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In recent years, experimental research has demontrated great variability in the rates of scalar inferences across different triggering expressions (Doran et al. 2009, 2012, van Tiel et al. 2016). These studies have been taken as evidence against the so-called uniformity assumption, which posits that scalar implicature is triggered by a single mechanism and that the behaviour of one scale should generalize to the whole family of scales. In the following, we present an experimental study that tests negative strengthening for a variety of strong scalar terms, following up on van Tiel et al. (2016). For example, we tested whether the statement John is not brilliant is strengthened to mean that John is not intelligent (see especially Horn 1989). We show that endorsement rates of the scalar implicature (e.g., John is intelligent but not brilliant) are anti-correlated with endorsements of negative strengthening. Further, we demonstrate that a modified version of the uniformity hypothesis taking into account negative strengthening is consistent with van Tiel et al.’s data. Therefore, variation across scales may be more systematic than suggested by the van Tiel et al. study.
Alternative Questions with "or not" (NAQ) convey a cornering effect, which is not found with they polar counterparts (PQ). This effect has been claimed to consist of two parts (Biezma 2009): NAQs (i) cannot be used discourse-initially and (ii) they do not license followup questions/subquestions.
In this paper, we ask the following: Are both parts of cornering linked to the same property of NAQs? Or do they reflect distinct linguistic phenomena? We explore the issue by comparing the behavior of NAQs to Complement Alternative Questions (CAQ), a type of question that, like NAQs, presents logically opposite alternatives but, unlike NAQs, fully spells out the second one. Results from two experiments suggest that both parts of cornering can instead be explained in terms of independent semantic and pragmatic principles, which operate beyond the domain of alternative questions.
Sentences containing subjective predicates - e.g., "The movie was awesome"” - are intuitively anchored to a particular perspective; this makes them different from sentences describing objective facts - e.g., "The movie was set in 1995".
While authors have long debated on whether this intuition tracks a lexical distinction between subjective and factual predicates, much remains to be explored on whether, and how, the difference between these two assertions is reflected at the illocutionary level. Relying on evidence from two experiments, we show that assertions containing subjective predicates display different discourse behavior from objective assertions. We take these findings to support the idea that SAs should be assigned a special illocutionary profile, unveiling a genuine empirical difference between subjective and factual speech.
This paper deals with topic markers interacting with discourse information in imperatives. It compares two topic markers from Slovenian (‘pa’) and Japanese (‘-wa’) and shows that while they mostly match in terms of the foci they associate with, their functions differ in imperatives: only ‘pa’ may yield a concessive imperative reading. It is shown that this reading can be derived while keeping a single entry for ‘pa’ by making attitudes of discourse participants part of the focus ‘pa’ associates with. The split between Slovenian and Japanese can then be attributed to minor differences in terms of which foci ‘pa’ and ‘-wa’ may associate with.
This paper explores Turkish numeral constructions, which have typologically two interesting properties: (i) the existence of an optional classifier, (ii) the incompatibility of plurals with them. I argue that numerals are modifiers of type <<e,t>,<e,t>> defined only for atomic properties (Ionin and Matushansky 2006). The explanation rests on the semantics of bare singulars proposed to denote sets of atoms (contra Bale et al. 2010), and the semantics of the classifier claimed to be a partial identity function presupposing atomic properties.
This paper presents an exploratory production study of Bharatanatyam, a figurative (narrative) dance. We investigate the encoding of coreference vs. disjoint reference in this dance and argue that a formal semantics of narrative dance can be modeled in line with Abusch’s (2013, 2014, 2015) semantics of visual narrative (drawing also on Schlenker’s, 2017a, approach to music semantics). A main finding of our investigation is that larger-level group-boundaries (Charnavel, 2016) can be seen as triggers for discontinuity inferences (possibly involving the dynamic shift from one salient entity to another).
