate abstract entity of the matrix clause. Additionally, the wh-relative clause construction is discourse-functionally peculiar since it evokes coherence. Besides these interesting empirical characteristics, whrelatives raise important theoretical questions. It is argued that the standard HPSG theory has to be extended to account for non-restrictive relative clauses in general, and to cope with the particular properties of the wh-relative construction.
This paper provides a constraint-based account of information-prosody correspondence within the HPSG framework. The starting point of the paper is Klein's (2000) account of prosodic constituency in HPSG. However, it departs from the standard syntactocentric architecture of grammar, and adopts a grammar design in which syntax, phonology, and information structure are generated in parallel, with all three applying to a common list of domain objects. It is shown that this theoretical architecture elegantly captures many of the various constraints that have been shown to hold in classical views of grammar.
This paper is concerned with such concepts as topic, focus and cognitive status of discourse referents, which have been included under the label information structure (alternatively information status), as they are related in some sense to the distribution of given and new information. It addresses the question of which information structural properties are best accounted for by grammatical constraints and which can be attributed to non-linguistic constraints on the way information is processed and communicated. Two logically independent senses of given-new information are distinguished, one referential and the other relational. I discuss some examples of linguistic phenomena that pertain to each of these different senses and show that both are linguistically relevant and must be represented in the grammar. I also argue that phenomena related to both senses have pragmatic effects that do not have to be represented in the grammar since they result from interaction of the language system with general pragmatic principles that constrain inferential processes involved in language production and understanding.
In this paper we present an analysis of English measure noun phrases. Measure noun phrases exhibit both distributional idiosyncrasy, in that they appear in positions normally filled by degree adverbs: "a ten inch long string"; and agreement discord: "ten inches is enough", "it is ten inch/*inches long". The analysis introduces one idiosyncratic construction, the Measure Phrase Rule, which links together syntax and inflectional morphology. Combined with existing rules, in particular the Noun-noun Compound Rule, the new rule accounts for the both the distributional and agreement idiosyncrasies. The rule has been implemented and tested in the ERG, a broad-coverage grammar of English. Our analysis supports the position that broad-coverage grammars will necessarily contain both highly schematic and highly idiosyncratic rules.
The paper investigates a complex word order phenomenon in German and the interaction of syntax and information structure it exemplifies: the occurrence of subjects as part of a fronted non-finite constituent and particularly the so-called definiteness effect excluding (many) definite subjects from this position. We explore the connection between focus projection and the partial fronting cases and show that it is the subject of those verbs which allow their subject to be the focus exponent that can be included as part of a fronted verbal constituent. In combination with the observation by Webelhuth (1990) that fronted verbal constituents need to be focused, this provides a natural explanation of the definiteness effect in terms of the information structure requirements in these sentences. Interestingly, the generally ignored exceptions to the definiteness effect are predicted by our analysis; we show that they involve definite noun phrases which can bear focus, which allows them to be part of a fronted verbal constituent. Finally, building on the integrated grammatical architecture provided in De Kuthy (2002), we formulate an HPSG theory which captures the interaction of constraints from syntax, information structure and intonation.
Much literature in syntax has assumed that all noun phrases are categorically headed by the determiner or the noun, with well-formedness categorial in nature. In this paper I develop a theory of noun phrase structure in which both categories project noun phrases, arguing that this better fits the indeterminacy of the criteria often cited for determining headedness (Zwicky, 1985, inter alia). The only categorial differences between determiners and nouns are their semantics and selectional restrictions, and the conditions that determine well-formedness are semantic in nature. Specifically, a well-formed noun phrase must have some restrictive semantics associated with nouns coupled with some operational semantics associated with determiners (e.g. as a generalized quantifier), and from this I show how we can derive structural well-formedness. Thus the need for categorial well-formedness is nullified, providing an analysis with greater cross-linguistic import, being compatible with languages without determiners.
While French degree words in French have been assigned several syntactic categories, we show that they are rather highy polymorphic adverbs (they occur in all syntactic domains), which select the expression they modify on a purely semantic basis. Like French adverbs in general, they occur both to the left and to the right of the head they modify. Following previous work (a.o. van Noord and Bouma 1994, Abeillé and Godard 1997, Bouma et al. 2000), we assign them two different grammatical functions, adjuncts and complements. Semantically, they differ from quantifiers. We follow Kennedy (2000) who analyzes them as scalar predicate modifiers. Finally, the specific syntactic constraints that characterize a subset of them can be shown to follow from, or be related to, their weight properties (Abeillé and Godard 2000). We conclude that their apparently idiosyncratic properties fit into a more general theory of grammar.
Leaving aside elliptical coordinations, it is striking that no agreement has been reached on the structure of basic coordinate constructions. We propose that:
- coordinate constructions are structurally asymmetric: the conjunction makes a subconstituent with one of the conjuncts.
- such constituents can have several functions: coordinate daughter, adjunct daughter or main clause.
In order to show that some conjuncts should be analysed as adjuncts, we focus on asymmetric cases of coordination, in which the order of the conjuncts cannot be reversed, taking examples from French, Welsh and Korean. We present an HPSG analysis which treats the coordinating conjunctions as weak heads, with lexical subtypes, and coordinate phrases as multi-headed constructions, with different subtypes.
It is generally accepted among psycholinguists that real-time human sentence processing proceeds incrementally from left to right. Recently proposals have been made in the domain of syntax to reduce phenomena which have hitherto been accounted for in terms of linguistic performance to linear structures given at the level of competence. Keeping in line with this tendency in research, this paper tries to reestablish the much discussed relationship between the two aspects of language, competence and performance: the issue of processing difficulty dependent on sorts of multiple clause embedding is addressed by incorporating into HPSG a mechanism reflecting left-to-right processing and memory costs calculated at each processing step.
