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This paper employs empirical methods to examine verbs such as seem, for which the traditional raising to subject analysis relates pairs of sentences which differ by taking an infinitival or sentential complement. A corpus-driven investigation of the verbs seem and appear demonstrates that information structure and evidentiality both play a determinate role in the choice between infinitival or sentential complementation. The second half of the paper builds upon the corpus results and examines the implications for the standard claims concerning these constructions. First, pairs of sentences related by the subject-to-subject raising analysis of verbs are often viewed as equivalent. New evidence from indefinite generic subjects shows that whether an indefinite generic subject occurs in the infinitival or sentential complement construction leads to truth-conditional differences. Further implications are explored for the claim that subjects of the infinitival variant may take narrow-scope: once various confounds are controlled for, the subject of the infinitival construction is shown to most naturally take wide-scope.
Seit einem Jahrzehnt zählt Russisch zu den häufig gesprochenen Migrationssprachen an deutschen Schulen und rückt nun als weitere Lernersprache in den Fokus der linguistischen Migrationsforschung. Russischsprachige Schüler und Schülerinnen, die als Aussiedler vornehmlich aus Russland und Kasachstan immigrieren, bilden seit Beginn der 90er Jahre die bedeutendste Gruppe jugendlicher Einwanderer nach Deutschland. Aussiedlerjugendliche erhalten zwar in den meisten Fällen kurz nach ihrer Einreise die deutsche Staatsangehörigkeit, diese ist jedoch längst kein Garant mehr für eine reibungslose Integration. Neuere Befunde zeigen, dass eine wachsende Zahl junger AussiedlerInnen aus den GUS-Staaten Gefahr läuft, den Anschluss an eine adäquate schulische und berufliche Ausbildung zu verpassen (vgl. Dietz/Roll 1998, Strobl/Kühnel 2000). Ihre Bildungsbeteiligung hat sich der benachteiligten Bildungssituation anderer Immigrantenjugendlicher angenähert.
One of the most important insights of Optimality Theory (Prince & Smolensky 1993) is that phonological processes can be reduced to the interaction between faithfulness and universal markedness principles. In the most constrained version of the theory, all phonological processes should be thus reducible. This hypothesis is tested by alternations that appear to be phonological but in which universal markedness principles appear to play no role. If we are to pursue the claim that all phonological processes depend on the interaction of faithfulness and markedness, then processes that are not dependent on markedness must lie outside phonology. In this paper I will examine a group of such processes, the initial consonant mutations of the Celtic languages, and argue that they belong entirely to the morphology of the languages, not the phonology.
The phenomenon of phonological opacity has been the subject of much debate in recent years, with scholars opposed to the Optimality Theory (OT) research program arguing that opacity proves OT must be false, while the solutions proposed within OT, such as sympathy theory and stratal OT , have proved to be unsatisfying to many OT proponents, who have found these proposals to be inconsistent with the parallelist approach to phonological processes otherwise characteristic of OT. In this paper I reexamine one of the best known cases of opacity, that found in three processes of Tiberian Hebrew (TH), and argue that these processes only appear to be opaque, because previous analyses have treated them as pure phonology, rather than as an interaction between phonology and morphology. Once it is recognized that certain words of TH are lexically marked to end with a syllabic trochee, and that the goal of paradigm uniformity exerts grammatical pressure on phonology, the three processes no longer present a problem to parallelist OT. The results suggest the possibility that all crosslinguistic instances of apparent opacity can be explained in terms of the phonology-morphology interface and that purely phonological opacity does not exist. If this claim is true, then parallelist OT can be defended against its detractors without the need for additional mechanisms like sympathy theory and stratal OT.
The paper starts with a semantic differentiation between the notions of sentence topic and discourse topic. Sentence topic is conceived of as part of a semantic predication in the sense of Y. Kim's work. Discourse topic is defined, as in N. Asher's Segmented Discourse Representation Theory, as a discourse constituent that comprises the content of (part of) the larger discourse.
The main body of the paper serves to investigate the intricate connection between the two types of topic. For restricting the context of investigation, a specific relation between discourse constituents, Elaboration, is chosen. If Elaboration holds between two discourse constituents, one of them can be identified as the explicit discourse topic with respect to the other one. Whereas an elaborating sentence - with or without a sentence topic - is used to infer a 'dimension' for extending the discourse topic, the role of the sentence topic if it occurs is to mark an 'index' for predication along that dimension. The interaction of elaborating sentences and their topics is modelled by means of channel theoretic devices.'
Internals from elaboration
(2001)
Elaboration or Narration, as so-called discourse relations (or rhetorical relations), are modelled in Segmented Discourse Structure Theory (SDRT) as relations between discourse constituents (or constituents for short). These are either propositions that come into being by interpretation of sentences occurring in a text; the propositions then have the status of DRSes. Or, constituents are compounds of such DRSes, constructed from DRSes (or compounds of them) by discourse relations. Elaboration and Narration in that sense, rather than referring to text types, provide links between constituents that allow them to combine in ways that, for a recipient, a resulting text is coherent and has (some) elaborative or narrative properties.
Ida'an-Begak is a Western Malayo-Polynesian language spoken by approximately 6,000 people on the east coast of Sabah, Malaysia, Borneo and belongs to the Sabahan subgroup of the North Borneo subgroup (Blust 1998). Ida'an-Begak has three dialects, Ida'an, spoken in the villages of Segama to the west of Lahad Datu, Ida'an Sungai spoken in the Kinabatangan and Sandakan districts, and Begak spoken in Ulu Tungku, to the east of Lahad Datu (Banker 1984).1 Moody (1993) deals with Ida'an; this paper concentrates on the Begak dialect. In this paper I will present new data gathered in the field and provide an analysis of the allomorphy. The study is based on spontaneous data as well as examples elicited from my language informants.
