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This report explores the question of compatibility between annotation projects including translating annotation formalisms to each other or to common forms. Compatibility issues are crucial for systems that use the results of multiple annotation projects. We hope that this report will begin a concerted effort in the field to track the compatibility of annotation schemes for part of speech tagging, time annotation, treebanking, role labeling and other phenomena.
It has often been noticed that one syntactic argument position can be realized by elements which seem to realize different thematic roles. This is notably the case with the external argument position of verbs of change of state which licenses volitional agents, instruments or natural forces/causers, showing the generality and abstractness of the external argument relation. (1) a. John broke the window (Agent) b. The hammer broke the window (Instrument) c. The storm broke the window (Causer) In order to capture this generality, Van Valin & Wilkins (1996) and Ramchand (2003) among others have proposed that the thematic role of the external argument position is in fact underspecified. The relevant notion is that of an effector (in Van Valin & Wilkins) or of an abstract causer/initiator (in Ramchand). In this paper we argue against a total underspecification of the external argument relation. While we agree that (1b) does not instantiate an instrument theta role in subject position, we argue that a complete underspecification of the external theta-position is not feasible, but that two types of external theta roles have to be distinguished, Agents and Causers. Our arguments are based on languages where Agents and Causers show morpho-syntactic independence (section 2.1) and the behavior of instrument subjects in English, Dutch, German and Greek (section 2.2 and 3). We show that instrument subjects are either Agent or Causer like. In section (4) we give an analysis how arguments realizing these thematic notions are introduced into syntax.
Thematic Roles (or Theta-Roles) are theoretical constructs that account for a variety of well known empirical facts, which are more or less clearly delimited. In other words, Theta-Roles are not directly observable, but they do have empirical content that is open to empirical observation. The objective of the present paper is to sketch the nature and content of Theta-Roles, distinguishing their universal foundation as part of the language faculty, their language particular realization, which depends on the conditions of individual languages, and idiosyncratic properties, determined by specific information of individual lexical items.
Reflexive pronouns as central anaphoric elements are subject to general principles determined by Universal Grammar and shared by all languages that use reflexives as part of their grammatical structure. In addition to these general conditions, there are language particular properties, which different languages can exhibit on the basis of different regulations. One variation of this sort is the particular role of Reflexives in German, which can show up as improper Arguments, which are subject to standard syntactic and morphological conditions, but do not represent an argument of the head they belong to. Hence the particular property is the effect of syntactic, morphological and semantic conditions. A simple illustration of the phenomena I will explore in this contribution is based on the following observation.
It is well-known that in many if not most Sino-Tibetan languages relative clause and attribute/genitive markers are identical with nominalization devices and that sentences bearing such markers can also function as independent utterances (cf. Matisoff 1972, Kölver 1977, DeLancey 1989, Genetti 1992, Ebert 1994, Bickel 1995, Noonan 1997, etc.). This morphological convergence of syntactic functions, which we may dub the ‘Standard Sino-Tibetan Nominalization’ (SSTN) pattern, is particularly prominent in some languages spoken in the eastern and southeastern part of the Kirant because these languages not only feature prenominal relative clauses, but also allow, albeit as a minor type, internally headed constructions.
Agreement is traditionally viewed as a cross-referencing device for core arguments such as subjects and (primary) objects.1 In this paper, I discuss data from Bantu languages that lead to a radical departure from this generally accepted position: agreement in a subset of Bantu languages cross-references a (sentential) topic rather than the subject. The crucial evidence for topic agreement comes from a construction known as subject-object (S-O) reversal, where the fronted patient agrees with what has uniformly been taken to be a `subject marker'. The correct analysis of S-O reversal as a topic construction with `topic agreement' explains a range of known facts in the languages in question. Furthermore, synchronic variation across Bantu in the presence/absence of S-O reversal and in the properties of the (topic/subject) agreement marker suggests a diachronic path from topic to subject marking. The systematic variation and covariation in the syntax of Bantu languages and the historical picture that it offers would be missed altogether if we continue to reject the idea that the notion of topic can be deeply grammaticized in the form of agreement.
This paper investigates what factors make a particular referent a good antecedent for subsequent pronominal reference. In particular, it explores two seemingly conflicting claims in the literature regarding the effects of topicality and focusing on referent salience. In light of new experimental results combined with a review of existing work, I conclude that neither topicality nor focusing alone can explain referent salience as indicated by patterns of pronoun reference. Rather, the data provide support for a multiple-factor model of salience (e.g. Arnold 1999). More specifically, the results show that grammatical role has a striking effect: being a subject makes a referent more salient than either pronominalization/givenness or focusing alone. Furthermore, the results of the experiment suggest that the likelihood of subsequent pronominal reference is also influenced by structural focusing and pronominalization, but not as strongly as by subjecthood. I argue that these data are best captured by a multiple-factor model in which factors differ in how influential they are relative to one another, i.e. how heavily weighted they are. A single-factor system does not seem adequate for these data.
In this paper I argue that the set of formal features that can head a functional projection is not given by UG but derived through L1 acquisition. I formulate a hypothesis that says that initially every functional category F is realised as a semantic feature [F]; whenever there is an overt doubling effect in the L1 input with respect to F, this semantic feature [F] is reanalysed as a formal feature [i/uF]. In the first part of the paper I provide a theoretical motivation for this hypothesis, in the second part I test this proposal for a case-study, namely the cross-linguistic distribution of Negative Concord (NC). I demonstrate that in NC languages negation has been reanalysed as a formal feature [i/uNEG], whereas in Double Negation languages this feature remains a semantic feature [NEG] (always interpreted as a negative operator), thus paving the way for an explanation of NC in terms of syntactic agreement. In the third part I discuss that the application of the hypothesis to the phenomenon of negation yields two predictions that can be tested empirically. First I demonstrate that negative markers X° can be available only in NC languages; second, independent change of the syntactic status of negative markers, can invoke a change with respect to the exhibition of NC in a particular language. Both predictions are proven to be correct. I finally argue what the consequences of the proposal presented in this paper are for both the syntactic structure of the clause and second for the way parameters are associated to lexical items.
This paper focuses on restrictions on the ordering of internal constituents of noun phrases in Chichewa, especially when those constituents are discontinuous. The motivation for discontinuity of the NP constituents will be given, together with discussion of constructions that can be subsumed under this rubric but that do not really involve discontinuity in the canonical sense. These are constructions where a topic NP in a left periphery position is either linked anaphorically with a modifier "remnant" or semantically with its hyponym in post-verbal position. According to Guthrie's classification of Bantu languages, Chichewa is placed in zone N unit N31. It is regarded as a dialect of Nyanja, classified as belonging to unit N30 (Guthrie 1967-71).
Russian predicate cleft constructions have the surprising property of being associated with adversative clauses of the opposite polarity. I argue that clefts are associated with adversative clauses because they have the semantics of S-Topics in Büring's (1997, 2000) sense of the term. It is shown that the polarity of the adversative clause is obligatorily opposed to that of the cleft because the use of a cleft gives rise to a relevance-based pragmatic scale. The ordering principle according to which these scale
This paper concerns the distribution of wh-words in Asante Twi, which has both a focus fronting strategy and an in-situ strategy. We show that the focusing and the in-situ constructions are not simply equally available options. On the contrary, there are several cases where the focusing strategy must be used and the in-situ strategy is ungrammatical. We show that the cases in Asante Twi are "intervention effects", which are attested in other languages, like German, Korean, and French. We identify a core set of intervening elements that all of these languages have and discuss their properties.
Dog after dog revisited
(2006)
This paper presents a compositional semantic analysis of pluractional adverbial modifiers like 'dog after dog' and 'one dog after the other'. We propose a division of labour according to which much of the semantics is carried by a family of plural operators. The adverbial itself contributes a semantics that we call pseudoreciprocal.
Since Haiman (1978), a general assumption concerning the information structure of conditional sentences is that "conditionals are topics". However, in Chadic South Bauchi West languages spoken in Northern Nigeria, as well as in Banda Linda, an Adamawa language spoken in the République Centre-Africaine, conditionals share their structure with focus, not topic. This seriously questions Haiman’s claim and forces us to reconsider the facts and characterizations of conditionals, topic and focus in general.
In order to do this, we will first examine the facts of conditionals in some Chadic languages, then their information structure. We will see how both data and theory invalidate Haiman's claim. Then we will see that if they are not topics, they are different from focus as well. We will argue that if the elements which make a topic or a focus can appear in conditionals, these must be separated from what constitutes the identity of conditions. Then, we will see if these can be characterized in the same way as Lambrecht characterizes temporal clauses, viz. as "activated propositions" (Lambrecht 1994). We will finally conclude that they should rather be defined as "fictitious assertions" (Culioli 2000).
