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Chunk parsing has focused on the recognition of partial constituent structures at the level of individual chunks. Little attention has been paid to the question of how such partial analyses can be combined into larger structures for complete utterances. Such larger structures are not only desirable for a deeper syntactic analysis. They also constitute a necessary prerequisite for assigning function-argument structure. The present paper offers a similaritybased algorithm for assigning functional labels such as subject, object, head, complement, etc. to complete syntactic structures on the basis of prechunked input. The evaluation of the algorithm has concentrated on measuring the quality of functional labels. It was performed on a German and an English treebank using two different annotation schemes at the level of function argument structure. The results of 89.73% correct functional labels for German and 90.40%for English validate the general approach.
Der TUSNELDA-Standard : ein Korpusannotierungsstandard zur Unterstützung linguistischer Forschung
(2001)
Die Verwendung von Standards für die Annotierung größerer Sammlungen elektronischer Texte (Korpora) ist eine Voraussetzung für eine mögliche Wiederverwendung dieser Korpora. Dieser Artikel stellt einen Korpusannotierungsstandard vor, der die Anforderungen der Untersuchung unterschiedlichster linguistischer Phänomene berücksichtigt. Der Standard wurde im SFB 441 an der Universität Tübingen entwickelt. Er geht von bestehenden Standards, insbesondere CES und TEI, aus, die sich als teilweise zu ausführlich und zu wenig restriktiv,teilweise auch als nicht ausdrucksstark genug erweisen, um den Bedürfnissen korpusbasierter linguistischer Forschung gerecht zu werden.
Chunk parsing has focused on the recognition of partial constituent structures at the level of individual chunks. Little attention has been paid to the question of how such partial analyses can be combined into larger structures for complete utterances. The TüSBL parser extends current chunk parsing techniques by a tree-construction component that extends partial chunk parses to complete tree structures including recursive phrase structure as well as function-argument structure. TüSBLs tree construction algorithm relies on techniques from memory-based learning that allow similarity-based classification of a given input structure relative to a pre-stored set of tree instances from a fully annotated treebank. A quantitative evaluation of TüSBL has been conducted using a semi-automatically constructed treebank of German that consists of appr. 67,000 fully annotated sentences. The basic PARSEVAL measures were used although they were developed for parsers that have as their main goal a complete analysis that spans the entire input.This runs counter to the basic philosophy underlying TüSBL, which has as its main goal robustness of partially analyzed structures.
Maschinelles Lernen wird häufig zur effzienten Annotation großer Datenmengen eingesetzt. Die Forschung zu maschinellen Lernverfahren beschränkt sich i.a. darauf unterschiedliche Lernverfahren zu vergelichen oder die optimale größe der Trainingsdaten zu bestimmen. Bisher wurde jedoch nicht untersucht, in wie weit sich linguistisches Wissen bei der Aufgabendefinition positiv auswirken kann. Dies soll hier anhand des Lernens von Base-Nominalphrasen mit drei unterschiedlichen Definitionen untersucht werden. Die Definitionen unterscheiden sich im Grad der linguistisch motivierten Erweiterungen, die zu einer eher praktisch motivierten ersten Definition hinzu kamen. Die Untersuchungen ergaben, dass sich die Anzahl der falsch klasssifizierten Wörter um ein Drittel reduzieren lässt.
In der Abteilung Grammatik des Instituts für Deutsche Sprache, Mannheim, wird derzeit ein neues Projekt entwickelt, und zwar das einer Grammatik des Deutschen im europäischen Vergleich (GDE). Dieses Projekt fügt sich ein in die kontrastive Tradition des IDS, ist jedoch andererseits auch in vieler Hinsicht innovativ. Bevor ich das Projekt im Einzelnen vorstelle, versuche ich den Bogen zurück zu den kontrastiven Grammatiken zu schlagen. Gerade die Leserschaft polnischer Germanisten braucht an die Tradition kontrastiver Grammatikschreibung sicher nicht eigens erinnert zu werden. Denn diese Tradition, die untrennbar mit dem Namen Ulrich Engel verknüpft ist, ist gerade erst in der neu erschienenen deutsch-polnischen kontrastiven Grammatik kulminiert. Im Bereich der kontrastiven Grammatiken zu Sprachenpaaren, von denen das Deutsche ein Element ist, verfügt das IDS also über eine vergleichsweise reiche Tradition. Am IDS oder in Kooperation mit dem IDS wurden kontrastive Grammatiken zu den Sprachenpaaren Deutsch – Französisch (Zemb 1978), Deutsch – Serbokroatisch , Deutsch – Spanisch (Cartegena/Gauger 1989), Deutsch – Rumänisch (Engel u.a. 1993) erarbeitet. Zum Sprachenpaar Englisch – Deutsch liegt mit Hawkins 1986 eine typologisch-vergleichende Grammatik vor. Die deutsch-polnische kontrastive Grammatik, die unter der Leitung von Ulrich Engel erarbeitet wurde, ist 1999 erscheinen. Abraham 1994 und Glinz 1994 konfrontieren das Deutsche, mit durchaus unterschiedlicher Akzentsetzung, mit mehreren anderen europäischen Sprachen. An der Berliner Humboldt-Universität laufen derzeit die Vorarbeiten zu einer deutsch-russischen kontrastiven Grammatik (Initiative Wolfgang Gladrow und Michail Kotin). Die Aufgabe einer 'Grammatik des Deutschen im europäischen Kontext' ist also hinlänglich vorbereitet.
Wie in anderen Regionen ist auch in der Schweiz seit den 1950er Jahren eine Bewegung weg von der Untersuchung der 'reinen' Dialekte in ländlicher Umgebung hin zu einer Untersuchung von aktueller Sprachverwendung im urbanen Umfeld zu beobachten. Schweizer Dialektologie ist somit heute deutlich als 'social dialectology' zu verstehen. Die traditionelle Dialektologie hat sich an der sprachlichen Vielfalt der Städte gestört, weil diese dem Bemühen entgegenstanden, die diatopische Verteilung sprachlicher Varianten möglichst genau zu beschreiben. Die Sprache der Städte blieb deshalb am Rande des sprachwissenschaftlichen Interesses. Es zeigt sich jedoch deutlich (Siebenhaar i. Dr.), dass gerade in der Schweiz, wo die Mundarten auch in den Städten nicht durch die Standardsprachen verdrängt wurden, schon früh ein Interesse an der mundartlichen Variation aufgekommen ist.
Unter “Kasussynkretismus” versteht man den Wegfall von morphologischen Unterscheidungen im Kasussystem einer Sprache. Hier will ich über den Synkretismus sprechen, der im Deutschen im Femininum stattgefunden hat. Im Gegensatz zum Maskulinum, aber ebenso wie im Neutrum, unterscheidet das Deutsche systematisch nicht zwischen der Nominativform und der Akkusativform.
What role does language play in the development of numerical cognition? In the present paper I argue that the evolution of symbolic thinking (as a basis for language) laid the grounds for the emergence of a systematic concept of number. This concept is grounded in the notion of an infinite sequence and encompasses number assignments that can focus on cardinal aspects ("three pencils"), ordinal aspects ("the third runner"), and even nominal aspects ("bus #3"). I show that these number assignments are based on a specific association of relational structures, and that it is the human language faculty that provides a cognitive paradigm for such an association, suggesting that language played a pivotal role in the evolution of systematic numerical cognition.
I discuss the status of WH-words for interrogative interpretations, and show that the derivation of constituent questions evolves from a specific interplay of syntactic and semantic representations with pragmatics. I argue that WH-pronouns are not ‘interrogative’. Rather, they are underspecified elements; due to this underspecification, WH-words can form a constitutive part not only of interrogative, but also of exclamative and declarative clauses. WH-words introduce a variable of a particular conceptual domain into the semantic representation. Accordingly, they have to be specified for interpretation. Different WH-contexts give rise to different interpretations. In a cross-linguistic overview, I discuss the characteristic elements contributing to the derivation of interrogatives. I argue that specific particles or their phonologically empty counterparts in the head of CP contribute the interrogative aspect. The speech act of ‘asking’ is then carried out via an intonational contour that identifies a question. By default, this intonational contour operates on interrogative sentences; however, other sentence formats – in particular, those of declarative sentences – are possible as well. The distinction of (a) grammatical (syntactic, semantic and phonological) sentence formats for interrogative and declarative sentences, and (b) intonational contours serving the discrimination of speech acts like questions and assertions, can be related to psychological and neurological evidence.