This paper deals with case marking in auxiliary verb constructions (AVCs) in Korean, and investigates how the case marking pattern in AVCs can be explained in terms of structural case resolution in the spirit of Pollard 1994, Heinz & Matiasek 1994, and Przepiórkowski 1999. In this paper, a new set of data involving various combinations of auxiliary verbs is presented to point out problems for both transformational analyses based on head movement and previous HPSG analyses in which the final auxiliary verb solely determines the case of the complements of the whole complex predicate. This paper shows that while most auxiliary verbs "inherit" the case marking property of the preceding verb, the auxiliary verbs siph- 'want' and ha- 'act like' have an additional property of assigning nominative and accusative case, respectively, to their complements. The actual case assignment by these auxiliary verbs is made possible, however, depending on what other kind of auxiliary verbs they are combined with. Based on the complex predicate analysis of AVCs, this paper proposes that complicated case patterns in AVCs can be accounted for by classification of verbs/auxiliary verbs via distinct feature values and by the mechanism of structural case resolution.
The aim of this paper is to present a theory that explicitly characterizes patterns of summative agreement. The proposed theory builds on my own theory of PNR, presented in Yatabe 2001, and is based on the view that agreement results from a non-lexical constraint that regulates under what circumstances a domain object can be merged with other domain objects by the compaction operation.
As the name of the framework suggests, one of the driving forces behind traditional HPSG analyses is the notion of head. With the exception of a few non-headed constructions (i.e., mostly coordination), constructions are typically seen as being headed by a particular word or phrase with the nonhead constituting a complement, specifier or adjunct. The head determines the internal composition of a phrase and is responsible for its external distribution. Moreover, syntactic headedness, as determined by morphosyntactic criteria, is typically assumed to coincide with semantic headness. In the case of NPs, for instance, this means that the semantic contribution (including the index) of the entire phrase is provided by the element that is the head by morphosyntactic criteria (typically the noun).
In this paper, we intend to challenge this view of heads on the basis of two constructions from English. In both instances, we will argue that the constituents that are responsible for the internal combinatorial make-up of the phrase do not constitute heads because they fail both to determine the external distribution of the phrase and to contribute the semantic index of the projected phrase. At the same time, however, we will show that it is possible to view these cases not as random departures from more well-behaved headed constructions, but instead as particular instantiations of more general construction types which do not impose strict conditions on external headedness.
In this paper we investigate the phenomenon of verb-particle constructions, discussing their characteristics and the challenges that they present for a computational grammar. We concentrate our discussion on the treatment adopted in a wide-coverage HPSG grammar: the LinGO ERG. Given the constantly growing number of verb-particle combinations, possible ways of extending this treatment are investigated, taking into account the regular patterns found in some productive combinations of verbs and particles. We analyse possible ways of identifying regular patterns using different resources. One possible way to try to capture these is by means of lexical rules, and we discuss the difficulties encountered when adopting such an approach. We also investigate how to restrict the productivity of lexical rules to deal with subregularities and exceptions to the patterns found.
This paper presents a descriptive overview of liaison, giving an idea of the scope of the phenomenon and possible approaches to its analysis. As for the contextual conditions on liaison, in many cases, the traditional notions of obligatory and prohibited liaison do not reflect speakers' actual behavior. It turns out that general syntactic constraints cannot determine the systematic presence or absence of liaison at a given word boundary. At best, specific constraints can be formulated to target particular classes of constructions. To express such constraints, I propose a system of representation in the framework of HPSG. The use of EDGE features (introduced by Miller (1992) for a GPSG treatment of French) provides the necessary link between phrasal descriptions and the properties of phrase-peripheral elements.
The structure Accusativus cum Infinitivo (AcI) has been observed in a number of languages, amongst them Latin. Morphologically it consists of an NPacc and a VPinf . In Latin however, a finer distinction has to be drawn, as was already noticed by Bolkestein (1976) who differentiates "between actual accusative cum infinitive clauses and constructions existing of an object-noun in the accusative caseform and a complementary infinitive"(1976:263).
In this paper I develop a unified analysis of the Japanese passive, which provides a uniform syntactic/semantic representation of the alleged varieties of passives (direct, indirect, possessive) as a complex predicate that encodes the triadic relation of "lack of control" among an agent, undergoer and event. Various differences among the direct, possessive, and indirect passives (the adversative effect implicature, the possibility of reflexive binding, the animacy constraint on the subject, etc.) are explained as cooperative effects of the core syntactic/sematic properties of the passive morpheme -(r)are and functional/pragmatic factors like conversational implicature and empathy constraints.
Bulgarian Vocative in HPSG
(2003)
Crosslinguistically vocatives are an underexplored linguistic phenomenon and in different languages they can be highly idiosyncratic and complex (Levinson, 1987, p.71). Therefore, the problem, which is discussed in this paper, is not a language-specific one, in spite of the fact that most of the languages have their own repositories for marking the role of the addressee in the communicative utterances.
In our opinion this linguistic phenomenon needs its adequate treatment in HPSG because of three main reasons:
1) The vocative is supposed to be present on two levels: syntax and pragmatics. Therefore it needs more elaborate interpretation on the interface side, which, in HPSG, is more developed for morphology/syntax and syntax/semantics than syntax/pragmatics. Note that a challenge for the theory is the semantic weight of the vocatives with respect to the head sentence.
2) It will be useful for HPSG-oriented implementations, especially treebanks and dialogue systems.