Tone as a distinctive feature used to differentiate not only words but also clause types, is a characteristic feature of Bantu languages. In this paper we show that Bemba relatives can be marked with a low tone in place of a segmental relative marker. This low tone strategy of relativization, which imposes a restrictive reading of relatives, manifests a specific phonological phrasing that can be differentiated from that of non-restrictives. The paper shows that the resultant phonological phrasing favours a head-raising analysis of relativization. In this sense, phonology can be shown to inform syntactic analyses.
In my paper, I show that the so-called German right dislocation actually comprises two distinct constructions, which I label 'right dislocation proper' and 'afterthought'. These differ in their prosodic and syntactic properties, as well as in their discourse functions. The paper is primarily concerned with the right dislocation proper (RD). I present a semantic analysis of RD based on the 'separate performative' account of Potts (2004, 2005) and Portner (forthc.). This analysis allows a description of the semantic contribution of RD to its host sentence, as well as explaining certain semantic constraints on the kind of NP in the RD construction.
In a recent contribution to a long-standing discussion in semantics as to whether the neo-Davidsonian analysis should be extended to stative predicates or not, Maienborn (2004, 2005) proposes to distinguish two types of statives; one of them is said to have a referential argument of the Davidsonian type, the other not. As one of her arguments for making such a distinction, Maienborn observes that manner modification seems to be supported only by certain statives but to be excluded by others (thus linking the issue to the use of manner modification as one major argument in favour of event semantics, cf. Parsons 1990). In this paper, it is argued that the absence of manner modification with Maienborn's second group of statives is actually due to a failure of conceptual construal: modification of a predicate is ruled out whenever its internal conceptual structure is too poor to provide a construal for the modifier; hence, the effects observed by Maienborn reduce to the fact that eventive predicates have a more complex conceptual substructure than stative ones. Hence, the issue of manner modification with statives is shown to be orthogonal to questions of logical form and event semantics. The explanatory power of the conceptual approach is demonstrated with a case study on predicates of light emission, adapting the representation format of Barsalou's (1992) frame model.
The Bantu language Makhuwa makes a distinction between cojoint and disjoint verb forms. Two hypotheses are made from generalisations on the distribution of the conjoint and disjoint verb forms in Makhuwa. 1) The verb appears in its conjoint form when a focal element occupies the Immediate After Verb (IAV) position; 2) the verb appears in its disjoint form when the IAV position is empty. A syntactic analysis is provided that accounts for these hypotheses if the IAV position is defined in terms of structural rather than linear adjacency between two heads in a direct c-command relation.
In the syntactic analysis two focus projections are proposed: one under TP (Ndayiragije 1999) hosting the disjoint morpheme and one under vP, to whose specifier focal elements move. Non-focal elements remain in-situ. This analysis accounts both for the strong adjacency requirement of a cojoint verb form and its focal object and for the empty IAV position that requires a verb to appear in its disjoint form.
This paper presents a sketch of the prosodic, syntactic and morphological means of expressing focus in Chitumbuka, an underdescribed Bantu language of Malawi. The chief prosodic correlate of focus is boundary narrowing – rephrasing conditioned by focus – which is used not only to signal in situ focus but also in syntactic and morphological focus constructions. Of theoretical importance is the fact that rephrasing does not lend culminative prominence to the focused constituent. Although Chitumbuka has culminative sentential stress, its position remains fixed at the right edge of the clause, independent of the position of focus. This makes Chitumbuka a challenge for theories of focus prosody which claim that the focused constituent must have culminative sentential prominence.
Although verb forms encoding focus were recorded in various Bantu languages during the twentieth century it was not until the late 1970's that they became the centre of serious attention, starting with the work of Hyman and Watters. In the last decade this attention has grown. While focus can be expressed variously, this paper concentrates largely on its morphological, partly on its tonal expression. On the basis of morphological and tonal behaviour, it identifies four blocks of languages, representing less than a third of all Bantu languages: those with metatony, those with a binary constituent contrast between verb ("disjunctive") and post-verbal ("conjunctive") focus, those with a three-way contrast, and those with verb initial /ni-/. Following Güldemann's lead, it is shown there is a fairly widespread grammaticalisation path whereby focus markers may come to encode progressive aspect, then present tense. Many Bantu languages today have a pre-stem morpheme /a/ 'non-past' and it is hypothesized that many of these /a/, which are otherwise hard to explain historically, may derive from an older focus marker.
This paper discusses locative inversion constructions in Otjiherero against the background of previous work by Bresnan and Kanerva (1989) on the construction in Chichewa, and Demuth and Mmusi (1997) on Setswana and related languages. Locative inversion in Otjiherero is structurally similar to locative inversion in Chichewa and Setswana, but differs from these languages in that there are fewer thematic restrictions on predicates undergoing locative inversion. As Otjiherero has a three-way morphological distinction of locative subject markers, this shows that there is no relation between agreement morphology and thematic restrictions in locative inversion, confirming the result of Demuth and Mmusi. The availability of transitive predicates to participate in locative inversion in Otjiherero furthermore raises questions about the relation between locative inversion, valency, and applicative marking, and these are addressed in the paper, although further research is needed for a full analysis. In terms of function of the locative subject markers, Otjiherero presents, like Chishona, a split system where all markers support locative readings, but where one of them is also used in expletive contexts. In contrast to Chishona, though, this is the class 16, rather than the class 17 marker.
Genitive focus in Supyire
(2006)
Supyire has two distinct genitive constructions, one consisting of juxtaposed nouns, and the other marked with a particle. This study demonstrates that the marked genitive correlates significantly in natural discourse with contrastive focus as operationally defined in Myhill and Xing (1996). The method used avoids the vicious circularity of many discourse-based studies of focus. Contrastive focus, rather than being "coded", is a pragmatic construal which is dependent on other elements in the communicative context. This construal is only one of the possible construals of the marked genitive (contra Carlson 1994). In this it is not unlike other so-called "contrastive focus" constructions noted in the literature, such as contrastive stress in English.
The impact of the morphological alternation of subject markers on tense/aspect: the case of Swahili
(2006)
Subject markers for the first, second and third person singular in Southern Swahili dialects display morphological variation in that specific forms are chosen with different tense-aspect markers. This paper documents this variation in the different dialects and presents a distributional chart which reveals the symmetric patterns between these subject markers and their corresponding tense-aspect formatives. The study corroborates earlier work in the manifestation of variant morphological tense-aspect formatives of the regional dialects of Swahili by Mazrui (1983).
Setswana distinguishes between conjunctive and disjunctive verb forms in the present positive tense. Creissels (1996) shows that this is also true of a number of other tenses (present negative, future positive and perfect positive). This work is used as a starting point to investigate the conjunctive/disjunctive distinction in my own Setswana data. Further to those presented in Creissels, there is data on the past and past progressive tenses, and environments such as relatives and subordinates. Creissels' analysis is supported by different examples, including those that do not utilise a frame intended to limit boundary effects. There are also examples not within this frame that raise questions about how flexible the conjunctive/disjunctive system can be. This paper is a work in progress.
Introduction
(2006)
The papers in this volume reflect a number of broad themes which have emerged during the meetings of the project as particularly relevant for current Bantu linguistics. [...] The papers show that approaches to Bantu linguistics have also developed in new directions since this foundational work. For example, interaction of phonological phrasing with syntax and word order on the one hand, and with information structure on the other, is more prominent in the papers here than in earlier literature. Quite generally, the role of information structure for the understanding of Bantu syntax has become more important, in particular with respect to the expression of topic and focus, but also for the analysis of more central syntactic concerns such as questions and relative clauses. This, of course, relates to a wider development in linguistic theory to incorporate notions of topic and focus into core syntactic analysis, and it is not surprising that work on Bantu languages and on linguistic theory are closely related to each other in this respect. Another noteworthy development is the increasing interest in variation among Bantu languages which reflects the fact that more empirical evidence from more Bantu languages has become available over the last decade or so. The picture that emerges from this research is that morpho-syntactic variation in Bantu is rich and complex, and that there is strong potential to link this research to research on micro-variation in European (and other) languages, and to the study of morpho-syntactic variables, or parameters, more generally.
Modern theorists rarely agree on how to represent the categories of tense and aspect, making a consistent analysis for phenomena, such as the present perfect, more difficult to attain. It has been argued in previous analyses that the variable behavior of the present perfect between languages licenses independently motivated treatments, particularly of a morphosyntactic or semanticsyntactic nature (Giorgi & Pianesi 1997; Schmitt 2001; Ilari 2001). More specifically, the wellknown readings of the American English (AE) present perfect (resultative, experiential, persistent situation, recent past (Comrie 1976)), are at odds with the readings of the corresponding structure in Brazilian Portuguese (BP), the 'pretérito perfeito composto' (default iterativity and occasional duration (Ilari 1999)). Despite these variations, the present work, assuming a tense-aspect framework at the semantic-pragmatic interface, will provide a unified analysis for the present perfect in AE and BP, which have traditionally been treated as semantically divergent. The present perfect meaning, in conjunction with the aspectual class of the predicate, can account for the major differences between languages, particularly regarding iterativity and the "present perfect puzzle", regarding adverb compatibility.