I give a unified account of numeral classifiers as lexical items that are reduced to the function of individuation in cardinal counting constructions with transnumeral nouns. I argue that individuation is a lexical-semantic phenomenon that triggers a focus shift from a whole set to its individual elements, but does not affect the conceptual representation. The semantic reduction of numeral classifiers to individuation functions is, on the one hand, reflected by a morpho-syntactic reduction; numeral classifiers do not project to full NPs, but occur as headadjuncts in QPs. On the other hand, it leads to a loss of conceptual features. As a result, nouns that are used as numeral classifiers are conceptually divorced from their NP counterparts. They integrate the nominal concept not as part of their interpretation, but via agreement features that govern the distribution of nouns in classifierconstructions. I show that the selection of conceptual features relevant for the distribution of numeral classifiers and nouns is lexically, not conceptually governed, supporting a model that distinguishes lexical-semantic and conceptual aspects in the generation of meaning.
Gegenstand des vorliegenden Beitrags ist der Zusammenhang der beiden Bereiche Sprache und außersprachliches Begriffssystem: Wie sind sprachliche und konzeptuelle Module verknüpft, und wie lässt sich ihr Zusammenhang theoretisch erfassen? Ich skizziere zwei alternative Ansätze zur Modellierung dieser Schnittstelle: das „Zwei-Ebenen-Modell“ und das Modell der „Conceptual Semantics“. Vor dem Hintergrund der beiden Ansätze diskutiere ich die Notwendigkeit eines vom konzeptuellen unterschiedenen „semantischen“ Systems, das sprachliche Aspekte der Bedeutung erfasst. Ich entwickele auf dieser Basis ein Modell, in dem die semantische Ebene als integrierter Teil des konzeptuellen Systems CS definiert ist: Semantische Repräsentationen werden durch einen Filter über CS generiert; sie etablieren eine Schnittstellen-Ebene, die CSElemente sprachlichen Strukturen zugänglich macht. Das Modell, das als Elaboration des „Tripartite Parallel Architecture“-Modells (Jackendoff 1997) verstanden werden kann, differenziert sprachliche und nicht-sprachliche Bedeutungsaspekte innerhalb eines komplexen Moduls (“2 in 1”-Ansatz).
Im Rahmen philosophisch-mathematischer Ansätze steht häufig der kardinale Aspekt natürlicher Zahlen im Vordergrund, auf den sprachlich mit Kardinal-Konstruktionen („sieben Zwerge“) referiert wird. Zahlen werden jedoch nicht nur in solchen quantitativen, sondern auch in ordinalen („der dritte Mann“) oder nominalen Kontexten („Bus Nr.129“) gebraucht. Bei einer umfassenden Analyse des Zahlkonzepts sind daher auch diese Komponenten zu berücksichtigen.
In linguistics and the philosophy of language, the mass/count distinction has traditionally been regarded as a bi-partition on the nominal domain, where typical instances are nouns like "beef" (mass) vs."cow" (count). In the present paper, we argue that this partition reveals a system that is based on both syntactic features and conceptual features, and present experimental evidence suggesting that the discrimination of the two kinds of features has a psychological reality.
The first printed newspapers in the modern sense of the word appeared in the seventeenth century. They were weekly publications which contained regular reports by correspondents from all over Europe, mainlyon political matters. Although the new medium as such was innovative in its general organization, the individual news items were produced by following text patterns which already had a history of their own. The article reports recent research on the emerging constellation of text types in the first two German newspapers, the Aviso and the Relation of the year 1609. lt is focussed on delineating a prototype-based typology of the relevant text types and on tracing back these forms of presentation of news items to earlier genres and media like chronicles, handwritten newsletters, printed pamphlets and biannual news collections. The general interest of this line of research as a contribution to historical pragmatics lies in the attempt to see historical text types in an evolutionary perspective, taking into account the context of text production and, as far as possible, the reactions of the reading public.
Die deutsche Wechselflexion besteht hauptsächlich im e -> i- und im a -> e-Wechsel in der 2. und 3. Person Singular im Präsens starker Verben (z.B. ich gebe vs. du gibst/sie gibt oder ich fahre vs. du fährst/sie fährt). Dieser binnenflektierende, modulatorische Person/Numerus-Ausdruck galt bisher als konservativer Zug des Deutschen und wurde von der Linguistik kaum beachtet, möglicherweise weil sein Erhalt theoretisch schwer zu begründen ist. Manche Linguisten haben sogar schon seinen Abbau prognostiziert. In diesem Beitrag wird dieses marginalisierte Phänomen synchron wie diachron dargestellt und mit dem Luxemburgischen verglichen. Beide Sprachen verfügen über einen stabilen Bestand an über fünfzig häufig verwendeten Wechselflexionsverben. Im Gegensatz zum Deutschen hat sich die luxemburgische Wechselflexion von den starken Verben gelöst und wurde sekundär auch auf schwache und athematische Verben übertragen. Dabei kommt es zu über zwanzig verschiedenen Vokalalternanzen. Dieser massive Aus- und Umbau der luxemburgischen Wechselflexion wird dokumentiert und, zusammen mit der deutschen Wechselflexion, einer theoretischen Fundierung unterzogen.
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.
Das Fersental (Valle del Fèrsina) liegt etwa fünfzehn Kilometer östlich von Trient in der Provinz Trient / Trento in Oberitalien und bildet eine germanophone Sprachinsel im hauptsächlich italienisch-sprachigen Trentino. Gesprochen wird die Minderheitensprache „Mòchenisch“ [...] oder Deutsch-Fersentalerisch heute in drei Orten des Fersentals [...]. Die Grammatik bietet eine Übersicht über Lautungen, Formen und Satzbau des Mòchenischen.
Auto - bil, Reha - rehab, Mikro - mick, Alki - alkis : Kurzwörter im Deutschen und Schwedischen
(2001)
Das Kurzwort wird nach BELLMANN 1980 und KOBLER-TRILL 1994 definiert als eine sowohl graphisch als auch phonisch realisierte gekürzte Form, die aus einem längeren sog. Basislexem (einschließlich eines Wortgruppenlexems) hervorgeht (im Folgenden auch Vollform genannt). Dabei besteht zwischen Kurzwort und Basislexem, die weiterhin nebeneinander bestehen, eine Synonymie-Beziehung, d.h. beide referieren auf das gleiche Objekt (vgl. Limo und Limonade, Kripo und Kriminalpolizei).
The Child Language Data Exchange System (CHILDES) consists of Codes for the Human Analysis of Transcripts (CHAT), Computerized Language Analysis (CLAN), and a database. There is also an online manual which includes the CHILDES bibliography, the database, and the CHAT conventions as well as the CLAN instructions. The first three parts of this paper concern the CHAT format of transcription, grammatical coding, and analyzing transcripts by using the CLAN programs. The fourth part shows examples of transcribed and coded data.
Daß das Deutsche eine sterbende Sprache sein könnte, scheint auf den ersten Blick eine sehr gewagte These, da die meisten von uns diese Sprache täglich benutzen und auch nicht vorhaben, dies in nächster Zeit zu ändern. Hier soll der Frage nachgegangen werden, ob die massive Fremdwortübernahme, vor allem aus dem Englischen, dahingehend gedeutet werden kann, daß das Deutsch eine sterbende Sprache ist.
Generative grammar
(2001)
Generative Grammar is the label of the most influential research program in linguistics and related fields in the second half of the 20. century. Initiated by a short book, Noam Chomsky's Syntactic Structures (1957), it became one of the driving forces among the disciplines jointly called the cognitive sciences. The term generative grammar refers to an explicit, formal characterization of the (largely implicit) knowledge determining the formal aspect of all kinds of language behavior. The program had a strong mentalist orientation right from the beginning, documented e.g. in a fundamental critique of Skinner's Verbal behavior (1957) by Chomsky (1959), arguing that behaviorist stimulus-response-theories could in no way account for the complexities of ordinary language use. The "Generative Enterprise", as the program was called in 1982, went through a number of stages, each of which was accompanied by discussions of specific problems and consequences within the narrower domain of linguistics as well as the wider range of related fields, such as ontogenetic development, psychology of language use, or biological evolution. Four stages of the Generative Enterprise can be marked off for expository purposes.