3) On prosodic grounds the vocatives are often viewed as being 'side or extended parts' of the sentence and therefore - very close to the parenthetical constructions. From our point of view, both phenomena are pragmatic and hence, the treatment of vocative, presented here, could be generalized to cover other phenomena of pragmatic nature.
In our work the vocatives are viewed through the possibility of the integration/separation of their pragmatic, syntactic and semantic properties.
I examine Spanish and French agreement in sentences with "affective" N/A de N constructions, in terms of an agreement theory growing out of Pollard and Sag (1994, §2) and Kathol (1999), with a distinction between two kinds of agreement relations: index agreement and morphosyntactic concord. The application of this theory to hybrid nouns (Wechsler and Zlati'c, 2000) extends straightforwardly to affective constructions. Furthermore, Kathol's characterization of the difference between hybrid nouns in Spanish and French, which I pair with an interpretation in terms of the default unification mechanism of Lascarides and Copestake (1999), turns out to make correct predictions about subtle differences in predicate agreement with affective constructions in the two languages.
Free relatives in German basically behave as NPs. As is first noticed by Groos and Riemsdijk (1981), an interesting property of free relatives that they do not share with ordinary relative clauses is that the relative pronouns are sensitive to matrix case requirements as well as to subordinate ones.
The aim of this paper is to provide a semantic account of valence alternations in Modern Greek of the following general form:
(1) NPk V NPi [P NPj] —> NPk V NPj [P NPi]
In other words, the valence alternations in Modern Greek we focus on in this paper are the ones involving direct internal arguments (i.e., objects) and indirect prepositional complements. Such alternation patterns in Modern Greek characterize mainly the behaviour of verbal predicates which participate in the so-called Locative Alternation phenomena.
Ever since Chomsky's "On Wh-Movement" (Chomsky 1977) it has been assumed that topicalization and wh-question formation can be analyzed as instances of the same operation. Leaving certain features aside, this proposal carries over to the analysis of unbounded dependency constructions in HPSG since structurally, topicalization does not differ from wh-question formation in the analysis suggested in Pollard & Sag (1994: 157-163). In the present paper, we challenge this assumption and suggest an alternative analysis of unbounded dependency constructions. Here, topicalization and wh-question formation are considered as structurally different at least in certain languages. They may, however, be structurally identical in other languages. This difference is empirically reflected in patterns of relative clause extraposition. As has been pointed out by Culicover & Rochemont (1990: 28), an extraposed relative clause must not take an antecedent contained in a VP if the VP is topicalized but the relative clause is not.
Few ideas have proven as influential within the HPSG-based literature on German verb clusters as Hinrichs and Nakazawa's (1989) idea of argument composition. Its basic idea is that in verb clusters, the arguments of a main verb are realized as the dependents of the auxiliary which governs that main verb, and not directly as dependents of the main verb. Thus, for instance in (1a), the tense auxiliary haben governs the transitive main verb gewinnen. As the head of the cluster gewonnen hat, the auxiliary haben effectively takes over the arguments from the main verb.
Prenominals in Dutch
(2003)
For modeling the internal structure of noun phrases (Pollard and Sag, 1994, 385) treats the noun as the head and classi£es its dependents in terms of a three-fold distinction, £rst proposed in Chomsky (1970), between complements, adjuncts and speci£ers. For a phrase like the expensive picture of Sandy the structure looks as follows.
Clitic Climbing Revisited
(2003)
Presently, there is overall consent among researchers on Romance in HPSG (Miller and Sag, 1997, Abeillé et al., 1998, Monachesi, 1996, 1999) that bounded clitic climbing (CC) is best understood in terms of argument composition. Despite the fact that all current analyses of CC are based on the same core idea, individual analyses of this phenomenon differ.
In this paper, I shall propose a unified approach that will be applicable to CC in both French and Italian. The approach will be cast entirely in terms of valence lists, argument structure and slash, such that construction- or language-specific book-keeping devices can be eliminated. As a side-effect, this approach provides a more strengthened view of lexical integrity, in that morphological information, i.e. an argument's mode of realisation, will not be directly accessible for subcategorisation.
In terms of truth conditional meanings, there is no clear difference between (Korean) IHRCs (internally head relative) and EHRCs (externally headed relative). In the analysis of IHRCs, of central interest are thus (a) how we can analyze the constructions in syntax and (b) how we can associate the internal head of the IHRC clause with the matrix predicate so that the head can function as its semantic argument, and (c) what makes the differences between the two constructions. This paper is an attempt to provide answers to such recurring questions within the framework of HPSG.
Downward Unbounded Discontinuities in Korean: An IPSG Analysis of Concord Adverbial Constructions
(2003)
Although there is a lot of literature dealing with the classification and distribution of Korean adverbials, there does not seem to be any satisfactory work. This is partly due to the properties of the adverbials themselves, whose classification and distribution vary depending not only on the lexical properties of each adverbial but also on its distributional environment. However, the distinction between “regular adverbials” and “concord adverbials (CAs)” is very clear and plays a significant role in elucidating the properties of the adverbials as a whole. Theformer have only the function of modifying other phrases, while the latter show a correspondence to some specified elements in the sentence. One of the major differences between them is that a CA and what it corresponds to can be separated from each other unboundedly acrossclausal boundaries.
Recorded by Randy J. LaPolla from Mr. Chen Yonglin of Qugu Village, Chibusu District, Mao County, Aba Tibetan and Qiang Autonomous Prefecture, Sichuan Province, China.
Note on the transcription: The recording here is phonetic rather than phonemic, and so, for example, glottal stops are recorded, even though they are not phonemic.
