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Since Donald Davidson’s seminal work “The Logical Form of Action Sentences” (1967) event arguments have become an integral component of virtually every semantic theory. Over the past years Davidson´s proposal has been continuously extended such that nowadays event(uality) arguments are generally associated not only with action verbs but with predicates of all sorts. The reasons for such an extension are seldom explicitly justified. Most problematical in this respect is the case of stative expressions. By taking a closer look at copula sentences the present study assesses the legitimacy of stretching the Davidsonian notion of events and discusses its consequences. A careful application of some standard eventuality diagnostics (perception reports, combination with locative modifiers and manner adverbials) as well as some new diagnostics (behavior of certain degree adverbials) reveals that copular expressions do not behave as expected under a Davidsonian perspective: they fail all eventuality tests, regardless of whether they represent stage-level or individual-level predicates. In this respect, copular expressions pattern with stative verbs like know, hate, and resemble, which in turn differ sharply from state verbs like stand, sit, and sleep. The latter pass all of the eventuality tests and therefore qualify as true “Davidsonian state” expressions. On the basis of these empirical observations and taking up ideas of Kim (1969, 1976) and Asher (1993, 2000), an alternative account of copular expressions (and stative verbs) is provided, according to which the copula introduces a referential argument for a temporally bound property exemplification (= “Kimian state”). Considerations on some logical properties, viz. closure conditions and the latent infinite regress of eventualities, suggest that supplementing Davidsonian eventualities with Kimian states may yield not only a more adequate analysis of copula sentences but also a better understanding of eventualities in general.
In this paper I will discuss the formation of different types of yes/no questions in Serbian (examples in (1)), focusing on the syntactically and semantically puzzling example (1d), which involves the negative auxiliary inversion. Although there is a negative marker on the fronted auxiliary, the construction does not involve sentential negation. This coincides with the fact that the negative quantifying NPIs cannot be licensed. The question formation and sentential negation have similar syntactic effects cross-linguistically. This has led to various attempts to formulate a unifying syntactic account of the phenomena (ever since Klima 1964). One striking fact about the two syntactic contexts is that both license weak NPIs (Negative Polarity Items). It has been suggested (cf. Laka 1990, Culicover 1991) that the derivation of both interrogatives and negatives involves the same type of functional projection PolP (polarity phrase). One such account of the formation of negative interrogatives in Serbo- Croatian is offered by Progovac (2005). She proposes that there are two PolPs optionally cooccurring in the same clause, in which both positive and negative polarity items check their positive or negative features (following Haegeman and Zanuttini (1991) feature-checking account of negative structures, and the insights of Brown(1999) on the negation in Russian). On her account, the negative auxiliary question in (1d), is the case when both polarity phrases are present. The higher has [-pos +neg] features, and the lower one (below TP) is [-pos -neg]. Although her account correctly predicts the ungrammaticality of (2a) in contrast with (1c), it wrongly predicts the (2b) to be grammatical. I will argue that Progovac’s theory regarding the nature of the PolP is wrong. It employs both the binary feature valuation on the polarity head and the hierarchical ordering of the two polarity phrases, which eventually leads to overgeneration. On the account presented here the nature of the question marker (li vs zar) is highly relevant. Notice that (1b) and (1d) express presuppositions regarding the truth value of the propositions. In this way they contrast with (1a) and (1c). In addition, the type (1b) (with the question particle zar) can introduce both the positive and negative presupposition as shown in (3), which, semantically, makes this construction compatible with negative auxiliary questions in English (4a). The polarity items licensed in the relevant structures are also of the same type in both languages. The fronted-negative-auxiliary questions (1d) in Serbian are only possible with the particle li. In this case the presupposition is exclusively positive. The peculiar question/focus marking function of li (in Bulgarian and Russian) is well known. However, it is always assumed that its focus marking role is not relevant for the formation of yes/no questions. This I believe is not correct. The syntactic explanation of the interpretational facts points to the following: A) The possibility of the separate lexical encoding (particle zar) of the ‘rhetorical’ yes/no questions in Serbian allows the embedding of both positive and negated sentences, in which case the (weak) NPIs can remain in local relation with the negated verb. B) Recall that Serbian is an NC language, which requires local/c-command relation between the verbal negative marker and the NPI. With the negative inverted auxiliary questions this condition is not met, and the licensing of an n-word is not possible. C) The impossibility of licensing a weak NPI (i-words in the examples below) is due to the nature of the question marker li. (1) a. Da li je Vera videla ikoga / nekoga / *nikoga? DA Q aux Vera see.part.F.Sg anyone someone noone “Did Vera see anyone/someone/noone?” b. Zar je Vera videla ikoga / nekoga / *nikoga? ZAR aux Vera see.part.F.Sg anyone someone noone “Is it really the fact that Vera saw anyone/someone?” c. Je li Vera videla ikoga / nekoga /*nikoga? aux Q Vera see.part.F.Sg anyone someone noone “Did Vera see anyone/someone/noone?” d. Nije li Vera videla *ikoga / nekoga / *nikoga? neg+aux Q Vera see.part.F.Sg anyone someone noone “Didn’t Vera see someone?”/ “Vera saw someone, didn’t she?” (2) a. *Nije li Vera videla nikoga? neg+aux Q Vera see.part.F.Sg noone b. *Nije li Vera videla ikoga? neg+aux Q Vera see.part.F.Sg anyone (3) a. Zar je Vera videla nekoga / ikoga? ZAR aux Vera see.part.F.Sg someone/anyone b. Zar Vera nije videla nekoga/nikoga? ZAR Vera neg+aux see.part.F.Sg someone/anyone (4) a. Didn’t Vera (NOT) see someone/anyone? b. Vera saw someone, didn’t she?
Tagging kausaler Relationen
(2005)
In dieser Diplomarbeit geht es um kausale Beziehungen zwischen Ereignissen und Erklärungsbeziehungen zwischen Ereignissen, bei denen kausale Relationen eine wichtige Rolle spielen. Nachdem zeitliche Relationen einerseits ihrer einfacheren Formalisierbarkeit und andererseits ihrer gut sichtbaren Rolle in der Grammatik (Tempus und Aspekt, zeitliche Konjunktionen) wegen in jüngerer Zeit stärker im Mittelpunkt des Interesses standen, soll hier argumentiert werden, dass kausale Beziehungen und die Erklärungen, die sie ermöglichen, eine wichtigere Rolle im Kohärenzgefüge des Textes spielen. Im Gegensatz zu “tiefen” Verfahren, die auf einer detaillierten semantischen Repr¨asentation des Textes aufsetzen und infolgedessen für unrestringierten Text m. E. nicht geeignet sind, wird hier untersucht, wie man dieses Ziel erreichen kann, ohne sich auf eine aufwändig konstruierte Wissensbasis verlassen zu müssen.
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.
This paper provides an analysis of an alternative strategy to A´-movement in both German and Dutch where the extracted constituent is preceded by a preposition and a coreferential pronoun appears in the extraction site. The construction has properties of both binding and movement: Whereas reconstruction effects suggest movement out of the embedded clause, there is strong evidence that the operator constituent is linked to an A-position in the matrix clause; this paradox is resolved by assuming a Control-like approach that involves movement from the embedded clause into a theta-position in the matrix clause with subsequent short A´- movement. The coreferential pronoun is interpreted as a resumptive heading a Big-DP which hosts the antecedent in its specifier.