When in 1934, Robert BLEICHSTEINER published the Caucasian language specimina contained in the "travel book" of the 17th century Turkish writer Evliya Çelebi , he was struck by the amount of reliability he found in Evliya’s notations: "(Die Sprachproben) sind, von einzelnen Mißverständnissen abgesehen, und wenn man die falschen Punktierungen und Irrtümer der Kopisten abrechnet, außerordentlich gut, ja zuweilen mit einem gewissen phonetischen Geschick wiedergegeben, was der Auffassungsgabe und dem Eifer Evliyas ein hohes Zeugnis ausstellt. Man muß bedenken, wie schwer das arabische Alphabet, ohne weitere Unterscheidungszeichen, wie sie die islamischen Kaukasusvölker anwenden, die verwickelten, oft über 70 verschiedene Phoneme umfassenden Lautsysteme wiederzugeben imstande ist. Wenn trotzdem die Entzifferung der Sprachproben zum größten Teil geglückt ist, so muß man der ungewöhnlichen Begabung des türkischen Reisenden und Gelehrten schrankenlose Bewunderung zollen" (85). ...
Daemonica Irano-Caucasica
(1994)
Eine bedeutende, wenn auch bisher vielfach verkannte Nebenüberlieferung iranischen Sprachguts findet sich in den sog. südkaukasischen oder kartvelischen Sprachen, unter denen das Georgische mit seiner im 5. Jh. einsetzenden, umfangreichen literarischen Bezeugung eine vorrangige Stellung einnimmt. Zu den zahlreichen Iranismen, die im Georgischen fest verankert sind, wird seit geraumer Zeit auch das Wort dev- gerechnet. Bereits Davit Cˇ UBINAŠVILI kennzeichnete das Wort in seinem Georgisch-Russischen Wörterbuch von 1887 als "persisch" ("s˙pars[uli]"); er setzte das Substantiv ("s.") mit dem Wort gveleša˙pi "Drachen, Ungeheuer" gleich und führte weiter aus. ...
Nachdem die Domäne des Computers im universitären Einsatz noch bis vor wenigen Jahren im naturwissenschaftlichen Bereich lag, werden elektronische Verfahren heute mehr und mehr auch in den Geisteswissenschaften angewendet. Das primäre Einsatzgebiet liegt dabei zweifellos in der Textverarbeitung; der Computer erweist sich hier als ein universal einsetzbares Hilfsmittel, das die Gestaltung eines Textes von seiner Konzipierung bis zur Drucklegung in der Hand des Autors ermöglicht und herkömmlichen Verfahren somit überlegen ist. ...
Ihre frühesten Sprachzeugnisse hat uns die keltische Bevölkerung der britischen Inseln bekanntlich in einer Anzahl von Steininschriften hinterlassen, die in der sog. Ogamschrift gehalten sind. Der größte Teil dieser Inschriften, von denen rund 300 hauptsächlich aus Südirland und Wales bekannt sind, wird nach allgemeiner Ansicht in die Zeit zwischen dem 4. oder 5. Jh. und dem 8. Jh. n. Chr. datiert. Bis heute ist weder die Entstehung des eigentümlichen Ogamalphabets, das mit keinem anderen Schriftsystem des gegebenen Zeitraums vergleichbar ist, noch die Bedeutung aller Zeichen eindeutig geklärt. ...
Specifics
(2001)
In all these examples there appears to be mismatch between the position at which an indefinite appears and its preferred interpretation. Following many of the more recent contributions to the literature, I will assume that this is the hallmark of specificity (e.g. Ahusch 1994, Reinhart 1997, Winter 1997, van Geenhoven 1998). Such mismatches are not the norm: indefinites are often interpreted in situ, and there is some reason for taking this to be the default option. The reason is that comparatively 'neutral', i.e. semantically attenuate, indefinites have a preference for in situ readings [...].
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.
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 syntax and semantics of the resumptive dependency in hungarian focus-raising constructions
(2004)
Previous work (Gervain, forthcoming) has established that focus-raising may be derived by two strategies in Hungarian. One of them is the traditional movement derivation, the other a resumptive dependency created between the focus constituent base-generated in its matrix focus position and a phonologically null resumptive pronoun in the corresponding argument position in the embedded clause. However, the previous account (Gervain, forthcoming) does not give a detailed description of the nature of this resumptive dependency. The present work aims to address this question. More specifically, by providing a series of empirical tests, it attempts to determine whether the dependency is purely syntactic in nature, i.e. obligatory variable binding, or whether a semantic option is also available, i.e. coreference between the focus constituent and the resumptive pronoun. Thus, it provides new insights into the ongoing debate about the nature of resumptive pronouns.
The ultimate goal of this paper is to find a representation of modality compatible with some basic conditions on the syntax-semantic interface. Such conditions are anchored, for instance, in Chomsky's (1995) principle of full interpretation (FI). Abstract interpretation of modality is, however - be it "only" in semantic terms - already a hard nut to crack, way too vast to be dealt with in any comprehensive way here. What is pursued instead is a case-study-centered analysis. The case in point are the English modals (EM) viewed in their development through time - a locus classicus for a number of linguistic theories and frameworks. The idea will be to start out from two lines of research - continuous grammaticalization vs. cataclysmic change - and to explain some of their incongruities. The first non-trivial point here consists in deriving more fundamental questions from this research. The second, possibly even less trivial one consists in answering them. Specifically, I will argue that regardless of the actual numerical rate of change, there is an underlying and more structured way to account for the notions of change and continuity within the modal system, respectively.