Qiang
(2003)
Qiang is spoken in Aba Tibetan and Qiang Autonomous Prefecture in northwest Sichuan Province. China; it belongs to the Qiangic branch of Tibeto-Burman. There are two major Qiang dialects. Northern Qiang (spoken in Heishui County, and the Chibusu district of Mao County; roughly 70,000 speakers) and Southern Qiang (spoken in Li County, Wenchuun County, Mao County, and Songpan County; about 60,000) (Sun 1981a: 177-78), The dialect presented here is the Northern Qiang variety spoken in Ronghong Village, Yadu Township, Chibusu District, Mao County.
Dulong
(2003)
Dulong [...] is a Tibeto-Burman language spoken in China, closely related to the Rawang language of Myanmar (Burma). The Dulong speakers mainly live in Gongshan Dulong and Nu Autonomous County in Yunnan, China, and belong to either what is known as the Dulong nationality (pop. 5816 according to the 1990 census), or to one part (roughly 6000 people) of the Nu nationality (those who live along the upper reaches of the Nu River). The exonym 'Dulong' (or 'Taron', or 'Trung') was given to this nationality because they mostly live in the valley of the Dulong (Taron/Trung) River. In the past, the Dulong River was known as the Kiu (Qiu) river, and the Dulong people were known as the Kiu (Qiu), Kiutze (Qiuzi), Kiupa, or Kiao. Dulong is usually talked about as having four dialects, based on areas where it is spoken: First Township, Third Township, Fourth Township, and Nujiang. In this chapter, we will be using data of the First Township dialect spoken in Gongshan county.
This thesis investigates the linguistic effects of language contact between French and German in Alsace due to the German annexation of this region during World War II. The turbulent, tug-of-war history of Alsace has constantly challenged the Alsatian people to secure a stable cultural and national identity. This study focuses on understanding the development of the linguistic aspect of this Alsatian identity. My hypothesis is that there was a greater French influence on Alsatian speech after World War II due to the anti-German sentiment provoked by the harsh Nazi policies during the war. To test this hypothesis, this study analyzes and compares the type and regularity of lexical borrowings from French into German and from German into French in Alsatian newspapers in 1945.
One of the most important insights of Optimality Theory (Prince & Smolensky 1993) is that phonological processes can be reduced to the interaction between faithfulness and universal markedness principles. In the most constrained version of the theory, all phonological processes should be thus reducible. This hypothesis is tested by alternations that appear to be phonological but in which universal markedness principles appear to play no role. If we are to pursue the claim that all phonological processes depend on the interaction of faithfulness and markedness, then processes that are not dependent on markedness must lie outside phonology. In this paper I will examine a group of such processes, the initial consonant mutations of the Celtic languages, and argue that they belong entirely to the morphology of the languages, not the phonology.
On the early development of aspect in greek and russian child language, a comparative analysis
(2003)
The category of aspect is grammaticized in both Greek and Russian opposing perfective and imperfective verb forms in all inflectional categories except the nonpast (‘present’). Despite these similarities there are important differences in the way the aspectual systems function in the two languages. While in Greek nearly all verbs oppose a perfective to a given imperfective grammatical form, Russian aspect is more strongly lexicalized with pairs of imperfective and perfective lexemes not only differing aspectually, but also as far as their lexical meanings are concerned. This is especially true of perfective verbs formed by prefixes as compared to their imperfective bases. Thus, in pairs of prefixed and unprefixed dynamic verbs, the derived prefixed (perfective) member has a telic meaning while its unprefixed (imperfective) counterpart is atelic (e.g. sjest’ (PFV) ‘to eat up’ vs. jest’ (IPF) ‘to eat’). Such derived perfective verbs may in turn be “secondarily” imperfectivized by suffixation furnishing the only “true” perfective/imperfective pairs of verbs (e.g. sjest’ (PFV) ‘to eat up’ vs. sjedat’ (IPF) ‘to eat up’ (iterative)). “Secondary” imperfectives do not occur in our child data.
In this pilot study, we will analyze the tense-aspect-mood forms of the 20 most frequent verbs with equivalent meanings occurring in the longitudinal audiotaped data of a Greek and a Russian boy between 2;1 and 2;3 (their entire lexical inventories comprise approx. 100 verbs each).
We adopt a constructivist perspective on the development of aspect in Greek and Russian child language and will show that in spite of a broad inventory of imperfective and perfective verb forms to be found in the speech of both children aspect has not yet developed into a generalized grammatical category, but is strongly dependent on aktionsart (stative/dynamic, telic/atelic) in both languages. While this results in a strong preference for perfective verb forms of telic verbs and of imperfective forms of atelic ones in the speech of the Greek boy, the Russian child tends to use the unmarked members.
It has been previously reported that in languages demonstrating the Root Infinitive (RI) Stage the use of RIs is characterized by two properties: these forms are overwhelmingly eventive and have, in the majority of instances, a modal interpretation. Hoekstra and Hyams (1998, 1999) have proposed a theory stating that these two properties of RIs are co-dependent in that the application of the modal reference restriction limits the use of the aspectual verbal classes to eventive predicates. Furthermore, this theory assumed that the described mutual dependency of these constraints was valid cross-linguistically.