Plural semantics for natural language understanding : a computational proof-theoretic approach
(2005)
The semantics of natural language plurals poses a number of intricate problems – both from a formal and a computational perspective. In this thesis I investigate problems of representing, disambiguating and reasoning with plurals from a computational perspective. The work defines a computationally suitable representation for important plural constructions, proposes a tractable resolution algorithm for semantic plural ambiguities, and integrates an automatic reasoning component for plurals. My solution combines insights from formal semantics, computational linguistics and automated theorem proving and is based on the following main ideas. Whereas many existing approaches to plural semantics work on a model-theoretic basis using higher-order representation languages I propose a proof-theoretic approach to plural semantics based on a flat firstorder semantic representation language thus showing that a trade-off between expressive power and logical tractability can be found. The problem of automatic disambiguation of plurals is tackled by a deliberate decision to drastically reduce recourse to contextual knowledge for disambiguation but rely instead on structurally available and thus computationally manageable information. A further central aspect of the solution lies in carefully drawing the borderline between real ambiguity and mere indeterminacy in the interpretation of plural noun phrases. As a practical result of my computational proof-theoretic approach to plural semantics I can use my methods to perform automated reasoning with plurals by applying advanced firstorder theorem provers and model-generators available off-the shelf. The results are prototypically implemented within the two logic-oriented natural language understanding applications DRoPs and Attempto. DRoPs provides an automatic plural disambiguation component for uncontrolled natural language whereas Attempto works with a constructive disambiguation strategy for controlled natural language. Both systems provide tools for the automated analysis of technical texts allowing users for example to automatically detect inconsistencies, to perform question answering, to check whether a conjecture follows from a text or to find equivalences and redundancies.
Ziel des Teilprojekts ist die thematische Erschließung der Korpora, um sowohl themenspezifische virtuelle Subkorpora zusammenstellen zu können als auch aufgrund der Analyse sachgebietsbezogener Häufigkeitsverteilungen z.B. Lesarten disambiguieren zu können. Ausgangspunkt ist die Erstellung einer Taxonomie von Sachgebietsthemen. Dies erfolgt in einem semiautomatischen Verfahren, welches die Anwendung von Textmining (Dokumentclustering) und die manuelle Zuordnung von Clustern in eine externen Ontologie beinhaltet. Es wird argumentiert, dass die so gewonnene Taxonomie sowohl intuitiver als auch objektiver ist als bestehende, rein manuelle Ansätze. Sie eignet sich zudem gleichermaßen für manuelle als auch für maschinelle Klassifikation. Für letzteres wird der Naive Bayes'sche Textklassifikator motiviert und für ein klassifiziertes Korpus von knapp zwei Milliarden Wörtern evaluiert.
Wie formt sich die Sprache im Kopf? : Kognitive Linguistik: Sprache, Grammatik und die Wissenswelten
(2005)
Man kann die Menschheit in zwei Gruppen teilen: in solche, die sich an fremden Orten verbal anschmiegen und die lokale Sprache in sich aufnehmen als wäre es schon immer die eigene gewesen und solche, die ihre Sprache an einem fremden Ort beibehalten und sich kaum merklich oder gar nicht von ihrer neuen Umgebung sprachlich beeinflussen lassen. Daher fällt einem meist auf, ob jemand beispielsweise in Solothurn seinen Berner, Basler oder Thurgauer Dialekt beibehalten hat, oder aber man beobachtet – vielleicht sodann mit einer gewissen Skepsis –, dass ein zugezogener Mensch das Solothurnische langsam annimmt und seinen eigenen Dialekt nach und nach zu verlernen scheint. ...
Wer sich einmal in Deutschschweizer IRC-Chatkanälen herumgesehen hat, hat sofort bemerkt, dass neben der Standardsprache häufig Mundart verwendet wird. Eine Analyse der Varietätenverwendung bietet sich an. Es stellt sich die Frage: was bedeutet sprachliche Norm in einem Kommunikationsraum, in dem die Vorgabe, Deutsch zu schreiben, nur heißt nicht Französisch, Italienisch, Türkisch, Serbisch, Portugiesisch usw. zu schreiben, wo also die Standardsprache nur eine der akzeptierten Varietäten ist? Was bedeutet sprachliche Norm, wo Berndeutsch mit /l/-Vokalisierung neben Walliserdeutsch mit archaischen Volltonvokalen in Nebensilben vorkommt, wo für ein standardsprachliches [a:] ‹a, ah, aa, o, oh› oder ‹oo› stehen kann? Der Frage nach einer deskriptiven Norm wird hier nachgegangen, indem Möglichkeiten der Verschriftung einzelner Aspekte aufgezeigt werden und deren Nutzung in regionalen und überregionalen Chaträumen verglichen werden. Aus dem aktuellen Gebrauch wird dann versucht implizite Normen abzuleiten.
Die deutsche Präposition-Artikel-Enklise bietet wie kaum eine andere Grammatikalisierung Einblicke in den Mikrobereich von Grammatikalisierungsprozessen: Klare, "zielorientierte" Verhältnisse sind hier nicht zu beschreiben, was der Grund für ihre bisher so geringe Beachtung durch die Grammatikalisierungsforschung sein dürfte. Es wurde deutlich, dass bezüglich der hier als zentral bewerteten Morphologisierung des Artikels das gesamte Spektrum von Nichtverschmelzbarkeit bis hin zu (kurz vor Flexiven stehenden) obligatorisch verschmelzenden speziellen Klitika abgedeckt ist. Diachron hat sich zwar insgesamt eine deutliche Rechtsdrift auf der Grammatikalisierungsskala vollzogen; bezüglich des Genitivartikels hat jedoch eine Degrammatikalisierung in Form von sog. retraction (gemäß Hapelmath 2004) stattgefunden, die hier in einer Demorphologisierung (Resyntaktisierung) eines Klitikons besteht. Dabei findet keine "Relexikalisierung" im Sinne einer lexikalischen Anreicherung eines bereits grammatikalisierten Elements statt (siehe hierzu Haspelmath 1999). Mittel- und frühneuhochdeutsche Verschriftungen deuten auf reichere Inventare an Verschmelzungs formen hin, doch sind hierzu diachrone Untersuchungen erforderlich. Ebenso ist der Übergangsbereich zwIschen einfachen und speziellen Klitika in sich abgestuft und weitaus komplexer gestaltet als hier dargestellt. Auch dazu besteht Bedarf an Detailanalysen unter der Fragestellung, welche der unter Abschnitt 2.2 aufgeführten Artikelfunkttonen am ehesten eine Präposition-Artikel-Verschmelzung erfordern. Einiges deutet auf den am stärksten desemantisierten (expletiven) Artikel z.B. vor Eigennamen hin. Um den Einfluss von Schriftlichkeit und Standardisierung auf Grammatikalisierungsprozesse ermitteln zu können, wurden zwei Dialekte in den Blick genommen: das Ruhrdeutsche, das die Erwartung nach deutlich fortgeschritteneren Verhältnissen erfüllt, und das Alemannische, das andere Phänomene ausgebildet hat wie etwa die Proklise des Artikels an das Substantiv, die Nullrealisierung klitischer Artikelformen und den kategorialen Umbau der vier Nominalkategorien am Artikel. Die Einbeziehung weiterer Dialekte und vor allem auch der gesprochenen "Umgangssprache" könnte weiteren Aufschluss über die Ratio dieser Grammatikalisierung liefern. Sollten flektierende Präpositionen Ziel dieses Wandels sein, so hätte dies tiefgreifende Konsequenzen für die Grammatikschreibung.