This study examines the movement trajectories of the dorsal tongue movements during symmetrical /VCa/ -sequences, where /V/ was one of the Hungarian long or short vowels /i,a,u/ and C either the voiceless palatal or velar stop consonants. General aims of this study were to deliver a data-driven account for (a) the evidence of the division between dorsality and coronality and (b) for the potential role coarticulatory factors could play for the relative frequency of velar palatalization processes in genetically unrelated languages. Results suggest a clear-cut demarcation between the behaviour of purely dorsal velars and the coronal palatals. Moreover, factors arising from a general movement economy might contribute to the palatalization processes mentioned.
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 this paper we investigate the structure of specificational sentences like [Raskol'nikov]NP 1 - ėto [ubìjca staruxi]NP2 'Raskolnikov - that is the murderer of the old lady' in Russian and Polish, which - depending on the type of NP1 and NP2 - correspond to English pseudo-cleft-constructions (What Raskolnikov is is the murderer of the old lady) and specificational sentences (The person I like most is my father), respectively. We propose that the Slavic constructions can be analysed similarly to their English counterparts: the first fragment contains a semantic variable, which is specified in the second fragment.
We show that the pronouns "ėto" <Rus.> / "to" <Pol.>, which are obligatory in Slavic specificational sentences, have two functions. 1. the deictic function: "ėto/to" take an open proposition available in the discourse or reconstructed from it, and assign this open proposition to another proposition, which provides the value for the variable of the open proposition. 2. the operative function: "ėto/to" link two syntactically independent fragments, the first of which can be semantically interpreted as an indirect question comparable to the wh-clause in the English pseudo-clefts, and the second as an answer to this question.
The present study offers an analysis of the Russian copular constructions with predicate nominals. In such copular sentences two cases may mark the predicate: the nominative and the instrumental as in 'Anna byla medsestra/medsestroj' - 'Anna was-3sg.fem.a nursenom/instr'. In the present tense the copula has a null-form and the predicate nominal can only be in the nominative. I argue that the case alternation corresponds to the distinction of Stage Level and Individual Level Predicates in the sense of Kratzer (1994) and Diesing (1992), but with some objections. The copula with Instrumental forms S-Predicates, which are analyzed as predicates applying to situations referring to time. The copula with nominative forms I-Predicates, which attribute properties to individuals without referring to time. I-Predicates have no situation argument. Data that show the (in-)compatibility of copular sentences with certain spatial or temporal modifiers provide a reason to assume a situation argument in byt' + Instr but not in byt' + Nom.
Byt' behaves differently in different grammatical contexts: in contexts of sentence negation, yes/no-questions and under focus byt' + Instr behaves like a lexical category, while byt' + Nom behaves like a functional category. As a functional category byt' + Nom is non-overt in the present and is always finite. The semantic distinction between nominative and instrumental predicate NPs is pegged to an opposition between a structure with a functional copula as the only tense and agreement marker with base position in TP and a lexical copula in VP (Franks 1995, Bailyn&Rubin 1991). To explain phenomena of the copula in Russian I propose an integrated syntactic model for two copulas. The two copulas may be conceived as distinct realizations of one verbal lexical entry which will be specified as a lexical or as functional category in the course of lexical insertion. The Model of Parallel Morphology might be used to explain this phenomenon.
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.
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.
This article discusses some syntactic peculiarities of Chinese yes/no questions. Starting from the observation that Standard Mandarin shares significant typological features with prototypical SOV languages, Chinese is treated as an underlyingly verb-final language. Based on this heuristic principle, A-not-AB, AB-not-A and AB-not questions are uniformly derived by means of one simple raising rule that operates within the sentence constituent V'. This novel idea is elaborated on in great detail in the first part of the article. In contrast to the prevailing trend, it is argued that the question operator contained in A-not-A and A-not sentences CANNOT be raised to "Comp". In consequence, A-not-A and A-not questions are "typed" in the head position of a sentence-internal functional phrase that we call Force2 Phrase (F2P) in the present paper. This position is not to be confused with Drubig's (1994) Polarity 1 Phrase (PollP), in the head position of which assertive negations and an abstract affirmative element are located. The existence of a head position F2° other than Poll° is supported by the fact that F2° can be occupied by certain overt question operators, such as assertive shi-bu-shi, which are compatible with negations. In contrast to the assertive question operator shi-bu-shi which is obligatorily associated with information focus, non-assertive shi-bu-shi serves as a compound focus and question operator whose focus feature is complex insofar as it is composed of two subfeatures: a contrastivity and an exhaustivity subfeature. Non-assertive shi-bu-shi is obligatorily associated with identificational focus in the sense of Kiss (1998). In accordance with some basic ideas of Chomsky's checking theory, the two subfeatures of the complex focus feature carried by the non-assertive shi-bu-shi operator check a correlating subfeature in the head position of a corresponding functional phrase (Contrastive Phrase and Focus Phrase, respectively). The question feature contained in the non-assertive shi-bu-shi operator is attracted by the head of Force1 Phrase (F1') at the level of LF. Due to the fact that F1° is sentence-final, the question feature of non-assertive shi-bu-shi must be Chomsky-adjoined to F1'. Unlike identificational focus phrases which are inherently contrastive, topics are non-contrastive in the default case. As separate speech acts, they are located in a c-commanding position outside the sentence structure. Semantically, there is a difference between Frame-Setting Topics and Aboutness Topics. As shown in the article, both A-not-A and A-not questions on the one hand and yes/no questions ending with ma on the other can be used in neutral and non-neutral contexts. The decisive advantage of mu questions, however, is that their question operator has scope over the whole sentence.