In this paper, we investigate the application of this theory to the case of RIs in Russian, one of the languages exhibiting the RI Stage. Using new longitudinal data from two monolingual Russian-speaking children, we demonstrate that the predictions of Hoekstra and Hyams’ approach are not realized for Russian child speech. While the constraint requiring that Ris have a modal reference does not seem to apply in Russian since the infinitival forms do receive past and present tense interpretation, these predicates are still overwhelmingly eventive and stative predicates appear mostly as finite verbs. Having shown that a theory connecting the application of the two restrictions on RIs does not account for the Russian data, we examine several alternative analyses of Russian RIs. We arrive at a conclusion that an explanation based on the lack of the event variable in stative predicates (Kratzer 1989) necessary for the interpretation of RIs in discourse (Avrutin 1997) succeeds in handling the Russian data presented in this article.
The acquisition of spanish perfective aspect : A study on children's production and comprehension
(2003)
This paper presents the acquisition of Spanish perfective aspect in production and comprehension. It argues that, although young children use perfective aspect to talk about completed events, young children have difficulty in assessing perfective meaning from perfective morphology. This paper proposes that in the process of acquiring aspectual meaning, children use local strategies to decode aspectual meaning from form: when analyzing a completed situation, young children depend on certain learnability factors to correctly assess the entailment of completion of the perfective, namely, their ability to determine if the object of the event measures out the event as a whole or not, and their ability to read the agent’s intentions. When those factors are removed from the situation, young children had difficulty determining the entailment of completion of perfective aspect. This study also suggests that the manner in which aspectual information is conveyed in a language, may play a role on the readiness of the acquisition of the semantic morphology of the language (e.g., verb+object vs. verb+affixes). The results of this study indicate that successful performance on the semantics of Spanish perfective aspect develops around the age of 5-6.
The current study investigates the relation between aspect and particle verbs in the acquisition of English. Its purpose is to determine whether children associate telicity, as argued in previous studies, or rather perfectivity, which entails completion of a telic situation, with their early particle verb use. The study analyzes naturalistic data of four monolingual children between 1;6 and 3;8 from CHILDES acquiring English as their first language. On the one hand, it finds that children use both –ed and irregular perfective morphology with simplex verbs before particle verbs. They further use imperfective before perfective morphology with particle verbs. These findings suggest that there is no correlation between telic particle verbs and perfective morphology, as would have been predicted on an account which claims that lexical aspect of predicates guides the acquisition of grammatical aspect (Olsen & Weinberg 1999). On the other hand, the study finds that the children’s particle verbs denote telic situations from early on, but not half of them were used to refer to situations that are also completed. This finding questions analyses which claim that, at an initial stage, children will only interpret predicates as telic if they refer to situations that are at the same time completed. Completion information is not necessary for children in order to use particle verbs correctly for telic situations, as would have been predicted on an extended account along the lines of Wagner (2001). As a conclusion, it is suggested that the divergent findings result from a difference in methodology. While restrictions of perfective and imperfective morphology to particular classes of lexical aspect pertain to the production of grammatical aspect morphology, perfective and imperfective viewpoints on situations pertain to the level of interpretation of telic and atelic situations.
In this paper we focus on the similarities tying together the second segment of an onset cluster and a singleton coda segment. We offer a proposal based on Baertsch (2002) accounting for this similarity and show how it captures a number of observations which have defied previous explanation. In accounting for the similarity of patterning between the second member of an onset and a coda consonant, we propose to augment Prince & Smolensky's (P&S, 1993/2002) Margin Hierarchy so as to distinguish between structural positions that prefer low sonority and those that prefer high sonority. P&S's Margin Hierarchy, which gives preference to segments of low sonority, applies to singleton onsets; this is our M1 hierarchy. Our proposed M2 hierarchy applies both to the second member of an onset and to a singleton coda. The M2 hierarchy differs from the M1 hierarchy in giving preference to consonants of high sonority. Splitting the Margin Hierarchy into the M1 and M2 hierarchies allows us to explain typological, phonotactic, and acquisitional observations that have defied previous explanation. In Section 2 of this paper, we briefly provide background on the links that tie together the second member of an onset and a singleton coda. In Section 3, we review P&S's Margin Hierarchy, showing that it becomes problematic when extended to coda consonants. We then offer our proposal for a split margin hierarchy. Section 4 extends the split margin approach to complex onsets. We then show how it is able to account for various typological, phonotactic, and acquisitional observations. In Section 5, we will conclude the paper by briefly sketching how the split margin approach enables us to analyze syllable contact phenomena without requiring a specific syllable contact constraint (or additional hierarchy) or reference to an external sonority scale.
Questions and focus
(2003)
In the present paper, I will argue that even in a language like German, where the verb system does not contain a grammaticized aspect distinction, aspectual features do underlie the early form-function-mapping of verb forms in L1-acquisition. Furthermore, it will be argued that it is not only past tense forms that may receive an aspectual interpretation in early child language but also other forms of the verbal input. In the case of German, these are the forms of the present tense paradigm and the past participle. Showing and discussing various piecesof evidence for this assumption should strengthen the "aspect before tense" or "primacy of aspect" hypothesis. In general, the paper aims at a deeper understanding of the hierarchical relation between tense and aspect whereby aspect is the basic category and, therefore, aspectual features are the inevitable starting point of the acquisition of grammar.
Acquisition of aspect
(2003)
Crosslinguistic research on the production of tense morphology in child language has shown that young children use past or perfective forms mainly with telic predicates and present or imperfective forms mainly with atelic predicates. However, this pattern, which has come to be known as the Aspect First Hypothesis, has been challenged in a number of comprehension studies. These studies suggest that children do not rely on aspectual information for their interpretation of tense morphology. The present paper tests the validity of the Aspect First Hypothesis in child Greek by investigating Greek-speaking children’s early comprehension of present, past and future tense morphology as well as the role that lexical aspect plays in the early use of tense morphology. It is suggested that although Greek-speaking children have not yet fully mapped the tense concepts to the correct tense morphology, tense acquisition does not seem to be significantly affected by the aspectual characteristics (i.e. the telicity) of the verb.