Intermediate cumulation
(2001)
Syntax-semantics interface
(2001)
MED (Media EDitor) is a program designed to facilitate the transcription of digitized soundfiles into textfiles. It was written by Hans Drexler and Daan Broeder, Max Planck Institute for Psycholinguistics, Nijmegen, The Netherlands. [...] The aim of MED is to facilitate the transcription of sound into text using a single program. It works on the principle of the coexistence and interaction of two basic elements, the waveform display window and the text window. [...] This means that you no longer need to use both a sound editor and a word processor at the same time in order to transcribe digitized speech files. Instead, you can directly type the sound you hear (and see) via MED into the text window. Furthermore, you can directly link sound portions of the waveform display window to text portions of the text window, so that you can easily locate and listen to the original source of your transcription once the links have been set. In this function the waveform display window and the text window virtually interact with each other.
Die Erstellung eines Großwörterbuchs ist ein umfagreiches Vorhaben – nicht nur in quantitativem Sinne. So ist es mir eine Ehre, dass ich – als Mitherausgeber der kürzlich erschienenen Großwörterbücher Deutsch-Ungarisch und Ungarisch-Deutsch – im Rahmen dieser Tagung die derzeit laufende lexikographische Arbeit an einem deutsch-finnischen Großwörterbuch unter der Leitung von Professor Jarmo Korhonen näher kennen lernen kann. Über dieses Projekt schreibt Lenk (1998: 87) in einem Tagungsbericht: „Das [...] geplante neue Großwörterbuch begnügt sich mit einer voraussichtlichen Stichwortzahl von 100.000.“ Nun erhebt sich die Frage, was hier wohl mit der Formulierung „begnügt sich“ gemeint war: Wie „groß“ muss eigentlich ein „Großwörterbuch“ sein, um diesen Namen führen zu dürfen? Unter diesem Aspekt möchte sich der vorliegende Beitrag mit der Problematik der Größenklassen bzw. -bezeichnungen von Wörterbüchern auseinander setzen, da diese Fragestellung in mehrfacher Hinsicht aktuell ist, sowohl für die metalexikographische Theorie als auch für die Praxis der Wörterbucharbeit. Zur Verdeutlichung sei zunächst exemplarisch auf die ungarische Wörterbuchwirklichkeit hingewiesen: Es sind vor kurzem fast zeitgleich – allerdings für unterschiedliche Sprachenpaare – so genannte „Großwörterbücher“ einerseits mit lediglich 30.000 (z.B. Radácsy 1997) und andererseits mit mehr als 200.000 Lemmata (z.B. Halász/Földes/Uzonyi 1998a) herausgegeben worden. Ebenfalls in Ungarn erscheinen jetzt – sogar für dieselbe Sprachrichtung – zwei Wörterbücher mit im Wesentlichen gleicher Lemmaanzahl, wobei sich das eine „Kleinwörterbuch“ (Halász/Földes/Uzonyi 2000a), das andere aber schon „Handwörterbuch“ (Hessky 2000) nennt. Mit anderen Worten: Sprachlexika mit etwas über 30.000 Lemmata nennt man mal Klein-, mal Hand-, mal Großwörterbuch. Von dieser empirischen Beobachtung ausgehend soll im Weiteren an einer größeren Zahl zweisprachiger Wörterbücher, in denen eine der beteiligten Sprachen das Deutsche ist, untersucht werden, ob die Bezeichnungen als einigermaßen verlässliche Indikatoren für die Größe des lexikographisch erfassten Sprachmaterials angesehen werden können. Ebenfalls soll der Frage nachgegangen werden, ob die immer zahlreicher werdenden Attribuierungen und Bestimmungswörter wie großes Wörterbuch oder Global-, Universal-, Kompaktwörterbücher etc. mit dem tatsächlichen Umfang der Wörterbücher korrelieren und ob bzw. inwieweit die diesbezüglich verwendeten Terminologien der einzelnen lexikographischen Werkstätten bzw. der Verlage miteinander kompatibel sind. Hier besteht erheblicher Klärungsbedarf. Vor diesem Hintergrund sollen generell die Probleme der Größenbezeichnungen bzw. -klassen – oder wie der Heidelberger Metalexikograph Wiegand (1990: 2127) besonders fachkundig formuliert: „die Zahlen zur Mächtigkeit der Trägermenge der Makrostruktur“ – angesprochen werden. Dabei muss man sich natürlich klar vor Augen halten, dass die Lemmaanzahl nur eines der Kriterien zur Bestimmung des Volumens, d.h. der Größenklasse ist (vgl. Wiegand 1990: 2129). Bei der Lemmaselektion ergeben sich daher für die Lexikographen gleich zwei grundsätzliche Dilemmas: (a) in quantitativer Hinsicht wie viel und (b) in qualitativer Hinsicht welche Lemmata Aufnahme finden sollen. Denn nur bei einem geschlossenen Korpus – wie etwa bei einem historischen Wörterbuch – liegt eine idealtypische Lemmaselektion vor, indem die Quellen vollständig ausgewertet werden können: Beispielsweise war es Hannig (1995: VII) möglich, in seinem „Handwörterbuch Ägyptisch- Deutsch. Die Sprache der Pharaonen (2800-950 v.Chr.)“ relativ ruhigen Gewissens zu äußern: „Das Handwörterbuch ist eine möglichst vollständige Sammlung aller bekannten Wörter der zweiten/dritten bis inklusive einundzwanzigsten Dynastie“. Die Probleme der Größenklassen scheinen in den einschlägigen Fachdiskursen kaum eine Rolle zu spielen. In einer Monographie erwähnt zwar Schaeder (1987: 84) im Zusammenhang mit einsprachigen Spezialwörterbüchern am Rande: „Geteilt dürften die Ansichten darüber sein, was ein großes und was ein kleines Wörterbuch ist“. Gleichwohl finden sich in den sonst erschöpfenden HSK-Bänden „Wörterbücher“ von Hausmann/Reichmann/Wiegand/Zgusta (1990/1991) recht sporadisch und zugleich ziemlich rudimentäre Hinweise auf eine Phänomenologie der Größenordnung von Wörterbüchern.
Die Untersuchung von Eigennamen (EN) im Kontext der Kontaktlinguistik stellt ein besonders aktuelles und informatives Forschungsfeld dar: Beispielsweise hat Eichler (1976: 128) bereits vor zweieinhalb Jahrzehnten erkannt, dass "gerade Sprachkontaktforschung heute ohne die onomastische Komponente nicht mehr gut denkbar ist". Beim gegenwärtigen Wissensstand kann auch von der anderen Seite her festgestellt werden, dass – insbesondere in Kulturräumen, in denen mehrere Sprachen miteinander in Berührung kommen – die Namenforschung eines kontaktlinguistischen Blickwinkels bedarf. Denn die EN verkörpern wohl den deutlichsten Nachweis für langfristige Vorgänge und Ergebnisse von Sprachenkontakten. So können diesbezüglich etwa hinsichtlich des "Namenstransfers" (Terminus nach Eichhoff 1991: 264) in mehr oder weniger multilinguale Regionen vor allem die Familien- und Ortsnamen lehrreiche linguistische wie auch interkulturelle Aufschlüsse liefern. Die onomastische Forschung verhält sich in diesem Problembereich unterschiedlich. Die kontaktlinguistischen Implikationen des direkten Transfers von Personennamen (mit phonematischer Anpassung) wurden in angelsächsischer Relation (norwegische, jiddische und ungarische Namen in den USA) bereits von einer Reihe bekannter Linguisten wie Kimmerle (1941: 1ff.; 1942: 158ff.), Haugen (1953: 201ff.), Mencken (1949: 474ff. sowie Supplement II, 1952: 396ff.), Weinreich (1968: 53), Bartha (1993: 41 ff.) und Kontra (1988: 58ff.) angesprochen. Hingegen würdigen nicht wenige Veröffentlichungen mit germanistischer Ausrichtung, auch wenn sie deutsche Nachnamen am Rande oder außerhalb des sog. "geschlossenen deutschen Sprachraums" ausführlich behandeln, diese Sprachenkontaktphänomene keines Hinweises (z. B. Breza 1986, Grünspanová 1975). Einige Arbeiten schneiden zwar die Einwirkung der Kontaktsprache(n) auf die deutschen Familiennamen (FaN) an, machen dies allerdings nicht zu ihrem primären Untersuchungsobjekt (z. B. Čučka/Melika 1979, Hellfritzsch 1990, Matejčík 1993[3] und Mori 1993). Lediglich in deutsch-tschechischer (Knappová 1990) und stärker in deutsch-angloamerikanischer sowie deutsch-costaricanischer Relation liegen einschlägig ertragreiche Beiträge vor, die verschiedene Integrationserscheinungen am Beispiel deutscher FaN in der englischsprachigen Umwelt der USA bzw. dem spanischsprachigen Milieu von Costa Rica thematisieren (Jones 1991 und besonders Eichhoff 1991 bzw. Boving 1986). Vor diesem Hintergrund zielt die vorliegende Studie darauf ab, deutschsprachige FaN in Südungarn einer kontaktlinguistischen Analyse zu unterziehen. Dies verspricht insofern ein besonders reizvolles Untersuchungsfeld, als in den Anthroponymen – dank lang anhaltender intensiver und mannigfacher Sprachen- und Kulturenkontakte trotz ihrer amtlich festgelegten Schreibformen – deutsche und ungarische Sprachelemente miteinander verschmelzen und in enger Symbiose existieren. Die Wechselwirkungen der flektierenden, indogermanischen deutschen Sprache und der agglutinierenden, finnisch-ugrischen ungarischen Sprache sind auch im Hinblick auf die Sprachtypologie besonders interessant.