Bis heute bildet die Morphologie keinen Schwerpunkt der Dialektlinguistik. Dies wird immer wieder moniert. H. Tatzreiter (1994) kommt nach seinem Streifzug durch die "Bibliographie zur Grammatik der deutschen Dialekte" von P. Wiesinger / E. Raffin (1982) zu dem Ergebnis, "daß die Leistungskurve im grammatischen Bereich ,von der Lautlehre über die Formen- und Wortbildungslehre bis zur Satzlehre' steil abfällt" (S. 30 bzw. P. Wiesinger / E. Raffin 1982, S. XXIX). Ein weiteres Problem sieht er in der besonders durch die angelsächsische Tradition motivierten Vernachlässigung der Morphologie die zwischen der phonologischen, lexikalischen und syntaktischen Ebene ein gefährdetes Dasein fristet" (S. 30): "So lange die Morphologie sich nicht aus der 'Umklammerung' der Phonologie und Syntax lösen kann, um eigenständig als Forschungsobjekt zu gelten, wird es um die umfassende Erforschung und Darstellung schlecht bestellt sein" (S. 34).
Wiederholt ist auf das onomastische Dokumentations- und Forschungspotential digital gespeicherter Telefonanschlüsse hingewiesen worden. Auch sind auf dieser Basis bereits Untersuchungen zum Inventar und zur Verbreitung deutscher Familiennamen entstanden. Durch neue Software zur Auswertung digitaler Telefonanschlüsse ergeben sich inzwischen fast unbegrenzte Möglichkeiten, das Familiennamensystem Deutschlands erstmals überhaupt zuverlässig zu erfassen, zu dokumentieren und auf bestimmte Phänomene hin zu befragen. In Minutenschnelle ist es nun beispielsweise möglich, alle Komposita auf -müller in Listen zusammenzustellen und in Karten deutschlandweit in ihrer Verbreitung sichtbar zu machen.
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.
This paper advances a purely presuppositional analysis of intonation. I first show that a inspiring recent article by Geurts and van der Sandt (Theoretical Linguistics, 2004) that pursues the same goal cannot account for multiple foci. Then, I show that if it is assumed that destressed rather than focussed material is semantically marked, multiple foci are accounted for correctly.
DP is not a scope island
(2005)
The epistemic step
(2005)
Language planning for the Irish language in the Republic of Ireland has featured prominently in international language policy and planning literature over the years. Researchers in the field may not be up to date, however, with recent developments in the area of Irish language planning and their impact on the language ecology. This monograph describes the language planning situation in the Republic of Ireland in its historical and social contexts as well as delineating language policy and planning for the Irish language implemented over the past number of years, showing developments in education, community, media, religion and local politics.
Dictionaries contain lexicographic data whose occurrence is restricted to certain geo-graphical areas, subject fields, professions, etc. It is part of the duties of the lexicographer to give an account of such deviations to ensure a successful retrieval of the information on the part of the user. This contribution presents a discussion on labelling issues in the Dictionnaire Français–Mpongwé. Although the main focus is on the presentation of different types of labelling as well as problems in labelling, textual condensation procedures and mediostructural representations (to-gether with some aspects of the user perspective) are also critically evaluated. It is shown that these procedures reveal some inconsistencies which are not accounted for in the outer texts (front matter and back matter texts) of the dictionary. Finally suggestions are made for the improvement of the access structure of this dictionary.
[D]ie polnischen Familiennamen [unterlagen] bis ins 19. Jahrhundert hinein nur geringer amtlicher Kontrolle [...]. Diese Situation begünstigte den sukzessiven Aufbau onymischer Allomorphik aus den […] Flexions- und Derivationsmorphemen, die ursprünglich zur Bildung von Herkunftsbezeichnungen, Patronymika und Übernamen angewendet wurden. Die sekundäre Nutzung dieser Flexions- und Wortbildungsmorpheme als onymische Suffixe trieb den […] Dissoziationsprozess der Familiennamen voran. Die wachsende Produktivität dieser onymischen Morphe, die bis heute andauert, sicherte ihnen die Spitzenposition unter den Proprialitätsmarkern im polnischen Familiennamensystem. Heute sind die onymischen Allomorphe -ska, -ski, -icz, -ak das wichtigste Mittel, mit dem die Zugehörigkeit eines Wortes zum Onomastikon gekennzeichnet wird. […] In diesem Beitrag werden die Entstehungswege und die Ausbreitungspfade der drei produktivsten Gruppen der polnischen onymischen Suffixe präsentiert. Es werden auch die außersprachlichen Faktoren berücksichtigt, die die Erhöhung der Produktivität durch sukzessive Erweiterung der Kombinationsmöglichkeiten der einzelnen Suffixe ermöglicht haben. Es wird gezeigt, dass die ursprünglichen Selektionsbeschränkungen der Basen mit den Suffixen (Toponyme + -ska-Suffixe, Appellative und Adjektive + k-haltige Suffixe, Vornamen + -icz-Suffixe) im Zuge ihrer Ausbreitung und Festigung aufgegeben wurden. Die onymischen Allomorphe sind heute frei kombinierbar und können im Falle des Namenwechsels zur Bildung eines neuen Namens herangezogen werden.
Innerhalb der Reihe "GrenzBereiche des Lesens" gehaltener Vortrag. "GrenzBereiche des Lesens" ist eine kulturwissenschaftliche Vortragsreihe, die 2003 und 2004 an der Universität Frankfurt stattfand. Irene Pieper beschäftigt sich aus literaturdidaktischer und lesesoziologischer Perspektive mit der kulturellen Praxis des Lesens. Ihr Beitrag entwickelt systematisch, worin die "Kunst" des literarischen Lesens im Einzelnen besteht und wie diese Kompetenz methodisch in der Auseinandersetzung mit dem Gegenstand Literatur zu erwerben bzw. zu vermitteln ist. Ein kompetenter Leser zu werden heißt, ein breites Spektrum von Fähigkeiten zu erwerben, das vom Realisieren der poetischen Funktion der Literatur über die Empathiefähigkeit bis hin zur Lust am Text reicht. Der Beitrag lotet aus, in welcher Weise vor allem die Schule, die außerhalb der Familie Begegnungen mit und Kommunikationen über Literatur herbeiführt und anregt, an der Bildung solcher Leser und Leserinnen mitwirken kann.