Mechanisms of contrasting korean velar stops : A catalogue of acoustic and articulatory parameters
(2003)
The Korean stop system exhibits a three-way distinction in velar stops among /g/, /k'/ and /kh/. If the differentiation is regarded as being based on voicing, such a system is rather unusual because even a two-way distinction between a voiced and a voicless unaspirated velar stop gets easily lost in the languages of the world especially in the case of velar stops. One possibility for maintainig this distinction is that supralaryngeal characteristics like articulators' velocity, duration of surrounding vowels or stop closure duration are involved. The aim of the present study is to set up a catalogue of parameters which are involved in the distinction of Korean velar stops in intervocalic position.
Two Korean speakers have been recorded via Electromagnetic Articulography. The word material consisted of VCV-sequences where V is one of the three vowels /a/, /i/ or /u/ and C one of the Korean velars /g/, /k'/ or /kh/. Articulatory and acoustic signals have been analysed It turned out that the distinction is only partly built on laryngeal parameters and that supralaryngeal characteristics differ for the three stops. Another result is that the voicing contrast is not a matter of one parameter, but there is always a set of parameters involved. Furthermore, speakers seem to have a certain freedom in the choice of these parameters.
Our results indicate some differences in the use of aspect between French and Croatian speaking children. In Croatian language children always manage to keep the appropriate aspect, unlike French children. However, the imperfective aspect seems to be better acquired in French children than the perfective aspect. The perfective aspect, the marked form both in French as well as in Croatian, is related to the lexical meaning of the verbs. The acquisition of the Aktionsart in both languages seems to be more a matter of semantics than of morphology. Furthermore, our data suggest the existence of a specific developmental trend in the use of Aktionsart (intensive, iterative and inchoative), which is similar for children speaking Slavic and Romanic languages.
Focus marking in Kikuyu
(2003)
In Kikuyu, a Bantu language spoken in Kenya, focus is marked systematically by means of word order. In this study, the different possibilities for marking focus in question answer sequences are presented. After an overview of the discussions of the phenomenon in the literature, a syntactic account for focus constructions with the particle ne is proposed. This account is based on original data that was gathered with a native speaker. In addition, new data on focusing different parts of the sentence, e.g. the VP, the entire sentence, or the truth-value, are presented. The aim of this study thus is to broaden the descriptive basis for focus constructions in Kikuyu and to provide a theoretical contribution to their analysis in the framework of generative grammar.
In this artiele I reanalyze sibilant inventories of Slavic languages by taking into consideration acoustic. perceptive and phonological evidence. The main goal of this study is to show that perception is an important factor which determines the shape of sibilant inventories. The improvement of perceptual contrast essentially contributes to creating new sibilant inventories by (i) changing the place of articulation of the existing phonemes (ii) merging sibilants that are perceptually very close or (iii) deleting them.
It has also been shown that the symbol s traditionally used in Slavic linguistics corresponds to two sounds in the IP A system: it stands for a postalveolar sibilant (ʃ) in some Slavic languages, as e.g. Bulagarian, Czech, Slovak, some Serbian and Croatian dialects, whereas in others like Polish, Russian, Lower Sorbian it functions as a retroflex (ʂ). This discrepancy is motivated by the fact that ʃ is not optimal in terms of maintaining sufficient perceptual contrast to other sibilants such as s and ɕ. If ʃ occurs together with s (and sʲ) there is a considerable perceptual distance between them but if it occurs with ɕ in an inventory, the distance is much smaller. Therefore, the strategy most languages follow is the change from a postalveolar to a retroflex sibilant.
This paper reports results from a series of experiments that investigated whether semantic and/or syntactic complexity influences young Dutch children’s production of past tense forms. The constructions used in the three experiments were (i) simple sentences (the Simple Sentence Experiment), (ii) complex sentences with CP complements (the Complement Clause Experiment) and (iii) complex sentences with relative clauses (the Relative Clause Experiment). The stimuli involved both atelic and telic predicates. The goal of this paper is to address the following questions.
Q1. Does semantic complexity regarding temporal anchoring influence the types of errors that children make in the experiments? For example, do children make certain types of errors when a past tense has to be anchored to the Utterance Time (UT), as compared to when it has to be anchored to the matrix topic time (TT)?
Q2. Do different syntactic positions influence children’s performance on past-tense production? Do children perform better in the Simple Sentence Experiment compared to complex sentences involving two finite clauses (the Complement Clause Experiment and the Relative Clause Experiment)? In complex sentence trials, do children perform differently when the CPs are complements vs. when the CPs are adjunct clauses? (Lebeaux 1990, 2000)
Q3. Do Dutch children make more errors with certain types of predicate (such as atelic predicates)? Alternatively, do children produce a certain type of error with a certain type of predicates (such as producing a perfect aspect with punctual predicates)? Bronckart and Sinclair (1973), for example, found that until the age of 6, French children showed a tendency to use passé composé with perfective events and simple present with imperfective events; we will investigate whether or not the equivalent of this is observed in Dutch.
In this paper we provide an account of the historical development of Polish and Russian sibilants. The arguments provided here are of theoretical interest because they show that (i) certain allophonic rules are driven by the need to keep contrasts perceptually distinct, (ii) (unconditioned) sound changes result from needs of perceptual distinctiveness, and (iii) perceptual distinctiveness can be extended to a class of consonants, i.e. the sibilants. The analysis is cast within Dispersion Theory by providing phonetic and typological data supporting the perceptual distinctiveness claims we make.