Wo es auch immer um die Stellung der deutschen Sprache geht, kann ein Hinweis auf Ostmittel-, Ost- und Südosteuropa, einschließlich der GUS kaum fehlen. Zumeist wird dieses Areal (im Weiteren bediene ich mich des im deutschen Sprachraum zunehmend verwendeten Kürzels MOE) fast als Synonym für eine Hochburg des Deutschen apostrophiert. Deutsch als MOE-Sprache? - kann man sich fragen. Die Daten, die Wahrnehmungen und die Einstellungen sind allerdings nicht ganz einheitlich und nicht restlos eindeutig. Die Situation etwa der Hochschulgermanistik in der östlichen Hälfte Europas hat Kalmán in der Deutschen Universitäts-Zeitung wie folgt beschrieben: „Mangelnde Strukturierung des Fachbereiches, fehlende Differenzierung von Abschlüssen, Frontalunterricht und die Didaktik des kritiklosen Auswendiglernens - nach nun fast sechs Jahren hat sich an den ostmittel- und osteuropäischen Hochschulen nichts Grundlegendes geändert. […] Denn: ´Die Wandlungsunfähigkeit in diesen Ländern ist keine Frage des Systems mehr, sie ist eine Frage der Bequemlichkeit´“. Im Gegensatz zu diesem vernichtenden Verdikt meine ich als „betroffener“ Hochschulgermanist aus Ungarn, dass es bei uns doch nicht so schlecht aussieht. So möchte ich in diesem Beitrag die aktuelle Situation der deutschen Sprache in den Bereichen Schule und Universität vorstellen und einige Entwicklungstendenzen herausarbeiten. Dabei sei zwar der ganze MOE-Horizont im Blick behalten, es soll aber Ungarn besondere Aufmerksamkeit geschenkt werden.
Mit dem vorliegenden Beitrag sollte gezeigt werden, dass Untersuchungen zur Sprache von Minderheitenblättern nicht nur die Forschungen zur Pressesprache bereichern können, sondern gleichermaßen den Erkenntnisstand über verschiedene andere Sondersprachen. Infolge des besonderen sprachlich-kommunikativen Kontextes der lebensweltlichen Mehrsprachigkeit und des spezifischen soziokulturellen Umfelds der erlebten Interkulturalität vermögen solche Forschungen - die künftig in größerer Zahl und auf breiterer Basis wünschenswert wären - Blickwinkel, Instrumentarien und Ergebnisse der traditionellen Forschungsaktivitäten im binnendeutschen Sprachraum durch qualitativ neue Aspekte zu ergänzen und dadurch auch in vielerlei Hinsicht zu relativieren.
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.
In the present paper, I will discuss the semantic structure of nouns and nominal number markers. In particular, I will discuss the question if it is possible to account for the syntactic and semantic formation of nominals in a parallel way, that is I will try to give a compositional account of nominal semantics. The framework that I will use is "twolevel semantics". The semantic representations and their type-theoretical basis will account for general cross-linguistic characteristics of nouns and nominal number and will show interdependencies between noun classes, number marking and cardinal constructions. While the analysis will give a unified account of bare nouns (like dog / water), it will distinguish between the different kinds of nominal terms (like a dog / dogs / water). Following the proposal, the semantic operations underlying the formation of the SR are basically the same for DPs as for CPs. Hence, from such an analysis, independent semantic arguments can be derived for a structural parallelism of nominals and sentences - that is, for the "sentential aspect" of noun phrases. I will first give a sketch of the theoretical background. I will then discuss the cross-linguistic combinatorial potential of nominal constructions, that is, the potential of nouns and number markers to combine with other elements and form complex expressions. This will lead to a general type-theoretical classification for the elements in question. In the next step, I will model the referential potential of nominal constructions. Together with the combinatorial potential, this will give us semantic representations for the basic elements involved in nominal constructions. In an overview, I will summarize our modeling of nouns and nominal number. I will then discuss in an outlook the "sentential aspect" of noun phrases.
Cross-linguistically, numerals differ from other linguistic expressions in various aspects of their grammatical behavior and their acquisition. What is so special about them? I will show that a closer look at the status of numbers and numerals not only gives an answer to this question, but can also shed some light onto the syntax-semantics interface. Taking into account philosophical approaches from the foundations of mathematics, I will set forth a definition of number as a function that can be fulfilled by certain sequences. This will lead us (i) to dispense with abstract entities “numbers“ and (ii) to regard numeral sequences as sets that can function as numbers. I will show that this OCCAMiam view captures the peculiar features of numeral sequences as a reflex of their “number function”. On the other hand, the integration of number words into complex syntactic structures leads to a morpho-syntactic behavior of cardinals, ordinals and numerals in “#”-constructions that comes close to that of different word classes, depending on parallels in their semantic-conceptual structure.
This volume presents working versions of presentations heard at and selected for the Workshop on Syntax of Predication, held at ZAS, Berlin, on November 2-3, 2001 (except the editor’s own paper).
Predication is a many-faceted topic which involves both syntax and semantics and the interface between them. This is reflected in the papers of the volume.
A model is proposed that interprets a variety of connected speech processes as resulting from prosodic modulations at different tiers of functional speech motor control along the hypo-hyper dimension [10]. The general background of the model is given by the trichotomy of A-, B- and C-prosodic phenomena [15] that together constitute the acoustic makeup of any speech utterance (with regard to their respective time domains at the uttarance/phrase level, the syllabic level and the segmental level).
The two papers included in this volume have developed from work with the CHILDES tools and the Media Editor in the two research projects, "Second language acquisition of German by Russian learners", sponsored by the Max Planck Institute for Psycholinguistics, Nijmegen, from 1998 to 1999 (directed by Ursula Stephany, University of Cologne, and Wolfgang Klein, Max Planck Institute for Psycholinguistics, Nijmegen) and "The age factor in the acquisition of German as a second language", sponsored by the German Science Foundation (DFG), Bonn, since 2000 (directed by Ursula Stephany, University of Cologne, and Christine Dimroth, Max Planck Institute for Psycholinguistics, Nijmegen). The CHILDES Project has been developed and is being continuously improved at Carnegie Mellon University, Pittsburgh, under the supervision of Brian MacWhinney. Having used the CHILDES tools for more than ten years for transcribing and analyzing Greek child data there it was no question that I would also use them for research into the acquisition of German as a second language and analyze the big amount of spontaneous speech gathered from two Russian girls with the help of the CLAN programs. When in the spring of 1997, Steven Gillis from the University of Antwerp (in collaboration with Gert Durieux) developed a lexicon-based automatic coding system based on the CLAN program MOR and suitable for coding languages with richer morphologies than English, such as Modern Greek. Coding huge amounts of data then became much quicker and more comfortable so that I decided to adopt this system for German as well. The paper "Working with the CHILDES Tools" is based on two earlier manuscripts which have grown out of my research on Greek child language and the many CHILDES workshops taught in Germany, Greece, Portugal, and Brazil over the years. Its contents have now been adapted to the requirements of research into the acquisition of German as a second language and for use on Windows.
In his 1995 monograph, Apresyan suggests that it would be extremely interesting to investigate the means of expressing the definiteness/indefiniteness opposition in languages that do not have articles. In this paper, I will attempt to find possible correlations between the organization of discourse and the positions in which the (in)definite nominals may appear within a sentence of Russian. I will examine the information structure of Russian sentences and, based on the previous analyses, provide a new account of their organization with respect to information packaging. I will then look at various nominal elements contained in certain parts of a sentence and arrive at a system describing the distribution of NPs in Russian with respect to the information structure. The ultimate goal of this paper is to establish and motivate a system of correlations between various types of NPs and functions of information structure. This goal will be achieved by determining which characteristic of a NP may serve as a criterion allowing to provide a one-to-one mapping.