This paper investigates the semantic underpinnings of the distinction between two syntactic types of "manner of movement" verbs in Levin (1993), namely the RUN and ROLL classes. According to Levin's (1993) and Levin & Rappaport's (1995) work on unaccusativity, a semantic factor of "internal causation" should be the trigger for the classification of a movement verb as intransitive (=not-unaccusative), and hence for its belonging to the RUN class. We point out empirical problems for this characterisation, mainly coming from the different readings of the German verb fliegen (fly). From a comparison with other semantically similar verbs, we conclude that the semantic description which underlies the class distinction should be refined: instead of "internal causation", the crucial semantic factor is described here as "inherent specification for a momentum of movement". This result indicates that forces, and relations between forces, have to be part of the semantic description of the manner component in movement verbs.
Focus on verbal operators such as aspect or tense ("predication focus", lucidly described by Hyman & Watters (1984) under the label "auxiliary focus") has been noticed to exist in African languages of Afroasiatic and Niger-Congo affiliation, but not so far in Saharan. The Saharan language Kanuri is assumed to have substantially reorganized its TAM system, particularly in the perfective aspect domain (Cyffer [2006] dates major changes between the years 1820 and 1900). The paper discusses, for the first time in Kanuri scholarship, the existence of a neat subsystem of predication focus marking by suffix in the perfective aspect which is made up of a total of six conjugational paradigms that uniformly encode predication focus by suffix {-ò}. Kanuri dialects differ in strategies and scope of focus marking encoded in verb morphology. In the light of data from the Yerwa (Nigeria) and Manga (Niger) dialects the paper discusses some "anomalies" with regard to general focus theory which we account for by describing the "Kanuri Focus Shift" as a diachronic process which is responsible for leftward displacement of scope of focus.
Questions in Northern Sotho
(2006)
This article gives an overview of the marking of polar and constituent questions in Northern Sotho, a Bantu language of South Africa. It thereby provides a contribution to the typological investigation of sentence types in the world’s languages. As will be shown, Northern Sotho follows cross-linguistic tendencies in marking interrogative sentences: It uses intonation as main indicator in polar questions and question words as main indicator in constituent questions. Nevertheless, it also shows interesting language-specific variation, e.g. with respect to the location of raised intonation in polar questions, the presence of two pragmatically distinct question particles in polar questions, or a split in the formation of constituent questions based on the grammatical function of the questioned constituent.
Zulu shows an alternation of conjoint and disjoint (conjunctive/disjunctive, short/long) verb forms. Certain contexts suggest that the distribution of these forms is related to focus. For example, certain adverbial expressions receive a focal interpretation when preceded by a conjoint form but not when preceded by a disjoint form. Similarly, a wh-phrase must be preceded by a conjoint form. This has led some researchers to argue or suggest that the alternation encodes focus directly. This paper examines two different focal hypotheses, one in which a disjoint form encodes focus on the verb and another in which the conjoint form encodes focus on the element following the verb. It is shown that both of these hypotheses are inadequate because certain contexts requiring the conjoint form do not display the predicted focal interpretation. Relativization morphology is argued to also support an analysis independent of focus. It is proposed that the alternation is regulated entirely by the position of the verb within the surface constituencies first proposed in Van der Spuy (1993) and that the associated focal interpretations are the result of a range of interpretations permitted within the different constituencies. Elements remaining within the relevant constituent are nontopical, and focus is one of a range of interpretations they can receive.
Beria, a member of the Saharan language family, is one of the rare languages in Africa exhibiting both an ergative and an active/agentive alignment system of grammatical relations.1 While the active/agentive pattern is shown by the participant reference markers, the ergative pattern is attested both in the constituent order and in the focus markers on the core constituents. In the pragmatically unmarked constituent order, the Agent constituent precedes the Patient constituent. An unmarked single constituent immediately preceding the verb may represent a Patient or a Subject argument. In this position, the Agent constituent requires the clitic GU. The focused Patient and Subject constituents are both either marked by the clitic DI or by a cleft construction.
In this paper I argue that the syntax of Eastern Bantu does not make reference to the notion 'syntactic object'. That is, there is no linguistic category of objects that is the target of syntactic rules in Eastern Bantu languages. Instead I propose that syntactic rules broadly distinguish complements and adjuncts as well as category type of complement or adjunct. I argue that Bantu languages are typologically special in that (a) the verb complement structure can be expanded by the valency increasing applicative suffix; and (b) that the class of adjuncts can be expanded through verb concord licensing. Because of these properties, Bantu languages have a much-expanded notion of 'complement' and 'adjunct'. Namely, complements consist of (a) inherent complements (subcategorised by the lexical verb), and (b) derived complements (licensed by the applicative suffix). Adjuncts consist of (a) non-subcategorised modifying constituents in the usual sense and (b) phrases that are licensed by verb concord (i.e. Topics in Bresnan and Mchombo (1987)). I propose that most the differences in the licensing of objects in Bantu are due to two causes: (a) the unusual split in the composition of complements and adjuncts and (b) a set of typological parameter settings.
Complex focus versus double focus : investigations on multiple focus interpretations in Hungarian
(2006)
The main aim of this paper is to point out several problems with the semantic analysis of Hungarian focus interpretation and 'only'. For current semantic analyses the interpretation of Hungarian identificational/exhaustive focus and 'only' is problematic, since in classical semantic analyses 'only' is identified with an exhaustivity operator. In this paper I will discuss multiple focus constructions and question-answer pairs in Hungarian to show that such a view cannot be applied to Hungarian exhaustive focus. Next to this I will discuss possible interpretations of Hungarian sentences containing multiple prosodic foci: complex focus versus double focus. My claim is that in order to interpret multiple focus (in Hungarian) we have to take into consideration the different intonation patterns, the occurrence of 'only', and the syntactic structure as well.
Focus theories distinguish different types of focus according to the pragmatic conditions or communicative point on the one side and different scopes of focus on the other side. The assertion in term focus constructions (Dik 1989), called by others argument focus constructions or identificational sentences (Lambrecht 1994), has the purpose of establishing a relation between an argument and an open proposition. Kar, a north-eastern Senufo language of Burkina Faso, which has the basic word order S-Aux-O-V-other, has at its disposal different strategies to mark argument focus, among them fronting of the focused item. In many West African languages the displacement of the focused argument involves other devices, such as the use of special verb forms. In Kar fronting of a focused argument requires the use of special pronouns in the out-of-focus part of the sentence, called background subject pronouns. They are used in other backgrounded contexts, too, for example in relative clauses, adverbial clauses and constituent questions. Their inconsistent use is attributed to a particular sociolinguistic situation in which the data has been collected. The use of the same focus strategies for completive and contrastive focus suggests that Kar does not distinguish pragmatic conditions on the level of sentence grammar.
Many analyses of existential sentences have focused attention on determining which of its elements constitutes the logical subject and predicate, and this has proven to be a not uncontroversial topic of research. Some, from both syntactic and semantic points of view, have argued that there is a subject (cf. Williams 1994) others that it is a predicate (cf. Moro 1997). Similarly, some have argued that the associate NP is a logical subject, others that it is apredicate (Higginbotham 1987).
One logical possibility that has not (to my knowledge) been pursued in the linguistics literature is that these statements are not of the form subject-predicate, a possibility that has been taken up in the philosophical literature by P.F. Strawson (1959). He claims that there are such statements and that their form is simpler than that of subject-predicate statements because it does not, and cannot, involve an expression that makes reference to an individual. Not involving reference to an individual, these sentences are therefore are made true by different means than a subject-predicate statement whose truth, in the simplest cases, depends on the denotation of the subject being a member of the denotation of the predicate. Of interest from the point of view of the present discussion is his claim that existential statements are examples of this kind of statement, which he calls a feature-placing statement. The truth of a statement of the form feature-placer requires that something with the set of features denoted by the associate NP exist at the location or coordinates expressed by the placer. In an existential sentence we can take the associate NP as the feature-denoting expression and the coda-XP as the placer.