Protected Mode
(2005)
Innerhalb der Reihe "GrenzBereiche des Lesens" gehaltener Vortrag. "GrenzBereiche des Lesens" ist eine kulturwissenschaftliche Vortragsreihe, die 2003 und 2004 an der Universität Frankfurt stattfand. Gegenstand von Harald Hillgärtners Untersuchung ist die Frage nach der Lesbarkeit des Computers, vielmehr seiner System- und Programmcodes. Gilt der Computer einerseits als "Textmaschine", die endlose Schreib- und Leseakte prozessiert, so finden jene Programmabläufe doch zumeist jenseits der für alle zugänglichen Benutzeroberflächen statt, die ihrerseits in immer stärkerem Maß mit Icons – Bildern – arbeiten. Und selbst im Falle von frei zugänglichen Software-Codes ist zu fragen, um welche Art Text es sich hier handelt – ob in diesen Fällen gar von Literatur die Rede sein kann. Insofern ist die Frage nach der Lesbarkeit des Computers nicht nur eine Frage nach der Zukunft des Lesens (geht es um Sinn oder um Information?) sondern vielmehr nach dem (Zu-)Stand unserer Schriftkultur selbst.
Der Beitrag greift zwei recht kontaktsensitive und dennoch wenig erforschte sprachlichkommunikative Sonderbereiche auf, und zwar die Verwendung von (a) Eigennamen und von (b) Schelt- bzw. Schimpfausdrücken sowie Flüchen. All diese Phänomene sind offenbar universale Komponenten von Sprachen (vgl. auch Haspelmath 2002: 277; Geier-Leisch 1998: 7 f.). An diesem empirischen Material will der Beitrag im Einzelnen ermitteln, wie Kontaktund Interaktionsphänomene in gemischtsprachigen Diskursen unter Bedingungen einer transkulturellen Mehrsprachigkeit auftreten, wobei ihre Realisationsstrukturen, -typen und -klassen erschlossen sowie ihr Funktionieren hinterfragt werden. Letzten Endes soll anhand der Auseinandersetzung mit einer vitalen und hochkomplexen Kontaktsituation von Sprachen bzw. Varietäten der sprachkommunikative Umgang mit Eigennamen und Sonderlexik aus der Perspektive der deutschen Sprache im Kräftefeld zwischen typologischer Tradition und sukzessiver Innovation beschrieben werden, um damit gleichzeitig relevante Bausteine zur Modellierung des Kontaktprozesses zu erarbeiten.
In der sog. Edo-Zeit (1603–1867) durften sich in Japan von den Europäern nur Niederländer (Holländer) aufhalten und Handel treiben. Folglich mussten Deutsche manchmal als „Bergholländer“ ausgegeben werden und ihre Sprache dementsprechend als „Bergholländisch“ (vgl. GAD 1996: 3). Vor dem Hintergrund dieses nicht unspektakulären Beispiels erhält nun die als Überschrift des vorliegenden Beitrags dienende Fragestellung auch eine historisch-interkulturelle Legitimation. CIRKO (2004: 131 ff.) ging kürzlich dem Fundamentalproblem nach, was überhaupt Sprache sei; mein Aufsatz will spezifizierend die Vielschichtigkeit des Begriffs "deutsche Sprache" reflektieren, genauer: wie ihr Konzept und ihre Architektur sind, insbesondere angesichts ihrer weitgehenden Regionalität, Variation und Heterogenität. So soll der vorliegende Beitrag das Phänomenfeld der arealen Varianz im Ensemble der deutschen Gegenwartssprache hinterfragen, differenzieren und interpretieren. Dabei geht es vorrangig darum, die Binnenverhältnisse des Deutschen in diesem Argumentationszusammenhang zu modellieren und eine Systematik der Regionalität am Beispiel des Deutschen zu erarbeiten.
Der Aufsatz diskutiert grammatische Aspekte von authentischen Sprachgebrauchsstrukturen in einem komplexen Kontakt- und Integrationsraum von mehreren Sprachen und Kulturen. Als empirisches Illustrationsmaterial dient ein umfangreiches kontaktlinguistisches Feldforschungsprojekt im ungarndeutschen Ort Hajosch/Hajós (Komitat Batsch-Kleinkumanien / Bács-Kiskun). Anhand von dort ermittelten Sprechprodukten zwei- bzw. mehrsprachiger Sprecher werden vielgestaltige sprachlich-kommunikative Kontakt-, Konvergenz- und Interaktionsphänomene grammatischer Natur identifiziert. Ihre Analyse ergab, dass die exemplarisch untersuchte Diskursgemeinschaft beim Umgang mit morphosyntaktischen Phänomenen zahlreiche und vor allem mannigfaltige Formen von Hybridität hervorbringt. Die erschlossenen Phänomenklassen und -typen scheinen für transkulturelle Zusammenhänge generell verallgemeinerbar zu sein.
Die moderne Gesellschaft ist von Veränderungen epistemischer und institutioneller Strukturmerkmale der Wissenschaft geprägt, die ihrerseits einen Wandel in anderen Bereichen der Gesellschaft auslösen. In diesem Zusammenhang – wie auch in der neuzeitlichen Wissenschaftsentwicklung überhaupt – kommt der Sprachlichkeit, dem Kulturphänomen "Wissenschaftssprache", eine eminente Rolle zu, etablierte sich doch in den letzten Jahrzehnten eine „linguistische Teildisziplin der Wissenschaftssprachforschung“ (vgl. KRETZENBACHER 1992: 1; HESS-LÜTTICH 1998). "Wissenschaft" scheint mir jedoch ein (interkultureller) Problembegriff zu sein, beispielsweise auch schon deswegen, da dieses Wort (samt seinen Ableitungen wie Wissenschaftler, wissenschaftlich, Wissenschaftlichkeit) stark kulturbedingt ist (vgl. CLYNE/KREUTZ 2003: 60); so korreliert etwa der deutsche Terminus Wissenschaft nicht mit dem englischen science etc. Das Englische kann zweifellos auf eine konkurrenzlose Karriere als wissenschaftliche Universalsprache zurückblicken: Wissenschaftler – auch deutschsprachige – bedienen sich bei der Veröffentlichung wichtiger Forschungsergebnisse zunehmend der englischen Sprache. Der Anteil der wissenschaftlichen Publikationen auf Englisch beträgt heute weltweit über 90 Prozent, während nur noch wenige Prozent des wissenschaftlichen Publikationsaufkommens deutschsprachig sind. Auch die Zahl der wissenschaftlichen Tagungen (selbst im deutschen Sprach- und Kulturraum), die ausschließlich Englisch als Konferenzsprache zulassen, nimmt stetig zu. Außerdem werden immer mehr Vorlesungen bzw. ganze Studiengänge an sonst deutschsprachigen Universitäten in Englisch angeboten. „Die Spitzenforschung spricht englisch“ – stellte der spätere Präsident der Max-Planck-Gesellschaft, Hubert Markl, bereits vor zwanzig Jahren lapidar fest (Quelle: DUZ, 22/2002, S. 12). Gleichwohl wird immer wieder – oft etwas euphorisch – auf Ostmittel-, Ost- und Südosteuropa verwiesen, die traditionell als ein Refugium des Deutschen u.a. auch als Wissenschaftssprache galten bzw. auf weiten Strecken nach wie vor gelten. So kann exemplarisch die „Physikalische Zeitschrift der Sowjetunion“ erwähnt werden, die von 1932 bis 1937 auf Deutsch erschien. In diesem interessanten und zugleich äußerst komplexen Spannungsfeld soll es sich im vorliegenden Beitrag um das Thema ‘Sprachen in den Wissenschaften’ als Denk- und Darstellungsmedia handeln. Dabei soll zum einen die Problematik der Mehrsprachigkeit der Wissenschaften (mit besonderer Berücksichtigung des Deutschen) im mehrsprachigen, multikulturellen und kultursensiblen Kontaktraum Mittel- und Osteuropa angesprochen werden, zum anderen – weil ja auf unserer Tagung auch andere Teilareale, wie z.B. Rumänien, vertreten sind – soll der besondere Schwerpunkt auf Ungarn liegen. Hauptziel der Erörterungen besteht darin, die Entwicklung der in dieser Region wirksamen Wissenschaftssprachen diachron herauszuarbeiten, den derzeitigen Stand für die Bereiche Sprachen in der akademischen Lehre, Forschungssprachen (d.h. Sprachen der Forschungskommunikation) und Publikationssprachen – auch mit Hilfe empirischer Daten – mehrperspektivisch zu dokumentieren und aktuelle Tendenzen reflektorisch aufzuzeigen.