Sentence mood in German is a complex category that is determined by various components of the grammatical system. In particular, verbal mood, the position of the finite verb and the wh-characteristics of the so called 'Vorfeld'-phrase are responsible for the constitution of sentence mood in German. This article proposes a theory of sentence mood constitution in German and investigates the interaction between the pronominal binding of indefinite noun phrases which are semantically analyzed as choice functions. It is shown that the semantic objects determined by sentence mood define different kinds of domains which have to be uniquely accessible as the range of the choice function. The various properties of the pronominal binding of indefinites can be derived by the interplay of the proposed theoretical notions.
The goal of this paper is to study the influence of information structure in the referential status of linguistic expressions such as bare plurals and indefinite NPs in Spanish. In particular, we will argue for the following claims: (a) Spanish bare plurals can receive a generic interpretation in object position and (b) Spanish bare plurals in object position can be topics in siru. We will focus on object position because of the well known semantic and syntactic constraints that affect preverbal subject bare plurals in Spanish.
Although the linear order of arguments (and adverbials) in German is relatively free, it underlies certain restrictions; these don’t apply to the so-called unmarked order for arguments (Lenerz 1977) and adverbials (Frey/Pittner 1998). It is a common assumption to take the unmarked order as basic and derive all other orders from it by scrambling, whatever its specific characteristics may be (cf., amongst others, Haider/Rosengren 1998). The observable restrictions obtaining for some linear ordering may then be considered as constraints on a movement operation (scrambling). [...] In the following, I will try to present the outlines of a possible explanation for the restriction, based on a proposal governing the proper referential interpretation of indefinite NPs.
Current analyses of specificity are unable to provide an explanatory account for why specific and nonspecific uses of indefinites are available. While Abusch (1994), Reinhart (1997), and Kratzer (1998) provide successful mechanisms for deriving specific readings, they do not provide a fundamental explanation for the availability of this mechanism. This is due to the fact that specific indefinites are treated as involving an interpretive component or procedure unique to themselves: storage (Abusch) or choice function (Reinhart and Kratzer), for example. It would be preferable if specific indefinites could be understood as deriving from the use of independently motivated meaning components and interpretive mechanisms.
Here I will pursue the idea, building on Portner & Yabushita (1998), that specificity has to do with the indefinite's interaction with a topical domain (note similarities with the proposals of Enç 1991, Cresti 1995, and Schwarzschild 2000). In this conception, specificity is a matter of degree: the narrower the topical domain, the more specific the indefinite. More precisely, sentences containing specific indefinites will be understood as involving ordinary existential quantification in combination with a topical domain function.
The syntactic structure of predicatives : clues from the omission of the copula in child english
(2001)
This paper explores the syntax of main clause predicatives from the perspective of trying to account for an asymmetry in copular constructions in certain languages. One of the languages in which we find such an asymmetry is child English (around age 2). Specifically, new results show that children acquiring English tend to use an overt (and inflected) copula in individual-level predicatives, but they tend to omit the copula in stage-level predicatives. The analysis adopted to account for this pattern draws on evidence from adult English, Russian, Spanish and Portuguese that stage-level predicates are Aspectual (they contain AspP) while individual-level predicates are not (they involve only a lexical Small Clause predicate). Children's omission of the copula in structures with AspP is linked to the fact that at this stage of development, children fail to require finiteness in main clauses. In particular, Asp0 is temporally anchored in child English, thereby obviating the need for a finite (temporally anchored) Infl, i.e. an inflected copula.
This volume presents a collection of papers touching on various issues concerning the syntax and semantics of predicative constructions.
A hot topic in the study of predicative copula constructions, with direct implications for the treatment of he (how many he's do we need?), and wider implications for the theories of predication, event-based semantics and aspect, is the nature and source of the situation argument. Closer examination of copula-less predications is becoming increasingly relevant to all these issues, as is clearly illustrated by the present collection.
This paper argues for non-primary c- and s-selectional restrictions of verbs in computing nonprimary predicatives such as resultatives, depictives, and manners. Our discussion is based both on the selection violations in the presence of nonprimary predicates and on the cross-linguistic and language-internal variations of categorial and semantic constraints on nonprimary predicates. We claim that all types of thematic predication are represented by an extended projection, and that the merger of lexical heads with another element, regardless of the type of the element, consistently has c- and s-selectional restrictions.
Predication at the interface
(2001)
We try to show that predication plays a greater role in syntax than commonly assumed. Specifically, we wil argue that predication to a large extent determines both the phrase structure of clauses and trigger syntactic processes that take place in clauses. If we are on the right path, this implies that syntax is basically semantically driven, given that predication is semantically construed.
The paper shows that shared indefinite expressions in coordinative constructions may differ with respect to their referential properties. This is due to their being either in a focused or in a nonfocused shared constituent. Their different information-structural status follows from Rooth's theory on focus interpretation. Thus it follows that focused shared constitutents must be beyond the actual coordination and that coordinative constructions with unfocused shared constituents can be represented as ellipsis. In a focused shared constituent indefinite expressions may have a specific and an non specific unique reading as well as an non specific distributive one. For the latter we outline the idea that subjects and objects in the actual coordination form a pair of sets to which a distributing operator is attached. The set formation is further supported by plural pronouns referring to the respective set and by plural verb agreement in subsequent expressions.
Many authors who subscribe to some version of generative syntax account for the two readings of [...] sentences [...] in terms of LF-ambiguity. There is assumed to be covert quantifier raising (QR), which results in two distinct possibilities for the indefinite quantificational expressions involved to take scope over each other [...] In this paper, an alternative account is proposed which dispenses with the idea that there are different scope relations involved in the readings of […] sentences [...] and, consequently, with QR as the syntactic operation to be assumed for generating the respective LFs. I argue that it is rather focus structure in connection with type semantic issues pertaining to the indefinite quantificational expressions involved which result in the different readings associated with [...] sentences.
Sluicing phenomena
(2001)
The paper shows that in various sluicing types, the wh-phrase in the sluicing sentence as well as its relatum in the antecedent clause must be F-marked, and it explains this observation with Schwarzschild's (1999) and Merchant's (1999) focus theory. According to the semantics of the wh-phrase, it will argue that the relatum of the wh-phrase is an indefinite expression that must allow a specific interpretation. Following Heusinger (1997, 2000), specificity will be defined as an anchoring relation between the discourse referent introduced by the indefinite expression and a discourse given item. Because specific indefinite expressions are always novel, contexts like the scope of definite DPs, the scope of thematic matrix predicates, and the scope of downward-monotonic quantifiers which all exhibit non-novel indefinites do not allow sluicing.
Specificity distinction
(2001)
This paper is concerned with semantic noun phrase typology, focusing on the question of how to draw fine-grained distinctions necessary for an accurate account of natural language phenomena. In the extensive literature on this topic, the most commonly encountered parameters of classification concern the semantic type of the denotation of the noun phrase, the familiarity or novelty of its referent, the quantificational/nonquantificational distinction (connected to the weak/strong dichotomy), as well as, more recently, the question of whether the noun phrase is choice-functional or not (see Reinhart 1997, Winter 1997, Kratzer 1998, Matthewson 1999). In the discussion that follows I will attempt to make the following general points: (i) phenomena involving the behavior of noun phrases both within and across languages point to the need of establishing further distinctions that are too fine-grained to be caught in the net of these typologies; (ii) some of the relevant distinctions can be captured in terms of conditions on assignment functions; (iii) distribution and scopal peculiarities of noun phrases may result from constraints they impose on the way variables they introduce are to be assigned values.
Section 2 reviews the typology of definite noun phrases introduced in Farkas 2000 and the way it provides support for the general points above. Section 3 examines some of the problems raised by recognizing the rich variety of 'indefinite' noun phrases found in natural language and by attempting to capture their distribution and interpretation. Common to the typologies discussed in the two sections is the issue of marking different types of variation in the interpretation of a noun phrase. In the light of this discussion, specificity turns out to be an epiphenomenon connected to a family of distinctions that are marked differently in different languages.
In this squib, I want to argue that the morphological structure of words is, at least to some extent, motivated. As an example I have choosen the partonomic (and for the less part taxonomic) nomenclature of the human body. While important work by Brown et alii (1973), Anderson (1978) and Schladt (1997) exists on this topic, these analyses focus on the conceptualization of body-parts and their semantics, but not on their morphological representation.