The focus of the present paper is on the difference between English and German learners‘ use of perfectivity and imperfectivity. The latter is expressed by means of suffixation (suffix -va-). In contrast, perfectivity is encoded either by suffixation (-nou-) or by prefixation (twenty different prefixes that mostly modify not only aspectual but also lexical properties of the verb).
In the native Czech data set, there is no significant difference between the number of imperfectively and perfectively marked verb forms. In the English data, imperfectively and perfectively marked verb forms are equally represented as well. However, German learners use significantly more perfective forms than English learners and Czech natives. When encoding perfectivity in Czech, German learners prefer to use prefixes to suffixes. Overall, English learners in comparison to German learners encode more perfectives by means of suffixation than prefixation.
These results suggest that German learners of Czech focus on prefixes expressing aspectual and lexical modification of the verb, while English learners rather pay attention to the aspectual opposition between perfective and imperfective. In a more abstract way, the German learner group focuses on the operations carried out on the left side from the verb stem while the English learner group concentrates on the operations performed on the right side qfrom the verb stem.
This sensitivity can be to certain degree motivated by the linguistic devices of the corresponding source languages: English learners of Czech use imperfectives mainly because English has marked fully grammatical form for the expression of imperfective aspect – the progressive -ing form. German learners, on the other hand, pay in Czech more attention to the prefixes, which like in German modify the lexical meaning of the verb. In this manner, Czech prefixes used for perfectivization function similar to the German verbal prefixes (such as ab-, ver-) modifying Aktionsart.
In this article we propose that there are two universal properties for phonological stop assibilations, namely (i) assibilations cannot be triggered by /i/ unless they are also triggered by /j/, and (ii) voiced stops cannot undergo assibilations unless voiceless ones do. The article presents typological evidence from assibilations in 45 languages supporting both (i) and (ii). It is argued that assibilations are to be captured in the Optimality Theoretic framework by ranking markedness constraints grounded in perception which penalize sequences like [ti] ahead of a faith constraint which militates against the change from /t/ to some sibilant sound. The occurring language types predicted by (i) and (ii) will be shown to involve permutations of the rankings between several different markedness constraints and the one faith constraint. The article demonstrates that there exist several logically possible assibilation types which are ruled out because they would involve illicit rankings.
In this study explanations are sought for the often reported associations in child language between tense/aspect morphology and situation type. The study is done on the basis of adult-adult data, child language and input language to the children. First of all it is shown that the associations are natural, since they are strong in adult-adult English as well. Only in the early stages does child language differ from this distribution, in that the associations are either stronger or different. Input data appear to account to a large extent for these differing patterns. An additional explanation is found in the discourse topics: within the context of talking about the here-and-now, the combinations of morphology and situation type that can be seen as unmarked suffice. In the context of talking about past events and of giving general comments about the world, marked combinations are necessary. It is shown that children in and their parents at the early ages mainly talk about the here-and-now, whereas adults among themselves hardly ever do so. Later, describing past events and commenting on the world becomes more frequent in child language and input, and, as a consequence, marked combinations of tense/aspect morphology and situation types increase in use.
The present study examines a particular kind of rule blockage – referred to below as an 'antistructure-preservation effect'. An anti-structure-preservation effect occurs if some language has a process which is preempted from going into effect if some sequence of sounds [XY] would occur on the surface, even though other words in the language have [XY] sequences (which are underlyingly /XY/). It will be argued below that anti-structure-preservation effects can be captured in Optimality Theory in terms of a general ranking involving FAITH and MARKEDNESS constraints and that individual languages invoke a specific instantiation of this ranking. A significant point made below is that while anti-structure-preservation effects can be handled straightforwardly in terms of constraint rankings they typically require ad hoc rule-specific conditions in rule-based approaches.
Glide formation, a process whereby an underlying high front vowel is realized as a palatal glide, is shown to occur only in unstressed prevocalic position in German, and to be blocked by specific surface restrictions such as *ji and *ʁj. Traditional descriptions of glide formation (including derivational as well as Optimality theoretic approaches) refer to the syllable in order to capture its conditions. The present study illustrates that glide formation (plus the distribution of long and short tense /i/) in German can better be captured in a Functional Phonology account (Boersma 1998) which makes reference to stress instead of the syllable and thus overcomes problems of former approaches.
This paper reviews research on English past-tense acquisition to test the validity of the single mechanism model and the dual mechanism model, focusing on regular-irregular dissociation and semantic bias. Based on the review, it is suggested that in L1 acquisition, both regular and irregular verbs are governed by semantics; that is, early use of past tense forms are restricted to achievement verbs—regular or irregular. In contrast, some L2 acquisition studies show stronger semantic bias for regular past tense forms (e.g., Housen, 2002, Rohde, 1996). It is argued that L1 acquisition of the past-tense morphology can be accounted for more adequately by the single-mechanism model.
While both Japanese and English have a grammatic al form denoting the progressive, the two forms (te-iru & be+ing) interact differently with the inherent semantics of the verb to which they attach (Kindaichi, 1950; McClure, 1995; Shirai, 2000). Japanese change of state verbs are incompatible with a progressive interpretation, allowing only a resultative interpretation of V+ te-iru, while a progressive interpretation is preferred for activity predicates. English be+ing denotes a progressive interpretation regardless of the lexical semantics of the verb. The question that arises is how we can account for the fact that change of state verbs like dying can denote a progressive interpretation in English, but not in Japanese. While researchers such as Kageyama (1996) and Ogihara (1998, 1999) propose that the difference lies in the lexical semantics of the verbs themselves, others such as McClure (1995) have argued that the difference lies in the semantics of the grammatical forms, be+ing and te-iru. We present results from an experimental study of Japanese learners’ interpretation of the English progressive which provide support for McClure’s proposal. Results indicate that independent of verb type, learners had significantly more difficulty with the past progressive. We argue that knowledge of L2 semantics-syntax correspondences proceeds not on the basis of L1 lexical semantic knowledge, but on the basis of grammatical forms.