A correct evaluation of the Slavic evidence for the reconstruction of the Indo- European proto-language requires an extensive knowledge of a considerable body of data. While the segmental features of the Slavic material are generally of corroborative value only, the prosodic evidence is crucial for the reconstruction of PIE. phonology. Due to the complicated nature of Slavic historical accentology, this has come to be realized quite recently.1 As a result, much of the earlier literature has become obsolete to the extent that it is based upon an interpretation which does not take the multifarious accentual developments into account. I shall give one example.
This paper addresses remarks made by Flemming (2003) to the effect that his analysis of the interaction between retroflexion and vowel backness is superior to that of Hamann (2003b). While Hamann maintained that retroflex articulations are always back, Flemming adduces phonological as well as phonetic evidence to prove that retroflex consonants can be non-back and even front (i.e. palatalised). The present paper, however, shows that the phonetic evidence fails under closer scrutiny. A closer consideration of the phonological evidence shows, by making a principled distinction between articulatory and perceptual drives, that a reanalysis of Flemming’s data in terms of unviolated retroflex backness is not only possible but also simpler with respect to the number of language-specific stipulations.
The present study shows that though retroflex segments can be considered articulatorily marked, there are perceptual reasons why languages introduce this class into their phoneme inventory. This observation is illustrated with the diachronic developments of retroflexes in Norwegian (North- Germanic), Nyawaygi (Australian) and Minto-Nenana (Athapaskan). The developments in these three languages are modelled in a perceptually oriented phonological theory, since traditional articulatorily-based features cannot deal with such processes.
Dutch has a three-way contrast in labiodental sounds, which causes problems for native speakers of German in their acquisition of Dutch, since German contrasts only two labiodentals. The present study investigates the perception of the Dutch labiodental fricative system by German L2 learners of Dutch and shows that native Germans with no or little knowledge of the Dutch language categorize the Dutch labiodental voiced fricative and approximant as their native voiced fricative. Advanced learners, however, succeed in acquiring a category for the voiced fricative, illustrating that plasticity in the perception of a second language develops with the amount of exposure to the language.
Theories of cognition that are based on information processing and representation are reactive (Rosen, 1985) or backwards looking, not anticipatory. In a previous article (Thibault, 2005a), I looked at the reasons why humans and bonobos do not need an innate language faculty in order to be minded, languaging beings. The present article takes up some of the questions explored there, but, it asks, on the other hand, what sort of a minded agent has language and what kind of account of language and more broadly meaning do we need to explain minded, languaged agents and the activities they participate in? Following Rosen (1985), I also take up and further develop a point first raised in Thibault (2004a: 187) on language as an anticipatory system, rather than a reactively ‘representational’ one (see also Bickhard, 2005).
Vores interesse for logotyper tager sit udgangspunkt to steder: I vores fælles interesse for henholdsvis visuelle kommunikationsformer og de måder, hvorpå virksomheder kommunikerer med deres omverden. Vores interesse for visuelle kommunikationsformer er overvejende praktisk funderet, da Christian driver Øje for Øje illustration ved siden af studierne, og Henrik er freelancefotograf. Specialet her er dog udtryk for en lyst til undersøge teorien bag visuel kommunikation. Interessen for virksomheders kommunikation er stadig overvejende teoretisk funderet. Vi har med vores fælles uddannelsesbaggrund i Nordisk og Virksomhedskommunikation haft rig lejlighed til, på et teoretisk niveau, at beskæftige os med generel kommunikationsteori og mere specifik virksomhedskommunikationsteori. Disse to interesseområder smelter sammen i vores intention om at belyse logotyper, der er en kommunikationsform, vi alle konfronteres med dagligt - for langt de flestes vedkommende dog uden at det afføder nogen nævneværdig undren. Vi undrer os imidlertid over at logotypen, så vidt vi har kunnet konstatere, hidtil er blevet overset af sprogteoretikere og aldrig er blevet underkastet en stringent metodisk videnskabelig undersøgelse som en selvstændig kommunikationsform. Det ønsker vi med dette speciale at tage de første skridt til at ændre. Vi mener, at det er relevant at tage hul på undersøgelsen af logotyper som selvstændig kommunikationsform, fordi tendensen i de vestlige samfund peger i retning af, at det nuværende samfunds hyperkompleksitet (Qvortrup 2000) langt fra har nået sin kulmination. I det hyperkomplekse samfund vil efterspørgslen efter simple kommunikationsmekanismer, der kan sammenkæde eller overføre store mængder af information og dermed reducere kompleksitet, stige. Som undersøgelsen i specialet vil vise, er logotyper netop en kommunikationsform af den simpelhed, der vil blive efterspurgt i det hyperkomplekse samfund. Paradoksalt nok spiller logotyper i kraft af deres simplicitet en forbløffende stor rolle for moderne virksomheder. Det er ikke uden årsag at noget af det første, grundlæggeren af en moderne virksomhed sætter sine kræfter ind på, er at finde det rigtige navn til virksomheden og i forlængelse heraf at få skabt den rigtige logotype. Først i det øjeblik disse to identifikatorer er på plads, begynder den ny virksomhed at føles manifest. Logotypen spiller rollen som bærer af identitet, og som specialet vil vise, afføder det hyperkomplekse samfund kravet om en fortættet identitet.
War and death in business : some remarks on the nature of conceptualisation in the field economy
(2005)
The history of Slavic accentuation is complex. As a result, the significance of the Slavic accentual evidence is not immediately obvious to the average Indo-Europeanist. In this contribution I intend to render the material more easily accessible to the non-specialist. I shall focus on the Serbo-Croatian dialectal area, where the Proto-Slavic accentual system is better preserved than elsewhere. The main point of reference will be the neo-Štokavian system which was codified in the 19th century as a basis for the standard languages.