In this article, I will present a survey of control structures in Korean. The survey is based on a sample of seventy SOA-argument-taking predicates, which are classified with respect to their complementation patterns and control properties. As a result, Korean is characterized as a language in which semantically determined control is predominant, whereas constructionally induced control is only marginal. In the discussion of the sample, I will show that there are two major classes of verbs exhibiting semantic control: the first class consists of matrix verbs such as hwuhoyhata 'regret' or kangyohata 'force', which require obligatory coreference between a matrix argument and the embedded subject due to their lexical meaning. The verbs of the second class are utterance verbs such as malhata 'tell', which select clauses headed by the quotative complementizer ko. With these verbs, subject, object, or split control arises if specific modal suffixes are attached to the verb heading the complement clause. In the second part of the paper, I will provide a lexical analysis of control in Korean, which adopts the Principle of Controller Choice proposed by Farkas (1988) as well as additional constraints which have to be assumed independently.
For this study one hundred sixty-seven Russian-/Turkish-German preschool children were tested with a battery of language proficiency tests in both languages. On the basis of 1.5 SD below monolingual norm for L2 German and 1.25 SD below bilingual mean for either home language, 9 children at risk of developmental language disorders (DLD) (mean age of 4 years and 5 months) were identified and 16 age-matched TD children were selected out of the cohort. All these children were tested with the LITMUS-MAIN and –SR tests in German. The results across TD and at risk of DLD group were compared. TD clearly outperformed at risk of DLD in SR. In elicited narratives, macrostructure and microstructure were scrutinized across groups. Similar to the previous findings, our results show significant differences between at risk of DLD und TD in the microstructure, e.g. total number of word tokens and verb-based communication units and SR. For the macrostructure, TD outperformed at risk children only for story complexity. The study expands our knowledge on the cut-off criteria for the identification of bilinguals at risk of DLD, scrutinized very early narratives for bilinguals at risk of DLD features and questions the similarity of cognitive skills in TD and at risk of DLD children.
This study investigates macrostructure in elicited narratives of 69 monolingual German-, Russian- and Swedish-speaking adults. Using the LITMUS-MAIN (Multilingual Assessment Instrument for Narratives), and its Baby Goats and Baby Birds stories, story structure and story complexity, concerning episodic organization, were examined across the 3 languages. As theoretical underpinnings, a multidimensional model of macrostructure was used. This model includes analyses of story structure (SS), in which a narrative merits a maximum score of 17, based on the occurrence of five types of macrostructural components (Internal states as initiating event and as reaction, Goal, Attempt and Outcome), and of story complexity (SC), which measures combinations of Goals, Attempts and Outcomes within one episode. The highest attainable complexity is the GAO-sequence, when a Goal, Attempt and Outcome are produced within the same episode. The results for SS were similar for German, Russian and Swedish, where adults included 11-12 components per story. A more detailed analysis of the individual components revealed striking similarities across the 3 languages, both for frequently used and seldom occurring components. SC did not differ significantly across languages nor across stories, whilst for SS, a slight difference between the two stories was found. We interpret this finding as story complexity (a qualitative measure of macrostructure) being of a more universal nature. Furthermore, our results indicate that caution is warranted when conclusions about children’s narrative skills are to be drawn on the basis of the MAIN Baby Goats and Baby Birds stories.
The study examines the hypotheses that the acquisition of the finite verb is an indispensable and linking constituent of the development of SVO utterances. Four apparently separate or at least separable processes are analysed over 6 months in one Russian and one German child: a) the emergence of verbs in the child’s utterances, b) the occurrence of correctly inflected (finite) verb forms, c) the development of multi-component utterances containing a verb, and c) the emergence of (potential) subjects and objects. Russian and German exhibit rich verb morphology, and in both languages finiteness is strongly correlated with inflectional categories like person, number and tense. With both children we find a correlation in the temporal order of these four processes and – what is more relevant for our study – a dependency of a certain development on the utterance level on the emergence of finite verbs. Further, our investigation shows that language-specific development comes in to play already when children start to acquire verb inflection and becomes more contrastive when we observe the onset of the production of the SVO utterances.
The purpose of this research was to trace the developmental steps in the acquisition of aspectual oppositions in Russian and to examine the validity of the 'aspect before tense' hypothesis for L1-speaking children. Imperfective/perfective verbs and their inflections, as well as aspectual pairs, were analysed in the first five months of verb production (and the respective months in the input) in three children. Additionally, the first four months of verb production were investigated in one boy with less data. Verb forms marked for the past and for the present occur simultaneously in all children. These early forms relate to 'here and now' situations: verbs marked for the past denote 'resultative' events that are perceived by the children as occurring during the speech time or immediately before it, while verbs marked for the present typically denote on-going events. Thus, with early tense oppositions (or tense morphology) children mark aspectual contrasts in the moment of speech: evidence in favour of the 'aspect before tense' hypothesis.
A strong preference in using the perfective aspect for the past and the imperfective aspect for the present events has been found in both adults and children. Further, only very few aspectual pairs were documented within the analysed period (from the onset of verb production to the period when children produce rule-driven inflectional forms). The productive use of the finite forms of perfective and imperfective verbs doesn't concord with the ability of the productive use of the contrastive forms of one lemma. Data suggest that children (start to) learn aspectual forms in an item-based manner. The acquisition of aspectual oppositions (aspectual pairs) is lexically dependent and is guided by the contextual 'thesaurus'. Aspectual pairs are learned in a peace-meal way during much longer, than observed for this article, period of time. Generally, aspect is not learned as a rule, also because there are no (uniform) rules of forming of aspectual pairs, but as the 'satellite' of the inherent lexical meaning of verbs of diverse Aktionsarten.