In the following, I want to check two predictions about the morphological complexity of lexical items denoting parts of the human body. The first assumption is that the most canonical body-parts are always expressed by mono-lexematic items. The second one consists in the assumption that body-parts of the lowest levels in the hierarchy are always morphologically complex. A set of six body-parts has been analysed in 27 languages. The set consists of two canonical (HEAD and EAR) and of one from the lowest level of the hierarchy (TOENAIL). For this I have adopted a sample from Schladt (1997) and a small one compiled by myself
The paper makes two contributions to semantic typology of secondary predicates. It provides an explanation of the fact that Russian has no resultative secondary predicates, relating this explanation to the interpretation of secondary predicates in English. And it relates depictive secondary predicates in Russian, which usually occur in the instrumental case, to other uses of the instrumental case in Russian, establishing here, too, a difference to English concerning the scope of the secondary predication phenomenon.
In this paper I firstly argue that secondary predicates are complement of v, and v is overtly realized by Merge or Move in secondary predication in Chinese. The former option derives the de-construction, whereas the latter option derives the V-V construction. Secondly, I argue that resultatives are hosted by complement vPs, whereas depictives are hosted by adjunct vPs. This complement-adjunct asymmetry accounts for a series of syntactic properties of secondary predication in Chinese: the position of a secondary predicate with respect to the verb of the primary predicate, the co-occurrence patterns of secondary predicates, the hierarchy of depictives, the control and ECM properties of resultative constructions, and the locality constraint on the integration of secondary predicates into the structure of primary predication. Thirdly, I argue that the surface position of de is derived by a PF operation which attaches de to the right of the leftmost verbal lexical head of the construction. Finally, I argue that in the V-V resultative construction, the assumed successive head-raising may account for the possible subject-oriented reading of the resultative predicate, and that the head raising out of the lower vP accounts for the possible non-specific reading of the subject of the resultative predicate.
The paper characterizes three different domains in the German middle field which are relevant for the interpretation of an indefinite. It is argued that the so-called 'strong' reading of an indefinite is the basic one and that the 'weak' reading needs special licensing which is mirrored by certain syntactic requirements. Some popular claims about the relation between the position and the interpretation of indefinites as well as some claims about scrambling are discussed and rejected. From the findings also follows that the strong reading of an indefinite is independent of its information status.
[I]n der folgenden Skizze [soll] argumentiert werden, dass eine Rückführung unterschiedlicher Lesarten auf unterschiedliche syntaktische Verhältnisse […] unangemessen ist. Vielmehr sol1 aufgezeigt werden, dass es sich um eine ausschließlich semantische Frage handelt, die syntaktische Struktur in jeder Hinsicht aber die immerselbe ist. […] Unser Gegenstandsbereich fasst somit Fälle zusammen, die unter anderen Gesichtspunkten differenziert werden. [...] Diese Gesichtspunkte, nach denen die Differenzierung erfolgt, sind semantischer Natur. Für unsere syntaktische Analyse nehmen wir in Anspruch, dass sie auf alle Adverbialstrukturen zutrifft, mit Ausnahme von Satzadverbialen und (den diesen strukturell gleichen) Adverbialsätzen. Gezeigt wird dies jedoch nur an Fallen wie oben, an Adjektiven in modaladverbialer Funktion. Diese Adjektive fassen wir im übrigen kategorial als das auf, was sie ihrer Form nach sind, nämlich unflektierte Adjektive.
Wortformen wie Berliner und Potsdamer treten in pränominaler attributiver Funktion auf: eine Position, in der sowohl Adjektive als auch Substantive stehen können. Substantive kommen in der Position vor als sächsische Genitive (Leos Auto), als vorangestellte Genitivattribute (des Vaters Pflicht) oder als Bestandteile einer engen Apposition (Bundeskanzler Schröder). Adjektive stehen an dieser Stelle als adjektivische Attribute (rotes Auto). Gegen jede dieser Interpretationen von Berliner sprechen jeweils formale Argumente, die im wesentlichen darauf hinauslaufen, daß Berliner in Berliner Ballen niemals flektiert wird - weder wie ein Substantiv noch wie ein Adjektiv.
Welcher Wortart sind Wortformen wie Berliner in Berliner Ballen also zuzuordnen? Zur Beantwortung dieser Frage folgen zunächst einige (kommentierte) Literaturstellen, anschließend werde ich die Bezeichnung 'Stadtadjektive' einführen, ich nehme also zum Zwecke der Benennung eine Entscheidung vorweg. Darauf folgt die Untersuchung: das Verhalten der Stadtadjektive in Bezug auf Flexion, Derivation, Komposition und Syntax.
Ziel dieser Arbeit ist die Darstellung des Phänomens "Agrammatismus" für die deutsche Sprache. Den Kernbereich der Studie bildet die Analyse eines Fallbeispiels. Wegen der variablen Erscheinungsformen des Agrammatismus (z.B. Saffran 1982, Miceli et al. 1989, Nespoulous & Dordain 1991, Fromkin 1995) werden Gruppenstudien in der jüngeren Forschung weitgehend abgelehnt (z.B. Seewald 1998: 62, Tyler 1987: 161). Mit der Analyse eines Einzelfalls soll der daraus resultierenden Forderung nach weiteren Einzelfallstudien entsprochen werden (Tesak 1990: 18, Tesak 1991: 177). In der vorliegenden Arbeit sollen besonders sprachspezifische Fehlermuster herausgearbeitet werden, wie sie in sprachvergleichenden Studien nachgewiesen werden konnten (z.B. Kehayia 1991, Lorch 1986, Menn & Obler 1990). Diese zeigen sich nach Menn & Obler (1990: 1370ff.) hauptsächlich in der Verteilung von Auslassungen und Substitutionen auf freie und gebundene Morpheme (siehe Kap. 1.2.1., S. 5). Die deutsche Sprache verfügt über die Möglichkeit, grammatische Funktionen bzw. grammatische Relationen sowohl durch freie als auch durch gebundene Morpheme zu realisieren (Comrie 1987: 111-137). Deshalb ist sie besonders geeignet, die beobachteten Abhängigkeiten zwischen Fehlermustern und Grammatik zu überprüfen. Als theoretische Grundlage für die Analyse der agrammatischen Sprache werden in Kap. I nach einer einführenden Begriffsdefinition (Kap. 1.1.) die Symptome des Agrammatismus im einzelnen dargestellt (Kap. 1.2.). Dabei stehen sowohl die bis heute dokumentierten Leistungsdissoziationen als auch sprachspezifische Fehlermuster zur Diskussion. Anschließend werden die aus der Variabilität der agrammatischen Erscheinungsformen resultierenden unterschiedlichen Erklärungsansätze zum zugrundeliegenden Defizit erläutert (Kap. 1.3 .). Die aus dem aktuellen Forschungsstand abzuleitenden Fragestellungen (Kap. 1.4.) bilden die Basis für die in Kap. 2. folgende Analyse des Fallbeispiels. Bei der Entwicklung der Fragestellungen werden neben sprachspezifischen Merkmalen des Agrammatismus im Deutschen die Eigenschaften berücksichtigt, die in der Literatur allgemein kontrovers diskutiert werden. In Kap. 3 erfolgt abschließend eine zusammenfassende Diskussion der Ergebnisse, die eine Einordnung der Fallstudie in den aktuellen Forschungsstand enthält, sowie einen wertenden Vergleich der aus der Einzelfallanalyse gewonnenen Daten mit den m Kap. 1.3. vorgestellten Erklärungsansätzen für die zugrundeliegende Störung.
'Correction' is the name of a sentence with contrastive focus' the phonological/phonetic realization of which is a single contrastive pitch accent. These sentences predominantly appear in (fictional) dialogues. The first speaker uses grammatical entities against which the next speaker protests with a sentence nearly identical except that it contains a prosodically marked corrective element. This paper makes contrastive focus visible by means of 'KF' (contrastive focus).
This paper focuses on definite descriptions. It will be shown that a definite description refers to a given discourse referent if the descriptive content is completely deaccented. But if there is a focussed element within the descriptive content it introduces a novel referent. This amounts to allowing two readings for definite descriptions without, however, allowing two readings for the definite article.