This paper focuses on different subtypes of constructions involving temporally bounded quantification, e.g. sequences like David visited Rome three times followed by temporal phrases as different as (i) last year, which defines a time interval; (ii) in less that two months, which defines an amount of time; and (iii) per month, which refers to a time unit. As for the first two types of temporal phrases, data will be presented which shows that they have specific linguistic properties in these quantifying contexts, and do not behave exactly as the locating or duration adverbials they are superficially identical with. The third type of phrases will receive special attention. Structures with frequency adverbials like n times per month will be analysed compositionally, separating the quantified component n times from the temporally binding phrase per month (whose role is comparable to that of adverbials (i) and (ii) in the relevant constructions). The data presented is mainly from Portuguese, although the issues at stake – the linguistic properties of temporally bounded quantification – are obviously relevant to parallel constructions in other languages.
This paper looks at sentences with "quantificational indefinites," discussed by Diesing (1992) and others. I propose that these sentences generate sets of alternatives of the form {p, not p and it's possible that p}, which restrict the quantification by an extension of familiar focus principles. For example, in the sentence "I usually read a book about slugs" (on the relevant reading), "usually" quantifies over pairs <x,t> such that x is a book about slugs, t is a time interval, and one alternative is true from the set {I read x at t, I can but do not read x at t}. In addition to accounting for a well-known contrast between creation and non-creation verbs, this also explains a second contrast that Diesing’s analysis cannot account for.
Russian and Spanish each have two variants of the predicational copular sentence. In Russian, the variation concerns the case of the predicate phrase, which can be nominative or instrumental, while in Spanish, the variation involves the choice of the copular verb, either ser or estar. It is shown that the choice of the particular variant of copular sentence in both languages depends on the speaker’s perspective, i.e., on whether or not the predication is linked to a specific topic situation.
There is an elegant account, proposed by Beaver and Condoravdi (2003), that assumes that the temporal connectives before and after are converses (i.e., they are analyzed by means of a unified lexical schema), and that explains away their different logical and veridical behavior appealing to other factors. There is an elegant explanation that connects the licensing of Polarity Items to informational strengthening requirements: Polarity Items are viewed as existentials that lead to a widening of the domain of quantification, and they are predicted to be legitimate only when this widening leads to a stronger statement (roughly, in downward monotone contexts). My plan is to connect these two approaches – by proposing an amendment in the definition Beaver and Condoravdi presented for before and after that is meant to account also for their Polarity Items licensing behavior.
Based on a Relevance Theory-informed view of language development, this paper argues that grammatical relations are construction-specific conventionalizations (grammaticalizations) of implicatures which arise out of repeated patterns of reference to particular types of referents. Once conventionalized, these structures function to constrain the hearer's identification of referents in discourse. As they are construction-specific, and hence language-specific, there is no category "subject" across languages; different languages will either show this type of grammaticalization or not, and if they do, may show it or not in different constructions. Any cross-linguistic use of terms such as "subject" (and "S", as in "SOV") should then be avoided.
Sino-Tibetan languages
(2006)
The Sino-Tibetan (ST) language family includes the Sinitic languages (what for political reasons are known as Chinese ‘dialects’) and the 200 to 300 Tibeto-Burman (TB) languages. Geographically it stretches from Northeast India, Burma, Bangladesh, and northern Thailand in the southeast, throughout the Tibetan plateau to the north, across most of China and up to the Korean border in the northeast, and down to Taiwan and Hainan Island in the southeast. The family has come to be the way it is because of multiple migrations, often into areas where other languages were spoken (LaPolla, 2001).
Li Fang-Kuei (1902-1987)
(2006)
Fang-Kuei Li was one of the foremost scholars of Thai and Sino-Tibetan studies and a major contributor to Amerind studies. Born in China, he was one of the early scholars sent to the United States to study. He had developed an interest in language while learning English, Latin, and German as part of his studies in China, and so he decided to study linguistics in the United States. In 1924, he went to the University of Michigan at Ann Arbor, receiving his B.A. 2 years later, then moved to the University of Chicago, where he received his M.A. and Ph.D., studying with Edward Sapir, Leonard Bloomfield, and Carl Darling Buck.
Wang Li (1900-1986)
(2006)
Mention some of all
(2006)
In the interpretation of natural language one may distinguish three types of dynamics: there are the acts or moves that are made; there are structural relations between subsequent moves; and interlocutors reason about the beliefs and intentions of the participants in a particular language game. Building on some of the formalisms developed to account for the first two types of dynamics, I will generalize and formalize Gricean insights into the third type, and show by means of a case study that such a formalization allows a direct account of an apparent ambiguity: the ‘exhaustive’ versus the ‘mention some’ interpretation of questions and their answers. While the principles which I sketch, like those of Grice, are motivated by assumptions of rationality and cooperativity, they do not presuppose these assumptions to be always warranted.
In this paper, focusing on the relevance-theoretic view of cognition, I discuss the idea that what is communicated through an utterance is not merely an explicature upon which implicature(s) are recovered, but rather a propositional complex that contains both explicit and implicit information. More specifically, I propose that this information is constructed on the fly as the interpreter processes every lexical item in its turn while parsing the utterance in real time, in this way creating a string of ad hoc concepts. While hearing an utterance and incrementally constructing a context, the propositional complex communicated by an utterance is pragmatically narrowed and simultaneously pragmatically broadened in order to incorporate only the set of optimally relevant propositions with respect to a specific point in the interpretation. The narrowing of propositions from the initial context at each stage allows relevant propositions to be carried on to the new level, while their broadening adds to the communicated propositional complex new propositions that are linked to the lexical item that is processed at every step of the interpretation process.
In this paper we compare the behaviour of adverbs of frequency (de Swart 1993) like usually with the behaviour of adverbs of quantity like for the most part in sentences that contain plural definites. We show that sentences containing the former type of Q-adverb evidence that Quantificational Variability Effects (Berman 1991) come about as an indirect effect of quantification over situations: in order for quantificational variability readings to arise, these sentences have to obey two newly observed constraints that clearly set them apart from sentences containing corresponding quantificational DPs, and that can plausibly be explained under the assumption that quantification over (the atomic parts of) complex situations is involved. Concerning sentences with the latter type of Q-adverb, on the other hand, such evidence is lacking: with respect to the constraints just mentioned, they behave like sentences that contain corresponding quantificational DPs. We take this as evidence that Q-adverbs like for the most part do not quantify over the atomic parts of sum eventualities in the cases under discussion (as claimed by Nakanishi and Romero (2004)), but rather over the atomic parts of the respective sum individuals.
The retreat of BE as perfect auxiliary in the history of English is examined. Corpus data are presented showing that the initial advance of HAVE was most closely connected to a restriction against BE in past counterfactuals. Other factors which have been reported to favor the spread of HAVE are either dependent on the counterfactual effect, or significantly weaker in comparison. It is argued that the effect can be traced to the semantics of the BE perfect, which denoted resultativity rather than anteriority proper. Related data from other older Germanic and Romance languages are presented, and finally implications for existing theories of auxiliary selection stemming from the findings presented are discussed.
Modifiability by almost has been used as a test for the quantificational force of a DP without stating the meaning of almost explicitly. The aim of this paper is to give a semantics for almost applying across categories and to evaluate the validity of the almost test as a diagnosis for universal quantifiers. It is argued that almost is similar to other cross-categorial modifiers such as at least or exactly in referring to alternatives ordered on a scale. I propose that almost evaluates alternatives in which the modified expression is replaced by a value close by on the corresponding Horn scale. It is shown that a semantics for almost that refers to scalar alternatives derives the correct truth conditions for almost and explains selectional restrictions. At the same time, taking the semantics of almost seriously invalidates the almost test as a simple diagnosis for the nature of quantifiers.
This paper demonstrates that there are no empirical and theoretical motivations for regarding verbal predicate focus constructions as (diachronically) derived from cleft constructions. Instead, it is argued that predicate fronting for the purpose of focus or topic is comparable to verb (phrase) fronting structures in other languages (e.g., Germanic). The proposed analysis further indicates that related doubling strategies observed in certain languages are the consequences of parallel chains that license the fronted verb (phrase) in the left periphery, and the Agree-tense-aspect features inside the proposition.
The paper investigates the interpretation of the Romanian subjunctive B (subjB) mood when it is embedded under the propositional attitude verb crede (believe). SubjB is analyzed as a single package of three distinct presuppositions: temporal de se, dissociation and propositional de se. I show that subjB is the temporal analogue of null PRO in the individual domain: it allows only for a de se reading. Dissociation enables us to show that subjB always takes scope over a negation embedded in a belief report. Propositional de se derives this empirical generalization. The introduction of centered propositions (generalizing centered worlds), together with propositional de se, dissociation and the belief 'introspection' principles, derives the fact that subjB belief reports (unlike their indicative counterparts) are infelicitous with embedded probabil.