Holger Pedersen’s "Études lituaniennes" reflects the issues under discussion at the time of its publication (1933). Its five unequal chapters deal with the following topics: I. The Lithuanian future and its Indo-European origins: the sigmatic formation, the 3rd person zero ending, the short root vowels e and a, the shortening and metatony in the 3rd person, and the future participle. II. The accentuation of nouns in Lithuanian: accentual mobility in the Indo- European consonant stems and its absence in the o-stems, the origins of accentual mobility in Lithuanian nominal paradigms, the accentuation of separate case forms, and accentual peculiarities of the adjective. III. The acute tone of the root in consonant stems. IV. The past active participle. V. Secondary vocalic alternations: new vowel length and new acute tone.
The highly successful conference on Balto-Slavic accentology organized by Mate Kapovic and Ranko Matasovic has given much food for thought. It has clarified the extent of fundamental disagreements as well as established areas of common interest where the evidence seems to be ambiguous. In the following I shall comment upon some of the papers presented at the conference which are directly relevant to my own research.
Hittite ammuk 'me'
(2005)
In the Indo-European department of Leiden University, Alwin Kloekhorst has initiated a discussion on Hittite ammuk ‘me’. The central question is: where did the geminate come from? This has led me to reconsider the origin of the Indo-European personal pronouns against the background of my reconstruction of Indo-Uralic (2002: 221-225). For the historical data I may refer to Schmidt (1978).
Erdvilas Jakulis’ thorough, detailed and comprehensive study (2004) is an important contribution to our reconstruction of the Balto-Slavic verbal system. The following remarks are intended to complement his findings from a Slavic perspective. Jakulis demonstrates that the type of Lith. tekèti, teka ‘flow’ is largely of East Baltic provenance. He finds it difficult to identify the same type in Old Prussian.
It is gratifying to see that Jay Jasanoff has now (2004) adopted my theory that "the Balto-Slavic acute was a kind of stød or broken tone" (p. 172), which I have been advocating since 1973. Unfortunately, his acceptance of my view is not based on an evaluation of the comparative evidence (for which see Kortlandt 1985a) but on his desire to derive Balto-Slavic “acute” and "circumflex" syllables from the "bimoric" and "trimoric" long vowels which he assumes for Proto-Germanic as the reflexes of the Indo-European "acute" and "circumflex" tones of the neogrammarians. Since the original "circumflex" was limited to Indo-European VHV-sequences, Jasanoff proposes a whole series of additional lengthenings yielding "hyperlong" vowels in Germanic, Baltic and Slavic, which still do not suffice to eliminate the counter-evidence (cf. Kortlandt 2004b: 14). The reason for this failure is his unwillingness to recognize that lengthened grade vowels are circumflex in Balto-Slavic (cf. Kortlandt 1997a).
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].
Seit der zweiten Hälfte des letzten Jahrhunderts zieht die Übersetzung im Fremdsprachenunterricht (FSU) das Interesse der Fremdsprachendidaktiker auf sich. In den anhaltenden Diskussionen über den Stellenwert der Übersetzung im FSU bestehen aber immer noch verschiedene Meinungen. Die Meinungsverschiedenheiten beruhen vor allem auf diversen miteinander konkurrierenden Lerntheorien und damit auch auf unterschiedlichen methodischen Prinzipien. Im Zusammenhang mit den herrschenden didaktischen Richtungen und mit den unterschiedlichen Lernzielen, die im Fremdsprachenunterricht verfolgt werden können, wird auch die Übersetzung unter mehreren Gesichtspunkten betrachtet und bewertet. Hinsichtlich der Funktion der Übersetzung ist es inzwischen üblich geworden, zwischen zwei Verwendungsweisen zu unterscheiden: Einerseits wird die Übersetzung als ein methodisches Mittel zur Festigung, Erweiterung und Prüfung sprachlicher Fertigkeiten angewendet, andererseits ist sie als eine eigene Fertigkeit selbst ein Übungs- und Unterrichtsziel.
Die Durchführung kontrastiver Untersuchungen setzt vor allem eine gründliche Beschreibung der zu vergleichenden Sprachen auf der Grundlage eines Grammatikmodells voraus. Kontrastive Arbeiten zum Sprachenpaar Deutsch/Türkisch, die diese Bedingung erfüllen, finden sich nur selten. Das dürfte auf die nur bedingt vergleichbaren Strukturen der besagten Sprachen zurückzuführen sein. Zwar existiert die semantische Kategorie Reflexivum im Deutschen und im Türkischen. In vielen Fällen ist es jedoch nicht möglich, die Existenz eines syntaktischen und semantischen Reflexivums in den beiden Sprachen nachzuweisen. Im folgenden Beitrag soll der Versuch unternommen werden, dieses Problem anhand eines Vergleichs der reflexiven Konstruktionen im Deutschen und im Türkischen zu verdeutlichen.
Die Durchführung kontrastiver Untersuchungen setzt vor allem eine gründliche Beschreibung der zu vergleichenden Sprachen auf der Grundlage eines Grammatikmodells voraus. Kontrastive Arbeiten zum Sprachenpaar Deutsch/Türkisch, die diese Bedingung erfüllen, finden sich nur selten. Das dürfte auf die nur bedingt vergleichbaren Strukturen der besagten Sprachen zurückzuführen sein. Zwar existiert die semantische Kategorie Reflexivum im Deutschen und im Türkischen. In vielen Fällen ist es jedoch nicht möglich, die Existenz eines syntaktischen und semantischen Reflexivums in den beiden Sprachen nachzuweisen. Im folgenden Beitrag soll der Versuch unternommen werden, dieses Problem anhand eines Vergleichs der reflexiven Konstruktionen im Deutschen und im Türkischen zu verdeutlichen.
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.
This work investigates laryngeal and supralaryngeal correlates of the voicing contrast in alveolar obstruent production in German. It further studies laryngealoral co-ordination observed for such productions. Three different positions of the obstruents are taken into account: the stressed, syllable initial position, the post-stressed intervocalic position, and the post-stressed word final position. For the latter the phonological rule of final devoicing applies in German. The different positions are chosen in order to study the following hypotheses:
1. The presence/absence of glottal opening is not a consistent correlate of the voicing contrast in German.
2. Supralaryngeal correlates are also involved in the contrast.
3. Supralaryngeal correlates can compensate for the lack of distinction in laryngeal adjustment.
Including the word final position is motivated by the question whether neutralization in word final position would be complete or whether some articulatory residue of the contrast can be found.
Two experiments are carried out. The first experiment investigates glottal abduction in co-ordination with tongue-palate contact patterns by means of simultaneous recordings of transillumination, fiberoptic films and Electropalatography (EPG). The second experiment focuses on supralaryngeal correlates of alveolar stops studied by means of Electromagnetic Articulography (EMA) simultaneously with EPG. Three German native speakers participated in both recordings. Results of this study provide evidence that the first hypothesis holds true for alveolar stops when different positions are taken into account. In fricative production it is also confirmed since voiceless and voiced fricatives are most of the time realised with glottal abduction. Additionally, supralaryngeal correlates are involved in the voicing contrast under two perspectives. First, laryngeal and supralaryngeal movements are well synchronised in voiceless obstruent production, particularly in the stressed position. Second, supralaryngeal correlates occur especially in the post-stressed intervocalic position. Results are discussed with respect to the phonetics-phonology interface, to the role of timing and its possible control, to the interarticulatory co-ordination, and to stress as 'localised hyperarticulation'.