This paper is about the semantics of wh-phrases. It is argued that wh-phrases should not be analyzed as indefinites as, for example, Karttunen (1977) and many others have done, but as functional expressions with an indefinite core -their function being to restrict possible focus/background structures in direct or congruent answers. This will be argued for on the basis of observations made with respect to the distribution of term answers in well-formed question/answer sequences. This claim having been established, it will be integrated in a categorial variant of Schwarzschild's (1999) information-theoretic approach to F-marking and accent placement, and – second – its consequences with respect to the focus/background structure of wh-questions will be outlined.
Exclamative clauses exhibit a structural diversity which raises the question of whether they form a clause type in the sense of Sadock & Zwicky (1985). Based on data from English, Italian, and Paduan, we argue that the class of exclamatives is syntactically characterizable in terms of a pair of abstract syntactic properties. Moreover, we propose that these properties encode two components of meaning which uniquely define the semantics and pragmatics of exclarnatives. Overall, our paper is a contribution to the study of the syntaxlsemantics interface and offers a new perspective on the notion of clause type.
Case and event structure
(2001)
I argue in this paper for a novel analysis of case in Icelandic, with implications for case theory in general. I argue that structural case is the manifestation on the noun phrase of features which are semantically interpretable only on verbal projections; thus, Icelandic case does not encode features of noun phrase interpretation, but it is not uninterpretable either; case is properly seen as reflecting (interpretable) tense and aspect features. Accusative case in Icelandic is available when the two subevents introduced in a transitive verb phrase are identified with each other, and dative case is available when the two parts are distinct (thus Icelandic case manifests aktionsart or inner aspect, in partial contrast to Finnish). This analysis bears directly on the theory of feature checking in the Minimalist Program; specifically, it paves the way for a restrictive theory of feature checking in which no features are strictly uninterpretable: all formal features come in interpretable-uninterpretable pairs, and feature checking is the matching of such pairs, driven by legibility conditions at Spell-Out.
Indefinita und ihre verschiedenen Interpretationsmöglichkeiten sind seit längerem Gegenstand intensiver linguistischer Diskussion. Die folgenden Bemerkungen diskutieren einige in der Literatur häufig vertretene Thesen zum Zusammenhang der Positionierung einer indefiniten NP im deutschen Mittelfeld und ihrer Interpretation. Es wird argumentiert, daß diese Thesen den empirischen Gegebenheiten nicht gerecht werden. Dies gilt damit auch für einige Thesen zur Umstellung im Mittelfeld (Scrambling).
Predication and equation
(2001)
English is one language where equative sentences and non-equative sentences have a similar surface syntax (but see Heggie 1988 and Moro 1997 for a discussion of more subtle differences). In this paper we address the fact that many other languages appear to use radically different morphological means which seem to map to intuitive differences in the type of predication expressed. We take one such language, Scottish Gaelic, and show that the real difference is not between equative and non-equative sentences, but is rather dependent on whether the predicational head in the structure proposed above is eventive or not.
We show that the aparently odd syntax of “equatives” in this language derives from the fact that they are constructed via a non-eventive Pred head. Since Pred heads cannot combine with non-predicative categories, such as saturated DPs, “equatives” are built up indirectly from a simple predicational structure with a semantically bleached predicate. This approach not only allows us to maintain a strict one-to-one syntax/semantics mapping for predicational syntax, but also for the syntax of DPs. The argument we develop here, then, suggests that the interface between the syntactic and semantic components is maximally economical— one could say perfect.
In this paper I show that the different case marking possibilities on predicate adjectives in depictive secondary predicates in Russian constitute the uninterpretable counterpart of the interpretable tense and aspect features of the adjective. Case agreement entails that the predicate adjective is non-eventive, i.e., it occurs when the event time of the secondary predicate is identical to the event time of the primary predicate. The instrumental case, however, entails that the secondary predicate is eventive: some change of state or transition occurred prior to or during the event time of the primary predicate. I claim that case agreement occurs in conjoined tense phrases in Russian, while the instrumental case occurs in adjoined aspectual phrases. In English, secondary predication is sensitive both to the structural location of its antecedent and to the event structure of the primary predicate. I suggest that depictives with subject antecedents in English are true adjunction structures, while those with direct object antecedents occur in a conjoined aspectual phrase. This hypothesis finds support in the different movement and semantic constraints in conjunction versus adjunction phrases in both English and Russian.
In this paper, a class of sentences in German is discussed that are often called whexclamatives. […]
So called wh-exclamatives can be roughly characterized as wh-clauses that are embedded under exclamative predicates like erstaunt sein/to be amazed at [...] or that are used as the basis for an exclamation [...].
One can ask if wh-exclamatives are a clause-type of their own, in particular, whether they are different from wh-clauses in question environments, that is under question predicates like to ask or to wonder or used as questions. It is often assumed that wh-clauses in exclamative contexts, both embedded and unembedded, are indeed different from wh-clauses in interrogative or question environments [...], at least regarding their semantical type, see for example Elliot (1971, 1974), Grimshaw (1979, 1981), Zaefferer (1983, 1984), Altmann (1 987, 1993). […]
I assume with Grimshaw (1979) that so called wh-exclamatives and wh-interrogatives are alike with respect to their syntactical properties. In addition, I think that they are also alike semantically. So, what I like to do here is to evaluate the following hypothesis:
So-called wh-exclamatives are of the same semantical type as wh-interrogatives.
It will be shown that verbs can be missing in predicative sentences by using the data from Chinese. Copula-less sentences in Chinese are subject to 'Generalized Anchoring Principle' (GAP), which requires that every clause be anchored at the interface for LF convergence. To satisfy GAP, clauses may be either tensed or focused. It is shown that copula-less sentences in Chinese are subject to focus anchoring. It will be further argued that whether a verb is needed in predication depends on the syntax of predicate nominals.
On object specificity
(2001)
[W]e have demonstrated that the object specificity follows from the same principle as the subject specificity under the EMH. Furthermore, the semantic discrepancy between the realis and irrealis object shift constructions turns out to be a subcase of the more general indicative-modal asymmetry. Although our analysis presented here is nothing but conclusive, it does suggest that the EMH is a potent candidate for explaining the indicative-modal asymmetry, as well as for building a general theory of the specificity effects in question.
This paper discusses a variant of German V2 declaratives sharing properties with both subordinate relative clauses and main clauses. I argue that modal subordination failure helps decide between two rivaling accounts for this construction. Thus, a hypotactic analysis involving syntactic variable sharing must be preferred over parataxis plus anaphora resolution. The scopal behavior of the construction will be derived from its 'proto-assertional force,' which it shares with similar 'embedded root' constructions.
This article discusses some syntactic peculiarities of Chinese yes/no questions. Starting from the observation that Standard Mandarin shares significant typological features with prototypical SOV languages, Chinese is treated as an underlyingly verb-final language. Based on this heuristic principle, A-not-AB, AB-not-A and AB-not questions are uniformly derived by means of one simple raising rule that operates within the sentence constituent V'. This novel idea is elaborated on in great detail in the first part of the article. In contrast to the prevailing trend, it is argued that the question operator contained in A-not-A and A-not sentences CANNOT be raised to "Comp". In consequence, A-not-A and A-not questions are "typed" in the head position of a sentence-internal functional phrase that we call Force2 Phrase (F2P) in the present paper. This position is not to be confused with Drubig's (1994) Polarity 1 Phrase (PollP), in the head position of which assertive negations and an abstract affirmative element are located. The existence of a head position F2° other than Poll° is supported by the fact that F2° can be occupied by certain overt question operators, such as assertive shi-bu-shi, which are compatible with negations. In contrast to the assertive question operator shi-bu-shi which is obligatorily associated with information focus, non-assertive shi-bu-shi serves as a compound focus and question operator whose focus feature is complex insofar as it is composed of two subfeatures: a contrastivity and an exhaustivity subfeature. Non-assertive shi-bu-shi is obligatorily associated with identificational focus in the sense of Kiss (1998). In accordance with some basic ideas of Chomsky's checking theory, the two subfeatures of the complex focus feature carried by the non-assertive shi-bu-shi operator check a correlating subfeature in the head position of a corresponding functional phrase (Contrastive Phrase and Focus Phrase, respectively). The question feature contained in the non-assertive shi-bu-shi operator is attracted by the head of Force1 Phrase (F1') at the level of LF. Due to the fact that F1° is sentence-final, the question feature of non-assertive shi-bu-shi must be Chomsky-adjoined to F1'. Unlike identificational focus phrases which are inherently contrastive, topics are non-contrastive in the default case. As separate speech acts, they are located in a c-commanding position outside the sentence structure. Semantically, there is a difference between Frame-Setting Topics and Aboutness Topics. As shown in the article, both A-not-A and A-not questions on the one hand and yes/no questions ending with ma on the other can be used in neutral and non-neutral contexts. The decisive advantage of mu questions, however, is that their question operator has scope over the whole sentence.