In this paper we will develop a formal conceptual model of how the path in a motion situation interacts with the semantic analysis of so called 'motion shape verbs' like 'wackeln' ('wobble'), a subclass of the so called 'manner of motion verbs'. Central to this model will be the distinction between two concepts of motion: translational motion and nontranslational motion, which has no inherent translational component but puts emphasis on describing specific Motion Shape Patterns. We will define and algorithmically describe a theory of Path Shape Decomposition that aims at algorithmically deriving the translational vs. nontranslational distinction from the shape of the path. To account for object internal motion, we additionally introduce Bounding Box encapsulation, which yields a topological division of inner and outer movement. Finally we demonstrate how the outcome of such a technical decomposition can be used in modelling a Path Superimposition scenario like 'Peter wackelt über die Straße'.
The paper investigates the interaction of focus and adverbial quantification in Hausa, a Chadic tone language spoken in West Africa. The discussion focuses on similarities and differences between intonation and tone languages concerning the way in which adverbial quantifiers (AQs) and focus particles (FPs) associate with focus constituents. It is shown that the association of AQs with focused elements does not differ fundamentally in intonation and tone languages such as Hausa, despite the fact that focus marking in Hausa works quite differently. This may hint at the existence of a universal mechanism behind the interpretation of adverbial quantifiers across languages. From a theoretical perspective, the Hausa data can be taken as evidence in favour of pragmatic approaches to the focus-sensitivity of AQs, such as e.g. Beaver & Clark (2003).
According to standard Binding Theory, pronouns and reflexives are in (nearly) complementary distribution. However, representational NPs (e.g. 'picture of her/herself') allow both. It has been suggested that in English, reflexives in representational NPs (RNPs) have a preference for 'sources of information' and that pronouns prefer 'perceivers of information.' We conducted two experiments investigating the effects of structural and non-structural (source/perceiver) factors on the interpretation of two kinds of RNP structures in a typologically different language, namely Finnish. Our results reveal source/perceiver effects for postnominal but not for prenominal RNPs in Finnish, with a difference in the degree of sensitivity that pronouns and reflexives exhibit to the source/perceiver manipulation, and our results also suggest that morphological differences in Finnish reflexives correspond to interpretation differences. As a whole, these results support a multiple-factor model of reference resolution, which assumes that multiple factors can play a role in reference resolution and that the relative contributions of these factors can be different for different anaphoric forms (Kaiser 2003b, Kaiser & Trueswell in press).
Dealing with alternatives
(2006)
Traditionally, pure additive particles and scalar additive particles are both characterized by an existential presupposition. They differ insofar as the set of alternatives that is built is unordered for the former, and ordered for the latter, which carry the so-called scalar presupposition. As a result, the two characterisations cannot be cumulated, an impossibility that is at odds with the fact that several languages exhibit this combination of readings for a single item. The discussion of Italian neanche '(n)either/(not) even', an item that can both be additive and scalar, allows us to expose the connection between the oppositions non-ordered vs ordered set of alternatives and verified vs accommodated existential presupposition by adding content to the traditional view that the set of alternatives is made up of 'relevant' items in the context. The question of how to characterise this item is set against the backdrop of a more general discussion of the network of additive particles found in Italian.
Functions of English "man"
(2006)
This paper discusses the semantics of the English particle man. It is shown that this particle does different things when used sentence-initially and sentence-finally. The sentenceinitial use is further shown to separate into two distinct intonational types with different semantic content. A formal semantics is proposed for these types.
We propose a compositional analysis for sentences of the kind "You only have to go to the North End to get good cheese", referred to as the Sufficiency Modal Construction in the recent literature. We argue that the SMC is ambiguous depending on the kind of ordering induced by only. So is the exceptive construction – its cross-linguistic counterpart. Only is treated as inducing either a 'comparative possibility' scale or an 'implication-based' partial order on propositions. The properties of the 'comparative possibility' scale explain the absence of the prejacent presupposition that is usually associated with only. By integrating the scalarity into the semantics of the SMC, we explain the polarity facts observed in both variants of the construction. The sufficiency meaning component is argued to be due to a pragmatic inference.
The German causal preposition durch ('by', 'through') poses a challenge to formal-semantic analyses applying strict compositionality. To deal with this challenge, a formalism which builds on recent important developments in Discourse Representation Theory is developed, including a more elaborate analysis of presuppositional phenomena as well as the integration into the theory of unification as a mode of composition. It is argued that that the observed unificational phenomena belong in the realm of pragmatics, providing an argument for presuppositional phenomena at a sentence- and word-internal level.
This paper presents two experimental studies investigating the processing of presupposed content. Both studies employ the German additive particle auch (too). In the first study, participants were given a questionnaire containing bi-clausal, ambiguous sentences with 'auch' in the second clause. The presupposition introduced by auch was only satisfied on one of the two readings of the sentence, and this reading corresponded to a syntactically dispreferred parse of the sentence. The prospect of having the auch-presupposition satisfied made participants choose this syntactically dispreferred reading more frequently than in a control condition. The second study used the self-paced-reading paradigm and compared the reading times on clauses containing auch, which differed in whether the presupposition of auch was satisfied or not. Participants read the clause more slowly when the presupposition was not satisfied. It is argued that the two studies show that presuppositions play an important role in online sentence comprehension and affect the choice of syntactic analysis. Some theoretical implications of these findings for semantic theory and dynamic accounts of presuppositions as well as for theories of semantic processing are discussed.
Multiple modals construction
(2006)
Modal items of different semantic types can only be combined in a specific order. Epistemic items, for instance, cannot be embedded under deontic ones. I'll argue that this fact cannot be explained by the current semantic theories of modality. A solution to this problem will be developed in an update semantics framework. On the semantic side, a distinction will be drawn between circumstantial information about the world and information about duties, whereas I'll use Nuyts' notion of m-performativity to account for certain use of the modal items.
The expressions few and a few are typically considered to be separate quantifiers. I challenge this assumption, showing that with the appropriate definition of few, a few can be derived compositionally as a + few. The core of the analysis is a proposal that few has a denotation as a one-place predicate which incorporates a negation operator. From this, argument interpretations can be derived for expressions such as few students and a few students, differing only in the scope of negation. I show that this approach adequately captures the interpretive differences between few and a few. I further show that other such pairs are blocked by a constraint against the vacuous application of a.
Kripke's "modal argument" uses consideration about scope within modal contexts to show that proper names and definite descriptions must be of two different semantic types. I reexamine the data that is used to motivate Kripke's argument, and suggest that it, in fact, indicates that proper names behave exactly like a certain type of definite description, which I call "particularized" descriptions.
Semantic and pragmatic properties of the Yorùbá focus construction have not been fully examined. This paper investigates presupposition, exhaustivity effects, and felicity conditions in some of its attested forms. Yorùbá focus does not trigger existence presuppositions, it does not have any obligatory exhaustivity effects, and argument focus and predicate focus behave differently with respect to question-answer congruence. These properties are compatible Déchaine’s analysis (2002) of Yorùbá focus as inverse predication, essentially a type of cleft.
This paper revisits the question of whether propositions in situation semantics must be persistent (Kratzer (1989)). It shows that ignoring persistence causes empirical problems to theories which use quantification over minimal situations as a solution for donkey anaphora (Elbourne (2005)), while at the same time modifying these theories to incorporate persistence makes them incompatible with the use of situations for contextual restriction (Kratzer (2004)).
Starting from the basic observation that, across languages, the anticausative variant of an alternating verb systematically involves morphological marking that is shared by passive verbs, the goal of this paper is to provide a uniform and formal account of these arguably two different construction types. The central claim that I put forward is that passives and anticausatives differ only with respect to the event-type features of the verb but both arise through the same operation, namely suppression by special morphology of a feature in v that encodes the ontological event type of the verb. Crucially, I argue for two syntactic primitives, namely act and cause, whereto I trace the passive/anticausative distinction. Passive constructions across languages are made compatible by relegating the differences to simple combinatorial properties of verb and prepositional types and their interactions with other event functors, which are in turn encoded differently morphologically across languages. New arguments are brought forward for a causative analysis of anticausatives. Agentive adverbials are examined, and doubt is cast on the usefulness of by-phrases as a diagnostic for argumenthood.
Khoekhoe syntax exhibits an unusually flexible constituent structure. Any constituent with a lexical head can be preposed into the focal initial slot immediately before the PGN-marker that marks the subject position. Two strategies of focalisation by foregrounding need to be distinguished: inversion and fronting. Inversion amounts to an inversion of subject and predicate in their entirety. Such sentences have two readings, though, according to their underlying constituent structure: "predicative" or "copulative". Fronting amounts to the preposing of a lexical constituent into the focal initial slot, with subsequent dislocation of the lexical specification of the subject from that slot.
The present analysis has wider implications, particularly: The generally accepted view that Khoekhoe has coreferential/equational "copulative" sentences of the type NPsubject = NPcomplement is a fallacy. Such sentences actually are sentences with their predicate fronted into the focal initial slot. They amount to cleft constructions.