The issues addressed here are relevant for other Slavic languages, exhibiting the morphological category of aspect.
This paper investigates the production and comprehension of intrasentential anaphoric pronominal reference in Russian. In particular, it examines the elicited imitation and comprehension of three anaphoric pronouns in subject position – personal 3rd singular masculine, demonstrative and zero – in one hundred and eighty monolingual Russian-speaking children and twenty adults. The three types of pronouns were designed to have an antecedent in the preceding sentence containing a verb and two arguments. These antecedents differ in their syntactical role and animacy. The sentence position, agentivity and topicality remained constant. The sentences with (in)animate subjects and objects constituted the following four 'conditions': two sentences with a subject and an object being either animate or inanimate and two sentences with a subject and an object exhibiting a diverse (in)animacy. Regarding the resolution of the anaphoric pronouns the similarity principle (or feature-concord rule) and its possible violations were tested. This principle suggests that an anaphoric pronoun is most likely resolved to the antecedent with a maximum of similar characteristics or features and it primarily governs the assignment of an antecedent to anaphoric pronouns in subject position in the absence of the violating conditions. Results show the influence of this rule on the anaphora resolution process increasing with age, on the one hand, and the development of the impact of animacy, syntactic role and the type of anaphoric pronouns that violate the feature-concord rule, on the other.
The article deals with the analysis of the development of aspectuality at the early stages of the acquisition of Russian. Data from seven children are investigated for this purpose. It is claimed that the category of aspectuality, being the property of the whole utterance, can be expressed at the early stages of language acquisition even before the verb itself occurs. During this period some children mark the basic aspectual opposition "process-result" by the linguistic devices at their disposal, namely by various uses of sound imitations or onomatopoetics. Onomatopoetics, when used once, can be said to be the predecessors of perfective verbs, while reduplicative use of onomatopoetics seems to correspond to the imperfective aspect. The paper presents an analysis of the early verb lexicons of six children. Among their 24 earliest verbs both aspects are represented. As revealed by the analysis, aspect (and Aktionsart) clusters with tense in a specific way: imperfective verbs are mainly used in the present while perfectives are used mostly in the past.
Preface: New language versions of MAIN: Multilingual Assessment Instrument for Narratives - revised
(2020)
While both Japanese and English have a grammatic al form denoting the progressive, the two forms (te-iru & be+ing) interact differently with the inherent semantics of the verb to which they attach (Kindaichi, 1950; McClure, 1995; Shirai, 2000). Japanese change of state verbs are incompatible with a progressive interpretation, allowing only a resultative interpretation of V+ te-iru, while a progressive interpretation is preferred for activity predicates. English be+ing denotes a progressive interpretation regardless of the lexical semantics of the verb. The question that arises is how we can account for the fact that change of state verbs like dying can denote a progressive interpretation in English, but not in Japanese. While researchers such as Kageyama (1996) and Ogihara (1998, 1999) propose that the difference lies in the lexical semantics of the verbs themselves, others such as McClure (1995) have argued that the difference lies in the semantics of the grammatical forms, be+ing and te-iru. We present results from an experimental study of Japanese learners’ interpretation of the English progressive which provide support for McClure’s proposal. Results indicate that independent of verb type, learners had significantly more difficulty with the past progressive. We argue that knowledge of L2 semantics-syntax correspondences proceeds not on the basis of L1 lexical semantic knowledge, but on the basis of grammatical forms.
Die Erstellung eines Großwörterbuchs ist ein umfagreiches Vorhaben – nicht nur in quantitativem Sinne. So ist es mir eine Ehre, dass ich – als Mitherausgeber der kürzlich erschienenen Großwörterbücher Deutsch-Ungarisch und Ungarisch-Deutsch – im Rahmen dieser Tagung die derzeit laufende lexikographische Arbeit an einem deutsch-finnischen Großwörterbuch unter der Leitung von Professor Jarmo Korhonen näher kennen lernen kann. Über dieses Projekt schreibt Lenk (1998: 87) in einem Tagungsbericht: „Das [...] geplante neue Großwörterbuch begnügt sich mit einer voraussichtlichen Stichwortzahl von 100.000.“ Nun erhebt sich die Frage, was hier wohl mit der Formulierung „begnügt sich“ gemeint war: Wie „groß“ muss eigentlich ein „Großwörterbuch“ sein, um diesen Namen führen zu dürfen? Unter diesem Aspekt möchte sich der vorliegende Beitrag mit der Problematik der Größenklassen bzw. -bezeichnungen von Wörterbüchern auseinander setzen, da diese Fragestellung in mehrfacher Hinsicht aktuell ist, sowohl für die metalexikographische Theorie als auch für die Praxis der Wörterbucharbeit. Zur Verdeutlichung sei zunächst exemplarisch auf die ungarische Wörterbuchwirklichkeit hingewiesen: Es sind vor kurzem fast zeitgleich – allerdings für unterschiedliche Sprachenpaare – so genannte „Großwörterbücher“ einerseits mit lediglich 30.000 (z.B. Radácsy 1997) und andererseits mit mehr als 200.000 Lemmata (z.B. Halász/Földes/Uzonyi 1998a) herausgegeben worden. Ebenfalls in Ungarn erscheinen jetzt – sogar für dieselbe Sprachrichtung – zwei Wörterbücher mit im Wesentlichen gleicher Lemmaanzahl, wobei sich das eine „Kleinwörterbuch“ (Halász/Földes/Uzonyi 2000a), das andere aber schon „Handwörterbuch“ (Hessky 2000) nennt. Mit anderen Worten: Sprachlexika