This paper will examine the role of various factors in affecting the salience, and hence the accessibility to pronominal reference, of entities introduced into a discourse by a full clause. We begin with the premise that the possibility of pronominal reference with it versus that depends on the cognitive status of the referent, in the sense of Gundel, Hedberg and Zacharski (1993). This formulation of the problem provides grounds for an explanation of the data presented above, and provides a framework within which we examine the role of various other factors in promoting the salience of a clausally introduced entity, including the information structure of the utterance in which the entity is introduced. For entities introduced by clausal complements to bridge verbs, we show that the information structure of the utterance introducing the entity has a partial, or one-sided, effect on the salience of the entity. When the complement clause is focal, the salience of the entity depends only on its referential givenness-newness (in the sense of Gundel 1988, 1999b), as we would expect. But when the complement clause is ground material, the salience of an entity introduced by the clause is enhanced. Other factors, including the presuppositionality of factive and interrogative complements, also serve to enhance the salience of entities introduced by complement clauses.
Specifics
(2001)
In all these examples there appears to be mismatch between the position at which an indefinite appears and its preferred interpretation. Following many of the more recent contributions to the literature, I will assume that this is the hallmark of specificity (e.g. Ahusch 1994, Reinhart 1997, Winter 1997, van Geenhoven 1998). Such mismatches are not the norm: indefinites are often interpreted in situ, and there is some reason for taking this to be the default option. The reason is that comparatively 'neutral', i.e. semantically attenuate, indefinites have a preference for in situ readings [...].
We will argue that some seemingly adverbial free DPs in the instrumental in Russian which are traditionally termed measure instrumental are best understood as secondary predicates. We present the relevant syntactic assumptions and propose a semantics of this use of DPs in the instrumental. This proposal hears on the distinction between adjunct modification and secondary predication.
What are incremental themes?
(2001)
In this paper I examine the approach to incremental themes developed in Krifka 1992,1998, Dowty 1991 and others, which argues that the extent of a telic event is determined by the extent of its incrementally affected theme. This approach identifies the defining property of an accomplishment event as being the fact that the theme relation is a homomorphism from parts of the event to parts of the (incremental) theme. I show that there are a large number of accomplishments, both lexical and derived via resultative predication, which cannot be characterised in this way. I then show that it is more insightful to characterise accomplishments in terms of their internally complex structure: an accomplishment event consists of a non-incremental activity event and an incrementally structured 'BECOME' event, which are related by a contextually available one-one function in such a way that the incremental structure of the latter is imposed on the activity.
Adjectival secondary predicates can enter into two Case frames in Russian, the agreeing form and the Instrumental. The paper argues that these Case frames go together with two syntactic positions in the clause which are correlated with two different interpretations, the true depictive and the temporally restricted reading, respectively. The availability of the two readings depends on the houndedness of the secondary predicate. Only bounded predicates can enter into both Case frames and only partially non-bounded predicates can appear in the Instrumental. The paper therefore argues that the pertinent two-way SL/IL-contrast is to he replaced by a three-way distinction in terms of boundedness. The paper outlines the syntax and semantics of the true depictive and the temporally restricted interpretation and discusses how adjectival secondary predicates whose salient properties involve a cotemporary interpretation with the matrix predicate and a control relation of an individual argument, differ from temporal adjuncts as well as from non-finite clauses.
The main purpose of this paper is to show that argument structure constructions like complex telic path of motion constructions (John walked to the store) or complex resultative constructions (The dog barked the chickens awake) are not to be regarded as "theoretical entities" (Jackendoff (1997b); Goldberg (1995)). As an alternative to these semanticocentric accounts, I argue that their epiphenomenal status can be shown iff we take into account some important insights from three syntactically-oriented works: (i) Hoekstra's (1988, 1992) analysis of S<mall>C<lause> R<esults>, (ii) Hale & Keyser's (1993f.) configurational theory of argument structure, and (iii) Mateu & Rigau’s (1999; i.p.) syntactic account of Talmy's (1991) typological distinction between 'satellite framed languages' (e.g., English, German, Dutch, etc.) and 'verb-framed languages' (e.g., Catalan, Spanish, French, etc.). In particular, it is argued that the formation of the abovementioned constructions involves a conflation process of two different syntactic argument structures, this process being carried out via a 'generalized transformation'. Accordingly, the so-called 'lexical subordination process' (Levin & Rapoport (1988)) is argued to involve a syntactic operation, rather than a semantic one. Due to our assuming that the parametric variation involved in the constructions under study cannot be explained in purely semantic terms (Mateu & Rigau (1999)), Talmy's (1991) typological distinction is argued to be better stated in lexical syntactic terms.
Eine wesentliche morpho-syntaktische Eigenschaft pronominaler Formen ist ihre Kongruenz mit dem Nomen. In den Grammatiken werden die pronominalen Paradigmen deshalb anhand der Kategorien des Nomens konstruiert. So wird traditionellerweise im Deutschen für all die verschiedenen pronominalen Elemente wie bestimmter/unbestimmter Artikel, Negationsartikel, Possessiv- und Demonstrativpronomen, starke/schwache Adjektive ein und dieselbe Struktur des Paradigmensystems zugrundegelegt. Die 3 Genusklassen konstituieren je ein Paradigma im Singular sowie ein gemeinsames Pluralparadigma. Jedes dieser 4 Paradigmen hat 4 Kasuspositionen, Nom., Gen., Dat., Akk. Dies ergibt ein Paradigmensystem mit 16 Paradigmenpositionen. Jede Position beschreibt eine der möglichen syntaktischen Umgebungen von nominalen Einheiten auf der Äußerungsoberfläche. Nicht nur im Deutschen existiert nun aber keineswegs für jede dieser Positionen auch eine eigenständige pronominale Form. Die Diskrepanz ist bekanntlich beachtlich. Das Paradigmensystem des bestimmten Artikels - das hier exemplarisch diskutiert werden sol1 - weist mit 6 Formen noch den größten Formenreichtum auf. Das Demonstrativpronomen dies und der Negationsartikel kein z.B. haben 5 distinkte Formen, die schwachen Adjektive schließlich nur 2.
Die Frage, die sich unmittelbar aufdrängt, ist, welche (grammatische) Ratio steckt hinter diesem hohen Maß an Formidentitäten. Inwieweit haben wir es hier mit motivierten Synkretismen, d.h. auf inhaltlich begründeten Neutralisationen beruhenden Formidentitäten, und/oder zufälligen Homonymien zu tun?
In the following, we will discuss the acquisition of plural forms in German from the unified perspective of the two, in our opinion compatible, approaches, on the basis of a longitudinal data sample of eight children. There are at least six recordings of each child, all of whom are girls. Together, the data cover the acquisition period from 1;11 to 2;10. One may thus anticipate that the data sample under investigation reflects the transition from purely lexical memorization to the acquisition of regularities or patterns.
Rawang Texts
(2001)
This volume is a collection of fully analyzed texts of the Mvtwang dialect of the Rawang language collected as part of fieldwork on the language. The Rawang language belongs to a larger grouping of languages/ dialects we can call Dulong/Rawang or Dulong/Rawang/Anong spoken on both sides of the ClUna/Myanmar (Burma) border just south and east of Tibet. In China, the people who speak this language for the most part live in Gongshan county of Yunnan province, and belong to either what is known as the "Dulong" nationality (pop. 5816 according to the 1990 census), or to one part (roughly 6,000 people) of the Nu nationality (those who live along the upper reaches of the Nu River-the part of the Salween within China). Another subgroup of the Nu people, those who live along the lower reaches of the Nu river (in China), speak a language called "Anong" which seems to be the same as, or closely related to, the Kwinpang dialect spoken in Myanmar, so should also be considered a dialect ofDulong/Rawang. Within Myanmar, the people who speak the Rawang language (possibly up to 100,000 people) live in northern Kachin State, particularly along the Mae Hka ('Nmai Hka) and Maeli Hka (Mali Hka) river valleys. In the past they had been called "Hkanung" or "Nung", and have often been considered to be a sub-group of the Kachin (Jinghpaw). Among themselves they have had no general term for the entire group; they use their respective clan names to refer to themselves. This is true also of those who live in China, although these people have accepted the exonym "Dulong" (or "Taron", or "Trung"), a name they were given because they mostly live in the valley of the Dulong (Taron/Trung) River.