The fact that the primary focal position is immediately before the PGNmarker of the subject is further independent evidence for the "desentential hypothesis", according to which subject and object NPs in the underlying matrix sentence consist of only an enclitic PGN-marker, and for the claim that Khoekhoe underlyingly is a SVO language, not a SOV language as generally held. By implication these findings affect the analysis of other Central Khoesaan languages.
Languages cross-linguistically differ with respect to whether they accept or ban True Negative Imperatives (TNIs). In this paper I show that this ban follows from three generally accepted assumptions: (i) the fact that the operator that encodes the illocutionary force of an imperative universally takes scope from C°; (ii) the fact that this operator may not be operated on by a negative operator and (iii) the Head Movement Constraint (an instance of Relativized Minimality). In my paper I argue that languages differ too with respect to both the syntactic status (head/phrasal) and the semantic value (negative/non-negative) of their negative markers. Given these difference across languages and the analysis of TNIs based on the three above mentioned assumptions, two typological generalisations can be predicted: (i) every language with an overt negative marker X° that is semantically negative bans TNIs; and (ii) every language that bans TNIs exhibits an overt negative marker X°. I demonstrate in my paper that both typological predictions are born out.
In this paper I discuss four type of bare nominal, and note that, in some sense, all of them appear to imply stereotypicality. I consider an account in terms of Bidirectional Optimality Theory: unmarked (bare) forms give rise to unmarked (stereotypical) interpretations. However, it turns out that, while the form of bare numerals is unmarked, the interpretation sometimes is not. I suggest that the crucial notion is not unmarkedness, but optimal inference: unmarked forms give rise to interpretations that are best used for drawing inferences. I propose a revision of Bidirectional Optimality Theory to reflect this.
This paper discusses a semantic analysis of three syntactic types of English each, namely, floated each, binominal each, and prenominal each. It is argued that floated each consists of two parts, a quantifier and an inaudible element which functions as its restrictor, which together form a tripartite quantificational structure when they compose with the predicate. Binominal each and an associated NP such as two topics (which is generally called the 'distributive share') are syntactically analyzed as forming a subject-predicate relation within a DP in which the NP undergoes so-called 'predicate inversion'. Semantically, binominal each is analyzed as having the same semantic value as floated each, while prenominal each is shown to have a different logical type from floated and binominal each. As can be seen from analogous constructions in some Romance languages, it does not lexically contain its restrictor.
The present study examines native and nonnative perceptual processing of semantic information conveyed by prosodic prominence. Five groups of German learners of English each listened to one of 5 experimental conditions. Three conditions differed in place of focus accent in the sentence and two conditions were with spliced stimuli. The experiment condition was presented first in the learners’ L1 (German) and then in a similar set in the L2 (English). The effect of the accent condition and of the length and position of the target in the sentence was evaluated in a probe recognition task. In both the L1 and L2 tasks there was no significant effect in any of the five focus conditions. Target position and target word length had an effect in the L1 task. Word length did not affect accuracy rates in the L2 task. For probe recognition in the L2, word length and the position of the target interacted with the focus condition.
In this paper, we present the Multiple Annotation approach, which solves two problems: the problem of annotating overlapping structures, and the problem that occurs when documents should be annotated according to different, possibly heterogeneous tag sets. This approach has many advantages: it is based on XML, the modeling of alternative annotations is possible, each level can be viewed separately, and new levels can be added at any time. The files can be regarded as an interrelated unit, with the text serving as the implicit link. Two representations of the information contained in the multiple files (one in Prolog and one in XML) are described. These representations serve as a base for several applications.
This paper investigates the structural properties of morphosyntactically marked focus constructions, focussing on the often neglected non-focal sentence part in African tone languages. Based on new empirical evidence from five Gur and Kwa languages, we claim that these focus expressions have to be analysed as biclausal constructions even though they do not represent clefts containing restrictive relative clauses. First, we relativize the partly overgeneralized assumptions about structural correspondences between the out-of-focus part and relative clauses, and second, we show that our data do in fact support the hypothesis of a clause coordinating pattern as present in clause sequences in narration. It is argued that we deal with a non-accidental, systematic feature and that grammaticalization may conceal such basic narrative structures.
The semantics of ellipsis
(2005)
There are four phenomena that are particularly troublesome for theories of ellipsis: the existence of sloppy readings when the relevant pronouns cannot possibly be bound; an ellipsis being resolved in such a way that an ellipsis site in the antecedent is not understood in the way it was there; an ellipsis site drawing material from two or more separate antecedents; and ellipsis with no linguistic antecedent. These cases are accounted for by means of a new theory that involves copying syntactically incomplete antecedent material and an analysis of silent VPs and NPs that makes them into higher order definite descriptions that can be bound into.
In order to investigate the empirical properties of focus, it is necessary to diagnose focus (or: “what is focused”) in particular linguistic examples. It is often taken for granted that the application of one single diagnostic tool, the so-called question-answer test, which roughly says that whatever a question asks for is focused in the answer, is a fool-proof test for focus. This paper investigates one example class where such uncritical belief in the question-answer test has led to the assumption of rather complex focus projection rules: in these examples, pitch accent placement has been claimed to depend on certain parts of the focused constituents being given or not. It is demonstrated that such focus projection rules are unnecessarily complex and in turn require the assumption of unnecessarily complicated meaning rules, not to speak of the difficulties to give a precise semantic/pragmatic definition of the allegedly involved givenness property. For the sake of the argument, an alternative analysis is put forward which relies solely on alternative sets following Mats Rooth´s work, and avoids any recourse to givenness. As it turns out, this alternative analysis is not only simpler but also makes in a critical case the better predictions.
This paper discusses the use of XSLT stylesheets as a filtering mechanism for refining the results of user queries on treebanks. The discussion is within the context of the TIGER treebank, the associated search engine and query language, but the general ideas can apply to any search engine for XML-encoded treebanks. It will be shown that important classes of linguistic phenomena can be accessed by applying relatively simple XSLT templates to the output of a query, effectively simulating the universal quantifier for a subset of the query language.
We present a system for the linguistic exploration and analysis of lexical cohesion in English texts. Using an electronic thesaurus-like resource, Princeton WordNet, and the Brown Corpus of English, we have implemented a process of annotating text with lexical chains and a graphical user interface for inspection of the annotated text. We describe the system and report on some sample linguistic analyses carried out using the combined thesaurus-corpus resource.
Face-to-face communication is multimodal. In unscripted spoken discourse we can observe the interaction of several “semiotic layers”, modalities of information such as syntax, discourse structure, gesture, and intonation. We explore the role of gesture and intonation in structuring and aligning information in spoken discourse through a study of the co-occurrence of pitch accents and gestural apices. Metaphorical spatialization through gesture also plays a role in conveying the contextual relationships between the speaker, the government and other external forces in a naturally-occurring political speech setting.
Elke Kasimir´s paper (in this volume) argues against employing the notion of Givenness in the explanation of accent assignment. I will claim that the arguments against Givenness put forward by Kasimir are inconclusive because they beg the question of the role of Givenness. It is concluded that, more generally, arguments against Givenness as a diagnostic for information structural partitions should not be accepted offhand, since the notion of Givenness of discourse referents is (a) theoretically simple, (b) readily observable and quantifiable, and (c) bears cognitive significance.
Fronting of an infinite VP across a finite main verb - akin to German "VP-topicalization" - can be found also in Czech and Polish. The paper discusses evidence from large corpora for this process and some of its properties, both syntactic and information-structural. Based on this case, criteria for more user-friedly searching and retrieval of corpus data in syntactic research are being developed.
This paper describes the creation and preparation of TUSNELDA, a collection of corpus data built for linguistic research. This collection contains a number of linguistically annotated corpora which differ in various aspects such as language, text sorts / data types, encoded annotation levels, and linguistic theories underlying the annotation. The paper focuses on this variation on the one hand and the way how these heterogeneous data are integrated into one resource on the other hand.
In many languages, a passive-like meaning may be obtained through a noncanonical passive construction. The get passive (1b) in English, the se faire passive (2b) in French and the kriegen passive (3b) in German represent typical manifestations. This squib focuses on the behavior of the get-passive in English and discusses a number of restrictions associated with it as well as the status of get.