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.
Son yıllarda Avrupa’daki toplumsal ve siyasal gelişmeler her alanda olduğu gibi eğitim alanında da köklü değişimleri beraberinde getirmiştir. Avrupa Birliğindeki bu gelişmeler, aynı zamanda birden çok yabancı dil öğrenme gereksiniminin artmasına da yol açmıştır. Böylece, yabancı dil öğretimi ve izlenecek yabancı dil politikası gittikçe önem kazanmaya başlamıştır. Bu bağlamda Avrupa Konseyi, yabancı dil öğretiminin daha etkin ve verimli olmasını sağlayacak yeni düzenlemeler yapmayı öncelikli görevleri arasına almıştır. Avrupa Birliği ülkelerinde dil ve kültür çeşitliliği korunması ve geliştirilmesi gereken bir zenginlik olarak değerlendirilmektedir. Bu düşünceye uygun olarak tüm Avrupa Birliği ülkelerinde “Avrupa Konseyi Yabancı Diller Eğitimi Ortak Kriterleri” çerçevesinde yabancı dil eğitim-öğretim izlencelerinin oluşturulmasına, ders araç-gereçleri geliştirilmesine, aynı zamanda bireylerin yabancı dil düzeylerinin saptanması ve belgelendirilmesinde ortak ölçütlerin belirlenmesine ve böylece bireylerde yaşam boyu yabancı dil öğrenme bilinci oluşturmaya çalışılmaktadır. Ne var ki, bu durum Avrupa Birliğine aday ülkeler arasında yer alan ülkemiz için geçerli değildir. Oysa, Avrupa Birliğine tam üyelik sürecinde değişen koşullarına uygun olarak yabancı dil eğitim politikamızın yeniden gözden geçirilmesi ve “Avrupa Konseyi Yabancı Diller Ortak Kriterleri”ne uygun izlencelerin geliştirilmesi kaçınılmaz görünmektedir. Bu bağlamda, ülkemizde yabancı dil olarak tek bir dilin egemenliğine dayalı yabancı dil öğretimi yerine, öğretim programlarında farklı dil seçeneklerine yer verilerek, her yaş grubuna ve toplumun her kesimine uygun programlarla yabancı dil öğretimi yaygınlaştırılmalı ve buna uygun yabancı dil politikaları geliştirilmelidir.
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/.
This paper discusses the typology of focus structure types (variation of information structuring in the clause) and how information structure can be used to explain all of the word order patterns in Chinese without reference to grammatical relations.
This paper discusses the nature of habits in the use of languages. It is well-known that the habits of one's first language can influence the acquisition of a second language. This paper discusses the less well-known phenomenon of how an acquired second language can influence one's first language, and explains this influence by reference to the nature of communicative behavior.
(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].
In order to understand the functional morphology of the human voice producing system, we are in need of data on the vocal tract anatomy of other mammalian species. The larynges and vocal tracts of four species of Artiodactyla were investigated in combination with acoustic analyses of their respective calls. Different evolutionary specializations of laryngeal characters may lead to similar effects on sound production. In the investigated species, such specializations are: the elongation and mass increase of the vocal folds, the volume increase of the laryngeal vestibulum by an enlarged thyroid cartilage and the formation of laryngeal ventricles. Both the elongation of the vocal folds and the increase of the oscillating masses lower the fundamental frequency. The influence of an increased volume of the laryngeal vestibulum on sound production remains unclear. The anatomical and acoustic results are presented together with considerations about the habitats and the mating systems of the respective species.
Low- dimensional and speaker-independent linear vocal tract parametrizations can be obtained using the 3-mode PARAFAC factor analysis procedure first introduced by Harshman et al. (1977) and discussed in a series of subsequent papers in the Journal of the Acoustical Society of America (Jackson (1988), Nix et al. (1996), Hoole (1999), Zheng et al. (2003)). Nevertheless, some questions of importance have been left unanswered, e.g. none of the papers using this method has provided a consistent interpretation of the terms usually referred to as "speaker weights". This study attempts an exploration of what influences their reliability as a first step towards their consistent interpretation. With this in mind, we undertook a systematic comparison of the classical PARAFAC1 algorithm with a relaxed version, of it, PARAFAC2. This comparison was carried out on two different corpora acquired by the articulograph, which varied in vowel qualities, consonantal contexts, and the paralinguistic features accent and speech rate. The difference between these statistical approaches can grossly be described as follows: In PARAFAC1, observation units pertain to the same set of variables and the observation units are comparable. In PARAFAC2, observations pertain to the same set of variables, but observation units are not comparable. Such a situation can be easily conceived in a situation such as we are describing: The operationalization we took relies on the comparability of fleshpoint data acquired from different speakers, which need not be a good assumption due to influences like sensor placement and morphological conditions.
In particular, the comparison between the two different approaches is carried out by means of so-called "leverages" on different component matrices originating in regression analysis, calculated as v = diag(A(A A)−1A ) and delivering information on how "influential" a particular loading matrix is for the model. This analysis could potentially be carried out component by component, but we confined ourselves to effects on the global factor structure. For vowels, the most influential loadings are those for the tense cognates of non-palatal vowels. For speakers, the most prominent result is the relative absence of effects of the paralinguistic variables. Results generally indicate that there is quite little influence of the model specification (i.e. PARAFAC1 or PARAFAC2) on vowel and subject components. The patterns for the articulators indicate that there are strong differences between speakers with respect to the most influential measurement as revealed by PARAFAC2: In particular, the most influential y-contribution is the tongue-back for some talkers and the tongue-dorsum for other speakers. With respect to the speaker weights, again, the leverage patterns are very similar for both PARAFAC-versions. These patterns converge with the results of the loading plots, where the articulator profiles seem to be most altered by the use of PARAFAC2. These findings, in general, are interpreted as evidence for the reliability of the PARAFAC1 speaker weights.
Four speakers repeated 8 times 15 sentences containing 'pVp' syllables (V being /a/, /i/ and /u/). The 'pVp' syllables were located in final, penultimate and antepenultimate position relatively to the Intonational Phrase (IP) boundary. They were embedded in lexical words of 1-3 syllables and were either word-initial or word-final. Results show that the closer the vowel in word-final position is to the IP boundary, the longer the duration and the higher the fundamental frequency of the vowel; it is also characterised by larger lip opening gestures. The potential reduction or coarticulation of vowels in wordinitial position compared to their counterparts in word-final position is discussed.