The proper semantic treatment of the complements of Responsive Predicates (ResPs), those predicates which may embed either declarative or interrogative clauses, is a longstanding puzzle, given standard assumptions about complement selection. In order to avoid positing systematic polysemy for ResPs, typical treatments of ResP complements treat their arguments either as uniformly declarative-like (propositional) or interrogative-like (question).
I shed new light on this question with novel data from Estonian, in which there are verbs think-like meanings with declarative complements and wonder-like meanings with interrogative complements. I argue that these verbs’ meaning is fundamentally incompatible with a proposition-taking semantics for ResPs, and therefore a question-taking semantics is to be preferred.
This paper argues that traces only range over individual semantic types and cannot be type shifted into higher types to circumvent this restriction. The evidence comes from movement targeting positions where DPs must denote properties and the behavior of definite descriptions in these positions. These constraints on possible traces demonstrate that syntactic operations impose active restrictions on permissible semantic types in natural language.
The meaning of counterfactual conditionals is standardly described using the similarity approach (Stalnaker, 1968; Lewis, 1973). This approach has recently been challenged by Ciardelli et al. (2018). They argue that the similarity approach is in principle unable to account for the meaning of counterfactuals with an antecedent consisting of a conjunction embedded under a negation (¬(p^q)). Ciardelli et al. (2018) dismiss the approach on these grounds and offer an alternative. The main goal of the present paper is to defend the similarity approach against this attack. I will argue that the problem that underlies the observations in Ciardelli et al. 2018 is more general and not solved by the solution they offer. I will furthermore argue, against Ciardelli et al. (2018), that the cause of the problem is not the similarity approach, but the interaction of negation with the meaning of counterfactual conditionals. The paper will conclude with a first outline of a solution for the problem, which still uses the similarity approach, but combines it with an alternative semantics for negation.
Schlenker (2010) recently provided data from English and French suggesting that, contrary to standard assumptions (McCawley, 1982; Potts, 2005; Arnold, 2007; AnderBois et al., 2011), non-restrictive relative clauses (NRCs) can take narrow scope under operators of the sentence within which they are embedded. This paper presents three experiments in German confirming this claim. The results show that embedded readings are available with NRCs in German and give first insights into the puzzle under which conditions these embedded readings do or do not show up.
Schlenker (2012) proposes that when framed within a modern Stalnakerian view of presupposition and common ground (Stalnaker, 1998, 2002), Maximize Presupposition! (Heim, 1991; Sauerland, 2008) can be viewed as a special case of the maxim of Quantity (Grice, 1975).
We provide data suggesting that in some cases, Maximize Presupposition! applies even when speakers are not expected to use a presupposition as vectors of new information. We argue that these data support the view that Maximize Presupposition! is an independent pragmatic principle, distinct from Quantity.
It is traditionally assumed that lexical causative verbs (e.g. kill) express direct causation only, while periphrastic (bi-clausal) causatives (e.g. cause to die) may also express indirect causation. In favour of this constraint, Fodor famously observed that the (change of) state introduced by lexical causative verbs is not accessible for separate adverbial modification by temporal (or manner) adverbials. In this paper, I present old and new arguments against the direct causation constraint under the definitions of directness of Fodor and Wolff. I then propose a new definition of directness in terms of ab-initio causal sufficiency framed in Kvart’s probabilistic account of singular causation. I argue that directness so redefined is an implicature rather than an entailment of lexical causative verbs, which enables me to account for old and new data. Furthermore, I account for why the constraint on separate modification by temporal adverbials can be relaxed with eventuality-denoting subjects.