mit etwas über 30.000 Lemmata nennt man mal Klein-, mal Hand-, mal Großwörterbuch. Von dieser empirischen Beobachtung ausgehend soll im Weiteren an einer größeren Zahl zweisprachiger Wörterbücher, in denen eine der beteiligten Sprachen das Deutsche ist, untersucht werden, ob die Bezeichnungen als einigermaßen verlässliche Indikatoren für die Größe des lexikographisch erfassten Sprachmaterials angesehen werden können. Ebenfalls soll der Frage nachgegangen werden, ob die immer zahlreicher werdenden Attribuierungen und Bestimmungswörter wie großes Wörterbuch oder Global-, Universal-, Kompaktwörterbücher etc. mit dem tatsächlichen Umfang der Wörterbücher korrelieren und ob bzw. inwieweit die diesbezüglich verwendeten Terminologien der einzelnen lexikographischen Werkstätten bzw. der Verlage miteinander kompatibel sind. Hier besteht erheblicher Klärungsbedarf. Vor diesem Hintergrund sollen generell die Probleme der Größenbezeichnungen bzw. -klassen – oder wie der Heidelberger Metalexikograph Wiegand (1990: 2127) besonders fachkundig formuliert: „die Zahlen zur Mächtigkeit der Trägermenge der Makrostruktur“ – angesprochen werden. Dabei muss man sich natürlich klar vor Augen halten, dass die Lemmaanzahl nur eines der Kriterien zur Bestimmung des Volumens, d.h. der Größenklasse ist (vgl. Wiegand 1990: 2129). Bei der Lemmaselektion ergeben sich daher für die Lexikographen gleich zwei grundsätzliche Dilemmas: (a) in quantitativer Hinsicht wie viel und (b) in qualitativer Hinsicht welche Lemmata Aufnahme finden sollen. Denn nur bei einem geschlossenen Korpus – wie etwa bei einem historischen Wörterbuch – liegt eine idealtypische Lemmaselektion vor, indem die Quellen vollständig ausgewertet werden können: Beispielsweise war es Hannig (1995: VII) möglich, in seinem „Handwörterbuch Ägyptisch- Deutsch. Die Sprache der Pharaonen (2800-950 v.Chr.)“ relativ ruhigen Gewissens zu äußern: „Das Handwörterbuch ist eine möglichst vollständige Sammlung aller bekannten Wörter der zweiten/dritten bis inklusive einundzwanzigsten Dynastie“. Die Probleme der Größenklassen scheinen in den einschlägigen Fachdiskursen kaum eine Rolle zu spielen. In einer Monographie erwähnt zwar Schaeder (1987: 84) im Zusammenhang mit einsprachigen Spezialwörterbüchern am Rande: „Geteilt dürften die Ansichten darüber sein, was ein großes und was ein kleines Wörterbuch ist“. Gleichwohl finden sich in den sonst erschöpfenden HSK-Bänden „Wörterbücher“ von Hausmann/Reichmann/Wiegand/Zgusta (1990/1991) recht sporadisch und zugleich ziemlich rudimentäre Hinweise auf eine Phänomenologie der Größenordnung von Wörterbüchern.
Die vorliegende Arbeit setzt sich mit einer spezifischen Sprach- und Sprachensituation auseinander, die besondere Ausformungen sowie Strukturierungen des Deutschen aufweist und für die ein umfassender und durchdringender soziokultureller sowie sprachlicher Austausch – und als deren Folge Mehrsprachigkeit und Inter- bzw. Transkulturalität – den Bezugsrahmen darstellen. In dieser inter- bzw. transkulturellen „Fugen-Position“ ist das Deutsche weder Mutter- noch Fremdsprache im herkömmlichen Sinne des Wortes. Es handelt sich um Deutsch als Minderheitensprache (nach einer anderen Terminologie: Nationalitätensprache) in Ungarn. Die Sprach(en)verhältnisse der Ungarndeutschen werden seit über 250 Jahren grundlegend durch immer intensiver werdende „Außenkontakte“ mit dem Ungarischen und mit anderen Umgebungssprachen bzw. -varietäten gekennzeichnet: Ungarisch übt seit der zweiten Hälfte des 19. Jahrhunderts einen sukzessiv erstarkenden Einfluss auf das kommunikative Handeln und dadurch auf das Sprachrepertoire der Ungarndeutschen aus, wohingegen nach 1945 die Einwirkung des Ungarischen besonders massiv wurde. Im Hinblick auf den sog. „geschlossenen“ (m.E. besser: zusammenhängenden) deutschen Sprachraum hat Mattheier (1980: 160) ausgeführt, dass Veränderungen in den Sprachgebrauchsstrukturen eng mit Veränderungen in den sprachlichen Strukturen verbunden sind und dass beide Prozesse gewöhnlich gleichzeitig vor sich gehen. Unter Bedingungen der Mehrsprachigkeit und der Inter- bzw. Transkulturalität gilt dies, wie mir scheint, verstärkt. Denn die Sprachgebrauchsstrukturen der Ungarndeutschen haben sich zugleich aus zweierlei Hauptgründen mehrfach geändert: (a) Zum einen haben die erwähnten lange andauernden und tief greifenden (alle sozialen Domänen erfassenden) sozio- bzw. interkulturellen und sprachlichen Kontakte und die sich aus ihnen ergebenden kommunikativen Muster erhebliche Konsequenzen für die Sprache. Denn Sprachenkontakte lösen „von Haus aus“ nicht unwichtige Veränderungen in den interagierenden Sprachvarietäten aus. Dies betrifft sowohl die sprachlichen Formen, Strukturen und Modelle als auch die Sprach- bzw. Diskursgewohnheiten und darüber hinaus – wie ich meine – sogar das Weltmodell der miteinander in Berührung befindlichen ethnischen Gruppen bzw. Kommunikationsgemeinschaften. (b) Zum anderen erfolgte die sprachliche Bewältigung der Umwelt – auch abgesehen von der Mehrsprachigkeitssituation – auf andere Art und Weise als im zusammenhängenden deutschen Sprachraum, unterscheidet sich doch der soziokulturelle Referenzrahmen für die deutsche Minderheit in Ungarn fundamental im auf dem deutschen Sprachgebiet. Diese beiden Aspekte (a und b) üben ihre sprachgestaltende Wirkung auf das Deutsche als Minderheitensprache im Kulturraum Ungarn auch heute aus. Somit werden im vorliegenden Beitrag Elemente, Strukturen, Modelle und Gesetzmäßigkeiten im Mikrokosmos einer spezifischen Kontaktvarietät des Deutschen beschrieben und exemplifiziert, die sich von der binnendeutschen Standardsprache, aber auch von den binnendeutschen regionalen Varietäten grundlegend unterscheidet. Anhand ausgewerteter oraler Sprachproben, die ich im Rahmen eines kontaktlinguistischen Feldforschungsprojekts in der ungarndeutschen („donauschwäbischen“) Ortschaft Hajosch (auf Ungarisch: Hajós) in der nördlichen Batschka erhoben habe, sollen Aspekte der Varianz und Kontaktlinguistik der Sprachinnovation ermittelt und dokumentiert werden.