In der deutschsprachigen Schweiz stehen sich gesprochene Mundarten und geschriebene Standardsprache gegenüber. Außer in formellen Situationen wird Mundart gesprochen, und bis vor kurzem wurde nur selten Mundart geschrieben, sondern die hochdeutsche Schriftsprache. Die Chat-Kommunikation zeigt einerseits durch die nicht-zeitversetzte quasi-direkte Kommunikation wesentliche Züge von Mündlichkeit, die zusammen mit der Informalität im Chat den Mundartgebrauch fördert. Andererseits ist das Medium immer noch die Schrift, welche die Domäne der Standardsprache darstellt. Mundart und Standardsprache stehen sich also in Chaträumen in direkter Konkurrenz gegenüber. Der folgende Beitrag analysiert quantitativ und qualitativ das Neben- und Miteinander der beiden Varietäten in Schweizer Chaträumen und untersucht das Vorkommen und die Bedingungen von Code-Alternation und Code-Switches.
A survey of 170 Tibeto-Burman languages showed 69 with a distinction between inclusive and exclusive first-person plural pronouns, 18 of which also show inclusive- exclusive in Idual. Only the Kiranti languages and some Chin languages have inclusive-exclusive in the person marking. Of the forms of the pronouns involved in the inclusive-exclusive opposition, usually the exclusive form is less marked and historically prior to the inclusive form, and we find the distinction cannot be reconstructed to Proto-Tibeto-Burman or to mid level groupings. Qnly the Kiranti group has marking of the distinction that can be reconstructed to the proto level, and this is also reflected in the person-marking system.
Typology and complexity
(2005)
For the Workshop I was asked to talk about complexity in language from a typological perspective. My way of approaching this topic was to ask myself some questions, and then see where the answers led. The first one was of course, "What sort of system are we looking at complexity in - what kind of system is language?"
Chao Yuen Ren (1892–1982)
(2005)
Y. R. Chao is easily the most famous linguist to have come out of China. Born before the end of the last dynasty in China, he received a traditional Confucian education, but was also one of the first Chinese people to be sent to the West for training in modern Western science (under the Boxer Indemnity Fund). The remarkable breadth and scope of his studies included physics, mathematics, linguistics, musical and literary composition, and translation, and he was a pioneer in many of these fields.
In regionalen Schweizer Chaträumen stellt die Mundart mit Anteilen um 80% bis 90% die unmarkierte Varietät dar. Chats bieten somit einen Einblick in die individuell geprägte Verschriftung der Schweizer Dialekte, die sich einerseits regional verschieden präsentiert und andererseits fern von Vereinheitlichungstendenzen liegt. Durch diese Normierungsferne lässt sich aus den Chatdaten in groben Zügen eine Sprachgeographie nachzeichnen, wie sie im Sprachatlas der deutschen Schweiz SDS (1962–1997) festgehalten ist. Hier sollen Reflexe der sprachgeographischen Verteilung in der Verschriftung der flektierten Formen von «haben» nachgezeichnet werden. Neben der grundsätzlichen Bestätigung dieser Struktur zeigen sich in der Analyse auch systematisch Abweichungen, die unter Berücksichtigung der Verschriftungsbarriere Hinweise auf Sprachwandel geben können, die jedoch mit authentischen Daten gesprochener Sprache überprüft werden müssen.
Die Prosodie der Mundarten wurde schon früh als auffälliges und distinktes Merkmal wahrgenommen und in mehreren Arbeiten zur Grammatik des Schweizerdeutschen mittels Musiknoten festgehalten (u. a. J. Vetsch 1910, E. Wipf 1910, K. Schmid 1915, W. Clauss 1927, A. Weber 1948), wobei schon A. Weber (1948, S. 53) anmerkt, "dass sich der musikalische Gang der Rede nicht ohne Gewaltsamkeit mit der üblichen Notenschrift darstellen lässt". Da also eine adäquate Kodierung, eine theoretische Grundlage und die notwendigen phonetischen Instrumente zur Intonationsforschung fehlten, wurden diese ersten Ansätze nicht aus- und weitergeführt. Erst in der Mitte des 20. Jahrhunderts brachte die technische Entwicklung Instrumente zur Messung der Prosodie hervor, die nun durch die Popularisierung der entsprechenden Computerprogramme im Übergang zum 21. Jahrhundert für die linguistische Forschung intensiv und breit genutzt werden können.
Articulatory token-to-token variability not only depends on linguistic aspects like the phoneme inventory of a given language but also on speaker specific morphological and motor constraints. As has been noted previously (Perkell (1997), Mooshammer et al. (2004)), speakers with coronally high "domeshaped" palates exhibit more articulatory variability than speakers with coronally low "flat" palates. One explanation for that is based on perception oriented control by the speaker. The influence of articulatory variation on the cross sectional area and consequently on the acoustics should be greater for flat palates than for domeshaped ones. This should force speakers with flat palates to place their tongue very precisely whereas speakers with domeshaped palates might tolerate a greater variability. A second explanation could be a greater amount of lateral linguo-palatal contact for flat palates holding the tongue in position. In this study both hypotheses were tested.
In order to investigate the influence of the palate shape on the variability of the acoustic output a modelling study was carried out. Parallely, an EPG experiment was conducted in order to investigate the relationship between palate shape, articulatory variability and linguo-palatal contact.
Results from the modelling study suggest that the acoustic variability resulting from a certain amount of articulatory variability is higher for flat palates than for domeshaped ones. Results from the EPG experiment with 20 speakers show that (1.) speakers with a flat palate exhibit a very low articulatory variability whereas speakers with a domeshaped palate vary, (2.) there is less articulatory variability if there is lots of linguo-palatal contact and (3.) there is no relationship between the amount of lateral linguo-palatal contact and palate shape. The results suggest that there is a relationship between token-to-token variability and palate shape, however, it is not that the two parameters correlate, but that speakers with a flat palate always have a low variability because of constraints of the variability range of the acoustic output whereas speakers with a domeshaped palate may choose the degree of variability. Since linguo-palatal contact and variability correlate it is assumed that linguo-palatal contact is a means for reducing the articulatory variability.
The following essay discusses the possibilities of integrating linguistic and semantic aspects of teaching German as a Foreign Language in secondary schools in Santa Catarina using an interculturally orientated approach. Drawing on the insight that 'otherness' is a relational notion, so that the image we create of 'the other' depends essentially on the understanding of one's own culture and the histories, values and social reality inscribed in it, the article proposes a didactic approach that uses the teaching of morpho-syntactic structures to instigate intercultural reflections. Moreover, to be able to fully exploit the potential of divergent notions of 'self' and 'otherness' in the language classroom, teaching activities are proposed that allow learners to respond individually to the material presented. The article proposes and discusses various didactic activities that allow the teacher to use the course book in order to create and explore interculturally significant material.
In the theoretical context of Critical Applied Linguistics, this paper examines two aspects that are important for a consideration of the possible imaginaries that permeate the contact between a Brazilian student and German as a foreign language. I analyze the possible consequences of the argument that German is a very "cultivated" and difficult language, as well as the lack of incentive, in didactic material, for reflections on the peculiarities of a possible contact between a Brazilian student and the German language or a native speaker of that language. Finally, this paper intends to discuss whether if there is any didactic material used for teaching of German in Brazil which stimulates the pupils to criticize the peculiarities and the imaginaries that permeate their contact with the German culture and language.