The verb ‘rise’ can be used both with property-denoting nouns like ‘temperature’ but also with NPs like ‘a Titan’ or ‘China’. Whereas in the former case the change triggered by a rising event is directly related to the subject (its current value increases), this does not hold for ‘a titan’ or ‘China’. In this case it is a property of these objects, say their height or their political power, which increases in value. Furthermore, ‘rise’ does not target a particular property as the examples above show. This data has led Cooper (2010) to the conclusion that it is presumably not possible (i) “to extract a single general meaning of words which covers all the particular meanings of the word in context”, and (ii) “to determine once and for all the set of particular contextually determined meanings of a word”. In this article we present a solution to the two problems raised by ‘rise’ in a frame theory. ‘Rise’ is analyzed as a scalar verb which does not lexicalize a complete scale in its meaning. Rather, it shows underspecification relative to the dimension (property) parameter of a scale. The set of admissible properties is determined by a constraint on the value ranges of properties. If the property is not uniquely determined by the subject, the comprehender uses probabilistic reasoning based on world knowledge and discourse information to defeasibly infer the most likely candidates from this set (2nd problem).
The first problem is solved not by simply introducing objects into the representation of a discourse but instead by pairs consisting of an object and an associated frame component which collects the object information contributed by the discourse. Changes triggered by events like the one denoted by ‘rise’ are modelled as update operations on the frame component while the object component is left unchanged.
Extreme nouns and maximizers
(2018)
Maximizers (completamente ‘completely’, totalmente ‘totally’) are degree modifiers restricted to maximum standard adjectives. Spanish adjectives of completeness [ACs] (completo ‘complete’, total ‘total’) display a behavior similar to that of their adverbial counterparts when they combine with nouns like idiot. This paper argues that ACs are maximality modifiers of idiot-like nouns, which are defended to be gradable and denote extreme degrees of properties.
Establishing a parallelism between adverbs and adjectives of completeness allows us to explore scalarity across categories and the relevance of scale structure in the nominal domain.
In this paper, I address verbal predicates of change in Southern Aymara, an understudied Andean language. I concentrate on verbs that are derived with the suffix -cha. This suffix derives degree achievements and creation predicates. I propose that they should be analyzed uniformly as degree achievements. The main empirical point of this paper is that there are two degree morphemes that combine with verbs with -cha, namely, a covert positive morpheme v.POS and an overt suffix -su. The latter is a degree morpheme that restricts the standard of comparison to lexical or contextual maximal degrees. I propose an analysis in terms of Maximize Presupposition: v.POS and -su constitute lexical alternatives where the latter is preferred over the former when maximal values are reached. v.POS is thus felicitous when no maximum is reached. The discussion bears on how telicity is achieved cross-linguistically when degree achievements are considered, thus enriching our typologies on the topic.
Whether degrees should be modeled as simple semantic primitives or ontologically complex entities has been an issue in recent formal semantic research. This article aims to make a contribution to this scholarly enterprise by investigating the Differential Verbal Comparative (DVC) construction in Chinese. DVCs exhibit peculiar properties : (i) obligatory differentials, and (ii) DPs as differentials(e.g., liang ben xiaoshuo ‘two CL novel’).
We propose that a degree is the entity correlate of a property that is formed on the basis of a measure, akin to Chierchia-style kind. This new kind of degree, coupled with a difference function-based semantics for comparatives, correctly predicts the behaviors of DVCs which would otherwise remain formally inscrutable. This article’s contributions are twofold: (i) it provides direct support for the degree-as-kind analysis by extending its empirical scope; and (ii) by combining degrees as kinds with a difference function-based semantics, it represents an improvement over the previous degree-as-kind analysis based on linear ordering.
Some kind of relative clause
(2018)
Amount Relatives (ARs) differ from restrictive relative clauses in that they do not refer to a particular object denoted by the head of the relative clause, but to an amount of such objects (Carlson, 1977a; Heim, 1987). Traditionally, ARs have been regarded as degree expressions.
In this paper I argue against this view and propose instead that amount interpretations of relative clauses are in fact a special case of kind interpretation.