Die Untersuchung von Eigennamen (EN) im Kontext der Kontaktlinguistik stellt ein besonders aktuelles und informatives Forschungsfeld dar: Beispielsweise hat Eichler (1976: 128) bereits vor zweieinhalb Jahrzehnten erkannt, dass "gerade Sprachkontaktforschung heute ohne die onomastische Komponente nicht mehr gut denkbar ist". Beim gegenwärtigen Wissensstand kann auch von der anderen Seite her festgestellt werden, dass – insbesondere in Kulturräumen, in denen mehrere Sprachen miteinander in Berührung kommen – die Namenforschung eines kontaktlinguistischen Blickwinkels bedarf. Denn die EN verkörpern wohl den deutlichsten Nachweis für langfristige Vorgänge und Ergebnisse von Sprachenkontakten. So können diesbezüglich etwa hinsichtlich des "Namenstransfers" (Terminus nach Eichhoff 1991: 264) in mehr oder weniger multilinguale Regionen vor allem die Familien- und Ortsnamen lehrreiche linguistische wie auch interkulturelle Aufschlüsse liefern. Die onomastische Forschung verhält sich in diesem Problembereich unterschiedlich. Die kontaktlinguistischen Implikationen des direkten Transfers von Personennamen (mit phonematischer Anpassung) wurden in angelsächsischer Relation (norwegische, jiddische und ungarische Namen in den USA) bereits von einer Reihe bekannter Linguisten wie Kimmerle (1941: 1ff.; 1942: 158ff.), Haugen (1953: 201ff.), Mencken (1949: 474ff. sowie Supplement II, 1952: 396ff.), Weinreich (1968: 53), Bartha (1993: 41 ff.) und Kontra (1988: 58ff.) angesprochen. Hingegen würdigen nicht wenige Veröffentlichungen mit germanistischer Ausrichtung, auch wenn sie deutsche Nachnamen am Rande oder außerhalb des sog. "geschlossenen deutschen Sprachraums" ausführlich behandeln, diese Sprachenkontaktphänomene keines Hinweises (z. B. Breza 1986, Grünspanová 1975). Einige Arbeiten schneiden zwar die Einwirkung der Kontaktsprache(n) auf die deutschen Familiennamen (FaN) an, machen dies allerdings nicht zu ihrem primären Untersuchungsobjekt (z. B. Čučka/Melika 1979, Hellfritzsch 1990, Matejčík 1993[3] und Mori 1993). Lediglich in deutsch-tschechischer (Knappová 1990) und stärker in deutsch-angloamerikanischer sowie deutsch-costaricanischer Relation liegen einschlägig ertragreiche Beiträge vor, die verschiedene Integrationserscheinungen am Beispiel deutscher FaN in der englischsprachigen Umwelt der USA bzw. dem spanischsprachigen Milieu von Costa Rica thematisieren (Jones 1991 und besonders Eichhoff 1991 bzw. Boving 1986). Vor diesem Hintergrund zielt die vorliegende Studie darauf ab, deutschsprachige FaN in Südungarn einer kontaktlinguistischen Analyse zu unterziehen. Dies verspricht insofern ein besonders reizvolles Untersuchungsfeld, als in den Anthroponymen – dank lang anhaltender intensiver und mannigfacher Sprachen- und Kulturenkontakte trotz ihrer amtlich festgelegten Schreibformen – deutsche und ungarische Sprachelemente miteinander verschmelzen und in enger Symbiose existieren. Die Wechselwirkungen der flektierenden, indogermanischen deutschen Sprache und der agglutinierenden, finnisch-ugrischen ungarischen Sprache sind auch im Hinblick auf die Sprachtypologie besonders interessant.
Mit dem vorliegenden Beitrag sollte gezeigt werden, dass Untersuchungen zur Sprache von Minderheitenblättern nicht nur die Forschungen zur Pressesprache bereichern können, sondern gleichermaßen den Erkenntnisstand über verschiedene andere Sondersprachen. Infolge des besonderen sprachlich-kommunikativen Kontextes der lebensweltlichen Mehrsprachigkeit und des spezifischen soziokulturellen Umfelds der erlebten Interkulturalität vermögen solche Forschungen - die künftig in größerer Zahl und auf breiterer Basis wünschenswert wären - Blickwinkel, Instrumentarien und Ergebnisse der traditionellen Forschungsaktivitäten im binnendeutschen Sprachraum durch qualitativ neue Aspekte zu ergänzen und dadurch auch in vielerlei Hinsicht zu relativieren.