Trubetzkoy's recognition of a delimitative function of phonology, serving to signal boundaries between morphological units, is expressed in terms of alignment constraints in Optimality Theory, where the relevant constraints require specific morphological boundaries to coincide with phonological structure (Trubetzkoy 1936, 1939, McCarthy & Prince 1993). The approach pursued in the present article is to investigate the distribution of phonological boundary signals to gain insight into the criteria underlying morphological analysis. The evidence from English and Swedish suggests that necessary and sufficient conditions for word-internal morphological analysis concern the recognizability of head constituents, which include the rightmost members of compounds and head affixes. The claim is that the stability of word-internal boundary effects in historical perspective cannot in general be sufficiently explained in terms of memorization and imitation of phonological word form. Rather, these effects indicate a morphological parsing mechanism based on the recognition of word-internal head constituents. Head affixes can be shown to contrast systematically with modifying affixes with respect to syntactic function, semantic content, and prosodic properties. That is, head affixes, which cannot be omitted, often lack inherent meaning and have relatively unmarked boundaries, which can be obscured entirely under specific phonological conditions. By contrast, modifying affixes, which can be omitted, consistently have inherent meaning and have stronger boundaries, which resist prosodic fusion in all phonological contexts. While these correlations are hardly specific to English and Swedish it remains to be investigated to which extent they hold cross-linguistically. The observation that some of the constituents identified on the basis of prosodic evidence lack inherent meaning raises the issue of compositionality. I will argue that certain systematic aspects of word meaning cannot be captured with reference to the syntagmatic level, but require reference to the paradigmatic level instead. The assumption is then that there are two dimensions of morphological analysis: syntagmatic analysis, which centers on the criteria for decomposing words in terms of labelled constituents, and paradigmatic analysis, which centers on the criteria for establishing relations among (whole) words in the mental lexicon. While meaning is intrinsically connected with paradigmatic analysis (e.g. base relations, oppositeness) it is not essential to syntagmatic analysis.
It has been shown that visual cues play a crucial role in the perception of vowels and consonants. Conflicting consonantal stimuli presented in the visual and auditory modalities can even result in the emergence of a third perceptual unit (McGurk effect). From a developmental point of view, several studies report that newborns can associate the image of a face uttering a given vowel to the auditory signal corresponding to this vowel; visual cues are thus used by the newborns. Despite the large number of studies carried out with adult speakers and newborns, very little work has been conducted with preschool-aged children. This contribution is aimed at describing the use of auditory and visual cues by 4 and 5-year-old French Canadian speakers, compared to adult speakers, in the identification of voiced consonants. Audiovisual recordings of a French Canadian speaker uttering the sequences [aba], [ada], [aga], [ava], [ibi], [idi], [igi], [ivi] have been carried out. The acoustic and visual signals have been extracted and analysed so that conflicting and non-conflicting stimuli, between the two modalities, were obtained. The resulting stimuli were presented as a perceptual test to eight 4 and 5-year-old French Canadian speakers and ten adults in three conditions: visual-only, auditory-only, and audiovisual. Results show that, even though the visual cues have a significant effect on the identification of the stimuli for adults and children, children are less sensitive to visual cues in the audiovisual condition. Such results shed light on the role of multimodal perception in the emergence and the refinement of the phonological system in children.
In this paper the issue of the nature of the representations of the speech production task in the speaker's brain is addressed in a production-perception interaction framework. Since speech is produced to be perceived, it is hypothesized that its production is associated for the speaker with the generation of specific physical characteristics that are for the listeners the objects of speech perception. Hence, in the first part of the paper, four reference theories of speech perception are presented, in order to guide and to constrain the search for possible correlates of the speech production task in the physical space: the Acoustic Invariance Theory, the Adaptive Variability Theory, the Motor Theory and the Direct-Realist Theory. Possible interpretations of these theories in terms of representations of the speech production task are proposed and analyzed. In a second part, a few selected experimental studies are presented, which shed some light on this issue. In the conclusion, on the basis of the joint analysis of theoretical and experimental aspects presented in the paper, it is proposed that representations of the speech production task are multimodal, and that a hierarchy exists among the different modalities, the acoustic modality having the highest level of priority. It is also suggested that these representations are not associated with invariant characteristics, but with regions of the acoustic, orosensory and motor control spaces.
A fundamental question in the study of speech is about the invariance of the ultimate percepts, or features. The present paper gives an overview of the noninvariance problem and offers some hints towards a solution. Examination of various data on place and voicing perception suggests the following points. Features correspond to natural boundaries between sounds, which are included in the infant's predispositions for speech perception. Adult percepts arise from couplings and contextual interactions between features. Both couplings and interactions contribute to invariance. But this is at the expense of profound qualitative changes in perceptual boundaries implying that features are neither independently nor invariantly perceived. The question then is to understand the principles which guide feature couplings and interactions during perceptual development. The answer might reside in the fact that: (1) adult boundaries converge to a single point of the perceptual space, suggesting a context-free central reference; (2) this point corresponds to the neutral vocoïd, suggesting the reference is related to production; (3) at this point perceptual boundaries correspond to the natural ones, suggesting the reference is anchored in predispositions for feature perception. In sum, perceptual invariance seems to be grounded on a radial representation of the vocal tract around a singular point at which boundaries are context-fee, natural and coincide with the neutral vocoïd.
This paper presents the results of Open Quotient measurements in EGG signals of young (18 to 30 year old) and elderly (59 to 82 year old) male and female speakers. The paper further presents quantitative results on the relation between the OQ and the perception of a speaker's age. Higgins & Saxman (1991) found a decreased OQEGG with increasing age for females, whereas the OQEGG in sustained vowel material increased for males as the speakers age increased. In Linville (2002), however, the spectral amplitudes in the region of F0 (obtained by LTAS-measurements of read speech material) increased with increasing age independent of gender; this could be interpreted indirectly as an increasing OQ. We measured the OQEGG not only for sustained vowels, but also in vowels taken from isolated words. In order to analyse the relation between breathiness in terms of an increased OQ and the mean perceived age per stimulus a perception test was carried out in which listeners were asked to estimate speaker's age based on sustained /a/-vowel stimuli varying in vocal effort (soft - normal - loud) during production. The results indicated the following: (i) The decreased OQ for elderly females originally found by Higgins & Saxman is not apparent in our data for sustained /a/-vowels. For our female speakers no significant difference between the OQ of young and old speakers was found; for elderly males, however, we also found an increasing OQ with increasing age.(ii) In addition, a statistically significant increased OQEGG occurs for the group of the elderly males for the vowels from the word material. (iii) Our results show a strong positive relation between perceived age and OQ in male voices. Regarding (i) and (ii), at least the male speaker's voice becomes more breathy as age increases. Considering (iii), increased breathiness may contribute to the listener’s perception of increased age.
Studying kinematic behavior in speech production is an indispensable and fruitful methodology in order to describe for instance phonemic contrasts, allophonic variations, prosodic effects in articulatory movements. More intriguingly, it is also interpreted with respect to its underlying control mechanisms. Several interpretations have been borrowed from motor control studies of arm, eye, and limb movements. They do either explain kinematics with respect to a fine tuned control by the Central Nervous System (CNS) or they take into account a combination of influences arising from motor control strategies at the CNS level and from the complex physical properties of the peripheral speech apparatus. We assume that the latter is more realistic and ecological. The aims of this article are: first, to show, via a literature review related to the so called '1/3 power law' in human arm motor control, that this debate is of first importance in human motor control research in general. Second, to study a number of speech specific examples offering a fruitful framework to address this issue. However, it is also suggested that speech motor control differs from general motor control principles in the sense that it uses specific physical properties such as vocal tract limitations, aerodynamics and biomechanics in order to produce the relevant sounds. Third, experimental and modelling results are described supporting the idea that the three properties are crucial in shaping speech kinematics for selected speech phenomena. Hence, caution should be taken when interpreting kinematic results based on experimental data alone.
Syllable cut is said to be a phonologically distinctive feature in some languages where the difference in vowel quantity is accompanied by a difference in vowel quality like in German. There have been several attempts to find the corresponding phonetic correlates for syllable cut, from which the energy measurements of vowels by Spiekermann (2000) proved appropriate for explaining the difference between long, i.e. smoothly, and short, i.e. abruptly cut, vowels: in smoothly cut vowels, a larger number of peaks was counted in the energy contour which were located further back than in abruptly cut segments, and the overall energy was more constant throughout the entire nucleus. On this basis, we intended to compare German as a syllable cut language and Hungarian where the feature was not expected to be relevant. However, the phonetic correlates of syllable cut found in this study do not entirely confirm Spiekermann's results. It seems that the energy features of vowels are more strongly connected to their duration than to their quality.
This study reports on the results of an airflow experiment that measured the duration of airflow and the amount of air from release of a stop to the beginning of a following vowel in stop vowel-sequences of German. The sequences involved coronal, labial and velar voiced and voiceless stops followed by the vocoids /j, i:, ı, ɛ, ʊ, a/. The experiment tested the influence of the three factors voicing of stop, place of stop articulation, and the following vocoid context on the duration and amount of air as possible explanation for assibilation processes. The results show that the voiceless stops are related to a longer duration and more air in the release phase than voiced ones. For the influence of the vocoids, a significant difference could be established between /j/ and all other vocoids for the duration of the release phase. This difference could not be found for the amount of air over this duration. The place of articulation had only restricted influence. Velars resulted in significantly longer duration of the release phase compared to non-velars. A significant difference in amount of air between the places of articulation could not be found.