Based on a sample of seven languages, I show that the so-called modal inferences in ever free relatives (ignorance and indifference) are not universally available. The primary reading of ever free relatives crosslinguistically turns out to be a “non-modal” one, which is available to all languages under investigation. The implication is that if there is a modal inference triggered by the use of the ever-morpheme in FRs, the inference is likely to have a source external to the ever free relative (Lauer, 2009; Condoravdi, 2015; Hirsch, 2016). In line with this conclusion, I propose to generalize Hirsch’s (2016) analysis of ignorance ever free relatives, suggesting that all ever free relatives, no matter how they are ultimately interpreted, are instances of (un)conditionals + donkey-anaphoric definite descriptions.
Generics and typicality
(2018)
Cimpian et al. (2010) observed that we accept generic statements of the form 'Gs are f' on relatively weak evidence, but that if we are unfamiliar with group G and we learn a generic statement about it, we still interpret it in a much stronger way: (almost) all Gs are f .
This paper makes use of notions like 'representativeness' and 'contingency' from (associative learning) psychology to provide a semantics of generics that explains why people accept generics based on weak evidence. We make use of the Heuristics and Biases approach of Tversky and Kahneman (1974) and the Associative Theory of Probability Judgements to explain pragmatically why people interpret generic statements in a much stronger way. The spirit of the approach has much in common with Leslie's (2008) cognition-based ideas about generics, but the semantics is grounded on Cohen's (1999) relative readings of generic sentences. The basic intuition is that a generic of the form 'Gs are f' is true, not because most Gs are (or tend to have) f , but because f is typical for G, which means that f is valuably associated with G.
'Enough'-/'too'-constructions (E/T constructions) have an implicative reading: e.g., "Mary was clever enough to leave early yesterday" entails Mary left early yesterday. I argue that this implicative reading is not due to the lexical semantics proper of 'enough'/'too', but due to its bi-clausal structure (e.g., the above-mentioned example is analyzed as "Mary left early yesterday because she was clever enough"). I analyze 'enough' and 'too' simply as degree modifiers that involve a comparison: 'enough' means reaching the lower bound of an interval, while 'too' means exceeding the upper bound of an interval. Then inspired by Schulz (2011), Baglini and Francez (2015), and Nadathur (2016), I relate the semantics of E/T constructions to causal dependence: due to some sufficiency/excess, the infinitival complement clause in E/T constructions is episodically or generically (depending on its aspect being perfective or imperfective) true/false. I also argue that this infinitive has its tense and aspect marked on the main predicate of sentences, resulting in the seeming correlation between aspect and implication in languages that overtly make a distinction between perfective and imperfective aspects (e.g., French).
This paper addresses the question of how to account for the semantic variability of weak free adjuncts. Weak free adjuncts are non-clausal adjuncts that associate with an argument of the main predicate, contribute propositional content, and can interact with temporal or modal operators, which leads to different, adverbial-clause-like interpretations. I focus on a specific type of weak adjuncts, non-clausal as-phrases, and propose a unified semantic analysis for the full range of interpretational possibilities that takes into account the interpretational contingency on different syntactic positions. I show that this analysis improves on Stump’s (1985) original analysis of weak adjuncts. I then go on to discuss the limitations of both Stump’s account and the unified account. Both accounts fail to capture that the interaction of weak adjuncts with modal operators underlies certain restrictions on the properties of the modal operators—an observation that has not been discussed in the literature so far.
The paper proposes a new semantics for good-predications involving finite if -and that-clauses. The proposal combines a standard semantics for conditionals with a standard semantics for the positive form of gradable adjectives and a minimal semantics for modal good. The predicted truth-conditions and conditions of use solve the mood puzzle presented in the first part of the paper. The remainder of the paper defends the classical notion of comparative goodness in terms of a comparison between possible worlds against Lassiter (2017)’s challenge.
Shared mechanism underlying unembedded and embedded enrichments:
evidence from enrichment priming
(2018)
In this paper, we use a priming paradigm to explore the mechanisms underlying unembedded and embedded scalar enrichments. In particular, the aim is to see if local pragmatic enrichment could be a shared mechanism, involved in both. The two experiments presented adopt Bott & Chemla's (2016) enrichment priming paradigm and test whether unembedded and embedded enrichments could prime each other. The goal is to investigate whether local pragmatic enrichment is indeed being accessed for the interpretation of the unembedded scalar and whether local enrichments, like other lexical semantic phenomena, are susceptible to priming.