Old masters and new frameworks : a pilot analysis of selected semantic changes in the field economy
(2003)
"Back to basics" : a cognitive analysis of conversion de-adjectival nominalisation in English
(2003)
We present an effort for the development of multilingual named entity grammars in a unification-based finite-state formalism (SProUT). Following an extended version of the MUC7 standard, we have developed Named Entity Recognition grammars for German, Chinese, Japanese, French, Spanish, English, and Czech. The grammars recognize person names, organizations, geographical locations, currency, time and date expressions. Subgrammars and gazetteers are shared as much as possible for the grammars of the different languages. Multilingual corpora from the business domain are used for grammar development and evaluation. The annotation format (named entity and other linguistic information) is described. We present an evaluation tool which provides detailed statistics and diagnostics, allows for partial matching of annotations, and supports user-defined mappings between different annotation and grammar output formats.
Most systematic discussion of dyad morphemes has focussed on Australian languages, owing to a combination of their relative prevalence there, and the development of a descriptive tradition that investigates them in some depth. In the course of researching this paper, however, I became aware of functionally and semantically similar morphemes in many other parts of the world, almost invariably described in isolation from any typological reference point. I have incorporated such data as far as I am aware of it, in the hope that a systematic study will encourage other investigators to identify, and investigate in detail, similar constructions in a range of languages. The current state of our research, however, as well as some interesting geographical skewings that I discuss below, such that outside Australia dyad constructions almost exclusively employ reciprocal morphology, means that most of this paper will focus on Australian languages.
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.
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.
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.
Twenty years ago I discussed the oldest isoglosses in the South Slavic linguistic area (1982). Subscribing to Van Wijk’s view that the bundle of isoglosses which separates Bulgarian from Serbo-Croatian was the result of an early split in South Slavic and that the transitional dialects originated from a later mixture of Serbian and Bulgarian dialects when the contact between the two languages had been restored (1927), I argued that the shared innovations of Bulgarian and Serbo-Croatian must be dated to a period when the dialects were still spoken in the original Trans-Carpathian homeland of the Slavs. I concluded that there is no evidence for common innovations of South Slavic which were posterior to the end of what I have called the Late Middle Slavic period, which I dated to the 4th through 6th centuries AD. At that time, the major dialect divisions of Slavic were already established.
Twenty years ago (1983), I severely criticized Halle and Kiparsky’s review (1981) of Garde’s history of Slavic accentuation (1976). I concluded that Halle and Ki-parsky’s theoretical framework “rests upon an unwarranted limitation of the available evidence, obscures the chronological perspective, and yields results which are partly not new and partly incorrect. It is harmful because it does not give the facts their proper due and thereby blocks the road to empirical study, giving a free hand to unrestrained speculation” (1983: 40). As Halle has recently returned to the subject (2001), it may be interesting to see if there has been some progress in his thinking over the last two decades. In the following I shall try to avoid repeating what I have said in my earlier discussion.
1. The functionalist’s view: linguistic forms are instruments used to convey meaningful elements. This is the basis of European structuralism. 2. The formalist’s view: linguistic forms are abstract structures which can be filled with meaningful elements. This is the basis of generative grammar. 3. The parasitologist’s view: linguistic forms are vehicles for the reproduction of meaningful elements. This is the view which I advocated twenty years ago in the Festschrift for Werner Winter’s 60th birthday (1985). Here I intend to discuss the evolutionary origin and the physiological nature of the linguistic parasite. My theory of language is wholly consistent with Gerald Edelman’s theory of neuronal group selection.
S.R. Ramsey writes (1979: 162): "The patterning of tone marks in Old Kyoto texts divides the vocabulary into virtually the same classes as those arrived at by comparing the accent distinctions found in the modern dialects. This means that the Old Kyoto dialect had a pitch system similar to that of proto-Japanese. The standard language of the Heian period may not actually be the ancestor of all the dialects of Japan, but at least as far as the accent system is concerned, it is close enough to the proto system to be used as a working model. The significance of this fact is important: It means that each of the dialects included in the comparison has as much to tell, at least potentially, as any other dialect about Old Kyoto accent."
In her discussion of the Japanese adversative passive, Anna Wierzbicka writes (1988: 260): “The problem is extremely interesting and important both for intrinsic reasons and because of its wider methodological implications. It can be formulated like this: if one form can be used in a number of different ways, are we entitled to postulate for it a number of different meanings or should we rather search for one semantic common denominator (regarded as the MEANING of the form in question) and attribute the variety of uses to the interaction between this meaning and the linguistic or extralinguistic context?” Though it “may seem obvious” that the second stand is “methodologically preferable” (261), she takes the first position and concludes that “the Japanese passive has to be recognized as multiply ambiguous” (286). In the following I intend to show that this view is both wrong and fruitful.
The large majority of the isoglosses which can be established in the South Slavic dialectal area date from the time of the disintegration of Common Slavic and from more recent periods (e.g., Ivi´c 1958: 25ff). The isoglosses have often shifted in the course of the centuries, so that their original position cannot always be determined. In this study I shall concentrate upon the dialectal differences which originated before the 10th century. At that time, Slavic was still a largely uniform language, though it was certainly not completely homogeneous.