The present article is a follow-up study of the investigation of labiodentals in German and Dutch by Hamann & Sennema (2005), where we looked at the perception of the Dutch labiodental three-way contrast by German listeners without any knowledge of Dutch and German learners of Dutch. The results of this previous study suggested that the German voiced labiodental fricative /v/ is perceptually closer to the Dutch approximant /ʋ/ than to the corresponding Dutch voiced labiodental fricative /v/. These perceptual indications are attested by the acoustic findings in the present study. German /v/ has a similar harmonicity median and a similar centre of gravity to Dutch /ʋ/, but differs from Dutch /v/ in these parameters. With respect to the acoustic parameter of duration, German /v/ lies closer to the Dutch /v/ than to the Dutch /ʋ/.
(Non)retroflexivity of slavic affricates and its motivation : Evidence from polish and czech <č>
(2005)
The goal of this paper is two-fold. First, it revises the common assumption that the affricate <č> denotes /t͡ʃ/ for all Slavic languages. On the basis of experimental results it is shown that Slavic <č> stands for two sounds: /t͡ʃ/ as e.g. in Czech and /ʈʂ/ as in Polish.
The second goal of the paper is to show that this difference is not accidental but it is motivated by perceptual relations among sibilants. In Polish, /t͡ʃ/ changed to /ʈʂ/ thus lowering its sibilant tonality and creating a better perceptual distance to /tɕ/, whereas in Czech /t͡ʃ/ did not turn to /ʈʂ/, as the former displayed sufficient perceptual distance to the only affricate present in the inventory, namely, the alveolar /t͡s/. Finally, an analysis of Czech and Polish affricate inventories is offered.
While the perilinguistic child is endowed with predispositions for the categorical perception of phonetic features, their adaptation to the native language results from a long evolution from the end of the first year of age up to the adolescence. This evolution entails both a better discrimination between phonological categories, a concomitant reduction of the discrimination between within-category variants, and a higher precision of perceptual boundaries between categories. The first objective of the present study was to assess the relative importance of these modifications by comparing the perceptual performances of a group of 11 children, aged from 8 to 11 years, with those of their mothers. Our second objective was to explore the functional implications of categorical perception by comparing the performances of a group of 8 deaf children, equipped with a cochlear implant, with normal-hearing chronological age controls. The results showed that the categorical boundary was slightly more precise and that categorical perception was consistently larger in adults vs. normal-hearing children. Those among the deaf children who were able to discriminate minimal distinctions between syllables displayed categorical perception performances equivalent to those of normal-hearing controls. In conclusion, the late effect of age on the categorical perception of speech seems to be anchored in a fairly mature phonological system, as evidenced the fairly high precision of categorical boundaries in pre-adolescents. These late developments have functional implications for speech perception in difficult conditions as suggested by the relationship between categorical perception and speech intelligibility in cochlear implant children.
This paper describes the processing of MRI and CT images needed for developing a 3D linear articulatory model of velum. The 3D surface that defines each organ constitutive of the vocal and nasal tracts is extracted from MRI and CT images recorded on a subject uttering a corpus of artificially sustained French vowels and consonants. First, the 2D contours of the organs have been manually extracted from the corresponding images, expanded into 3D contours, and aligned in a common 3D coordinate system. Then, for each organ, a generic mesh has been chosen and fitted by elastic deformation to each of the 46 3D shapes of the corpus. This has finally resulted in a set of organ surfaces sampled with the same number of 3D vertices for each articulation, which is appropriate for Principal Component Analysis or linear decomposition. The analysis of these data has uncovered two main uncorrelated articulatory degrees of freedom for the velum's movement. The associated parameters are used to control the model. We have in particular investigated the question of a possible correlation between jaw / tongue and velum's movement and have not find more correlation than the one found in the corpus.
This paper contributes to the understanding of vocal folds oscillation during phonation. In order to test theoretical models of phonation, a new experimental set-up using a deformable vocal folds replica is presented. The replica is shown to be able to produce self sustained oscillations under controlled experimental conditions. Therefore different parameters, such as those related to elasticity, to acoustical coupling or to the subglottal pressure can be quantitatively studied. In this work we focused on the oscillation fundamental frequency and the upstream pressure in order to start (on-set threshold) either end (off-set threshold) oscillations in presence of a downstream acoustical resonator. As an example, it is shown how this data can be used in order to test the theoretical predictions of a simple one-mass model.
A visual articulatory model and its application to therapy
of speech disorders : a pilot study
(2005)
A visual articulatory model based on static MRI-data of isolated sounds and its application in therapy of speech disorders is described. The model is capable of generating video sequences of articulatory movements or still images of articulatory target positions within the midsagittal plane. On the basis of this model (1) a visual stimulation technique for the therapy of patients suffering from speech disorders and (2) a rating test for visual recognition of speech movements was developed. Results indicate that patients produce recognition rates above level of chance already without any training and that patients are capable of increasing their recognition rate over the time course of therapy significantly.
In order to investigate the articulatory processes of the hasty and mumbled speech of clutterers, the kinematic variability was analysed by means of electromagnetic midsagittal articulography (EMMA). In contrast to stutterers, clutterers improve their intelligibility by concentrating on their speech task. Variability is an important criterion in comparable studies of stuttering and is discussed in terms of the stability of the speech motor system. The aim of the current study was to analyse the spatial and temporal variability in the speech of three clutterers and three control speakers. All speakers were native speakers of German. The speech material consisted of repetitive CV-syllables and foreign words, because clutterers have the most severe problems with long words which have a complex syllable structure. The results showed a higher quotient of variation for clutterers in the foreign word production. For the syllable repetition task, no significant differences between clutterers and controls were found. The extremely large and variable displacements were interpreted as a strategy that helps clutterers to improve the intelligibility of their speech.
This paper summarizes our research efforts in functional modelling of the relationship between the acoustic properties of vowels and perceived vowel quality. Our model is trained on 164 short steady-state stimuli. We measured F1, F2, and additionally F0 since the effect of F0 on perceptual vowel height is evident. 40 phonetically skilled subjects judged vowel quality using the Cardinal Vowel diagram. The main focus is on refining the model and describing its transformation properties between the F1/F2 formant chart and the Cardinal Vowel diagram. An evaluation of the model based on 48 additional vowels showed the generalizability of the model and confirmed that it predicts perceived vowel quality with sufficient accuracy.
We measure face deformations during speech production using a motion capture system, which provides 3D coordinate data of about 60 markers glued on the speaker's face. An arbitrary orthogonal factor analysis followed by a principal component analysis (together called a guided PCA) of the data has showed that the first 6 factors explain about 90% of the variance, for each of our 3 speakers. The 6 derived factors, therefore, allow us to efficiently analyze or to reconstruct with a reasonable accuracy the observed face deformations. Since these factors can be interpreted in articulatory terms, they can reveal underlying articulatory organizations. The comparison of lip gestures in terms of data derived factors suggests that these speakers differently maneuver the lips to achieve contrast between /s/ and /R/. Such inter-speaker variability can occur because the acoustic contrast of these fricatives is shaped not only by the lip tube but also by cavities inside the mouth such as the sublingual cavity. In other words, these tube and cavity can acoustically compensate each other to produce their required acoustic properties.
The contribution of von Kempelen's "Mechanism of Speech" to the 'phonetic sciences' will be analyzed with respect to his theoretical reasoning on speech and speech production on the one hand and on the other in connection with his practical insights during his struggle in constructing a speaking machine. Whereas in his theoretical considerations von Kempelen's view is focussed on the natural functioning of the speech organs – cf. his membraneous glottis model – in constructing his speaking machine he clearly orientates himself towards the auditory result – cf. the bag pipe model for the sound generator used for the speaking machine instead. Concerning vowel production his theoretical description remains questionable, but his practical insight that vowels and speech sounds in general are only perceived correctly in connection with their surrounding sounds – i.e. the discovery of coarticulation – is clearly a milestone in the development of the phonetic sciences: He therefore dispenses with the Kratzenstein tubes, although they might have been based on more thorough acoustic modelling.
Finally, von Kempelen's model of speech production will be discussed in relation to the discussion of the acoustic nature of vowels afterwards [Willis and Wheatstone as well as von Helmholtz and Hermann in the 19th century and Stumpf, Chiba & Kajiyama as well as Fant and Ungeheuer in the 20th century].