This paper investigates the interpretation of Japanese -toka and -tari, two nonexhaustive particles that receive conjunctive interpretations in upward-entailing environments, but disjunctive interpretations in downward-entailing and question contexts.
We analyze -toka and -tari as items that introduce unstructured sets of alternatives in a Hamblin-style alternative semantics (Hamblin, 1973; Kratzer and Shimoyama, 2002), and derive their conjunctive and disjunctive readings via an interaction between these sets and the semantics of the environment containing them.
Revising a proposal by Guerzoni (2003), we propose to derive universal projection of presuppositions in wh-questions, where attested, from a family of three felicity conditions on question use. Assuming that these felicity conditions can be violated under certain conditions, this proposal predicts a typology of contexts where universal projection can exceptionally be unattested. We propose that this prediction is correct, presenting a family of scenarios where the expected absence of universal projection is observed.
This paper presents the results of two experiments in German testing the acceptability of (non-)restrictive relative clauses (NRCs/RRCs) with split antecedents (SpAs). According to Moltmann (1992), SpAs are only grammatical if their parts occur within the conjuncts of a coordinate structure and if they have identical grammatical functions. Non-conjoined SpAs that form the subject and the object of a transitive verb are predicted to be ungrammatical. Our study shows that the acceptability of such examples improves significantly if the predicate that relates the parts of the SpA is symmetric. Moreover, it suggests that NRCs and RRCs behave differently in these cases with respect to the SpA-construal. We can make sense of this observation if we follow Winter (2016) in assuming that transitive symmetric predicates have to be analyzed as unary collective predicates and thus provide a collective antecedent for the RC at the semantic (not the syntactic) level. As we will argue, this accounts for some of the disagreement we found in the literature and gives us new insights into both the semantics of symmetric predicates and the semantics of NRCs.
It has been claimed and widely assumed that caseless direct objects in Turkish exhibit a sort of syntactic incorporation, and only their cased counterparts are true syntactic arguments (Kornfilt 1997; Knecht 1986; Nilsson 1986; Öztürk 2005 among others). Cased and caseless objects are thus widely taken as derivationally related, crystallized in Kelepir's (2001) proposal that objects pick up overt accusative as they move out of the VP. In this paper, I would like to revisit both the empirical evidence and the interpretation leading to these claims and propose revisions.
I first show that not all caseless objects are the same. Mostly drawing on Aydemir (2004), I argue that bare caseless objects and those with indefinite expressions have differences that would be very unusual if they were both incorporated. However, adopting Öztürk (2005) and against Aydemir (2004), neither of the cases can be analyzed as head incorporation.
I then turn to the cased vs. caseless distinction and argue that cased and caseless objects are not that different after all. Based on data with strictly controlled information structure, I arrive at a different generalization than most of the earlier reports and claim that caseless objects are morphosyntactically as moveable as their cased counterparts.
Hence, I propose to replace the notion of incorporation in the literature of Turkish syntax with the notion of weak case (de Hoop 1992) and conclude by a discussion of the domain of syntactic analysis in this primarily semantic phenomenon.
"Je suis Charlie" was used over 619.000 times in the two days that have followed the attack of the editorial team of Charlie Hebdo (Le Progrès, The Huffington Post) and has regularly been taken up in both written and spoken form since. In this paper, we argue that the structure of this sentence actually clashes with its meaning. More specifically, whereas its word order and default rightmost sentence stress are compatible either with an all-focus reading or a narrow focusing of Charlie, the context of use of this sentence as well as the solidarity/empathy message it intends to communicate suggest that its subject is narrowly focused. We will propose that two strategies have emerged to solve this conflict: (i) various alternative forms have appeared that allow proper subject focusing and (ii) speakers have reinterpreted the structure so as to pragmatically retrieve the (additive) focused nature of the subject.