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.
Der Beitrag geht davon aus, dass Phraseologismen zum einen als prototypische Verkörperung des ,,kulturellen Gedächtnisses" einer Diskursgemeinschaft, zum anderen als ein universelles, jeder Sprachkultur immanentes Kulturphänomen angesehen werden können. In diesem Zusammenhang setzt er sieh zum Ziel, das Spannungsfeld der Verflochtenheit von ,Kultur" und "Sprache" mit ihren Ausprägungen und Konsequenzen am Material der Phraseologie im Hinblick auf das Deutsche und das Ungarische analytisch herauszuarbeiten und mehrperspektivisch zu hinterfragen. Denn die - im Titel der Tagung hervorgehobene - Kulturgeschichte und die Phraseologie stellen eine äußerst facettenreiche Thematik dar, die eine Reihe kulturphilosophischer, kultursemiotischer, interkultureller, kognitiv-linguistischer u. a. Fragen aufwirft und sowohl einen synchronen als auch einen diachronen Betrachtungsrahmen effordert. Der vorliegende Aufsatz kann sich jedoch auf lediglich einige aktuelle theoretische, methodologische und empirische Aspekte konzentrieren und möchte in disziplinärer Hinsicht kontrastiv und kontaktlinguistisch - dabei methodologisch phänomen- bzw. belegorientiert und problernbezogen - vorgehen.
Results of a production experiment on the placement of sentence accent in German are reported. The hypothesis that German fulfills some of the most widely accepted rules of accent assignment— predicting focus domain integration—was only partly confirmed. Adjacency between argument and verb induces a single accent on the argument, as recognized in the literature, but interruption of this sequence by a modifier often induces remodeling of the accent pattern with a single accent on the modifier. The verb is rarely stressed. All models based on linear alignment or adjacency between elements belonging to a single accent domain fail to account for this result. A cyclic analysis of prosodic domain formation is proposed in an optimality-theoretic framework that can explain the accent pattern.
Phonology and intonation
(2007)
The encoding standards for phonology and intonation are designed to facilitate consistent annotation of the phonological and intonational aspects of information structure, in languages across a range ofprosodic types. The guidelines are designed with the aim that a nonspecialist in phonology can both implement and interpret the resulting annotation.
Introduction
(2007)
A series of production and perception experiments investigating the prosody and well-formedness of special sentences, called Wide Focus Partial Fronting (WFPF), which consist of only one prosodic phrase and a unique initial accented argument, are reported on here. The results help us to decide between different models of German prosody. The absence of pitch height difference on the accent of the sentence speaks in favor of a relative model of prosody, in which accents are scaled relative to each other, and against models in which pitch accents are scaled in an absolute way. The results also speak for a model in which syntax, but not information structure, influences the prosodic phrasing. Finally, perception experiments show that the prosodic structure of sentences with a marked word order needs to be presented for grammaticality judgments. Presentation of written material only is not enough, and falsifies the results.
In a first step, definitions of the irreducible information structural categories are given, and in a second step, it is shown that there are no invariant phonological or otherwise grammatical correlates of these categories. In other words, the phonology, syntax or morphology are unable to define information structure. It is a common mistake that information structural categories are expressed by invariant grammatical correlates, be they syntactic, morphological or phonological. It is rather the case that grammatical cues help speaker and hearer to sort out which element carries which information structural role, and only in this sense are the grammatical correlates of information structure important. Languages display variation as to the role of grammar in enhancing categories of information structure, and this variation reflects the variation found in the ‘normal’ syntax and phonology of languages.
In what follows, I first briefly review Perlmutter (1968, 1970), in which it is argued that aspectual verbs are ambiguous between control and raising. I suggest that while the argument for the raising analysis is solid, the arguments supporting the control analysis of aspectual verbs are less so. As an alternative hypothesis to consider, I introduce the structural ambiguity hypothesis. In Section 3, I review three recent analyses of control and raising. Although there are important differences among them, they all share the basic assumption that the control/raising distinction is due to differences in selectional restrictions that the lexical items impose. Under such an assumption, the lexical ambiguity hypothesis is the only available option. In Section 4, I present evidence for the structural ambiguity hypothesis from studies concerning aspectual verbs in languages from four distinct families, German (Wurmbrand 2001), Japanese (Fukuda 2006), Romance languages (Cinque 2003), and Basque (Arregi Molina-Azaola 2004). These data strongly suggest that across languages aspectual verbs can appear in two different syntactic positions, either below or above vP, or the projection with which an external argument is introduced (Kratzer 1994, 1996, Chomsky 1995). Given these findings, I argue that it is the aspectual verbs' position with respect to vP which creates the control/raising ambiguity. When an aspectual verb appears in a position that is lower than vP, an external argument takes scope over the aspectual verb. Thus, it is interpreted as control. When an aspectual verb appears in a position that is higher than vP, on the other hand, it is the aspectual verb that takes scope over an entire vP, including the external argument. Thus, it is interpreted as raising. In section 5, I extend the scope of this study to include a discussion of want-type verbs in Indonesian, as analyzed in Polinsky & Potsdam (2006). Polinsky & Potsdam argue that the Indonesian want-type verbs must be raising in at least certain cases where they allow a rather peculiar interpretation. Although they assume that there are also control counterparts of the want-type verbs, I argue that applying the proposed analysis to the want-type verbs does away with the need for stipulating two distinct lexical entries for these verbs. Section 6 concludes the paper.