The present investigation steps back to the claims of the 1990s by assuming that there is a functional opposition in the use of P- and D-PRO which affects the status of the pronoun's referent in the mental model of the discourse. We interpret the earlier findings as an indication of an information structural difference which is specifically relevant on the discourse level. The question we address here is twofold. Firstly, we ask whether the assumed opposition in the information status of P- and D-PRO referents has consequences on referent continuation in the ongoing discourse. So far, the effects of P- vs. D-PRO use were determined concerning the status of the pronoun referent in the actual sequence of discourse, i.e. they were determined by a judgement on the salience or the topic/focus status of the pronominal DP. As far as we can see, this determination has not been operationalized further. Since there are contexts in which both P- and D-PRO would fit in with only a feeling of a difference but without clear-cut exclusiveness, the opposition is empirically not well validated. If we could show that there are effects of type of pronoun on the ongoing discourse this would, in our view, provide the lacking empirical validation. Secondly, we ask whether there are effects of the narrator's point of view on P- and D-PRO use. The idea behind this question is that the way of information unfolding in discourse depends on the speaker. S/he decides which pieces of information come next, what is foreground and what is background information. If type of pronoun choice is related to the processes of discourse organization by the speaker – via fore- and backgrounding of information – and if internal or external location of the narrator's point of view influences the organization strategies of the speaker/narrator this might have an ffect on the use of P- and D-PRO.
In this article, I provide a description and analysis of the morphemes čiɫ 'do to', ḥta 'do towards' and cḥin 'do for' in the Southern Wakashan language Nuuchahnulth (nuučaan̓uɫ). I argue that these morphemes are verbal applicatives that add a non-core argument to the thematic structure of a verb.
Verbal applicatives in Nuuchahnulth are interesting to investigate because they exhibit typologically unique behaviour that has never been studied before. Applicatives are traditionally considered functional elements whose only purpose is to add an indirect object to the argument structure of the verb (Pylkkanen 2002:17). Nuuchahnulth is the only known language that productively uses independent verbs for this purpose.
Nuuchahnulth is an indigenous language of Canada spoken in the province of British Columbia. It consists of 14 major dialects, most of which have never been studied. All of these dialects are now highly endangered and urgently need to be documented.
This paper aims to work toward a proper understanding of the role of preverbal ge- in Old English (henceforth OE) and its disappearance in the course of Middle English. This prefix is reminiscent of its cognates in Modern German and Dutch (also written ge-) in its distribution, but even a cursory examination of the details reveals it to be quite distinct, as we will see. The proper characterization of that distribution, and of its diachronic development, has proven to be extremely difficult. I have thus carried out a large-scale corpus study using the York-Toronto-Helsinki parsed corpus of Old English prose (Taylor et al. 2003) and the Penn-Helsinki parsed corpus of Middle English, 2nd ed. (Kroch & Taylor 1999). This paper will report the results of the first phase of the project, involving patterns in the data that could be identified primarily on the basis of automatic searches in the corpora.
In German, female and male first names are strictly segregated: there are two big inventories with the only purpose to separate women and men. Unisex names are extremely seldom. If they are chosen, they have to be followed by a sex-specific middle name (e.g. Kim Uwe, Kim Annette). If we look at the phonological components of first names, i.e. at their sounds, we can state that male and female names became more similar over the last decades. Whereas in the 1950's, typical first names such as Katharina and Rolf diverged considering their phonic inventory considerably, today, many girls are named Leah and Lara and many boys Noah and Luca. These names share nearly the same sounds, they consist of two syllables and are stressed on the first one. If we look behind the scenes, it becomes clear that the officially required onomastic separation of the two sexes is undermined. In this paper, I will present a socalled phonetic gender score for German first names for the first time (see also Schmidt-Jüngst in this volume). It allows for measuring a degree of femaleness and maleness of names. In a second step, it will be asked whether unofficial names such as pet names, which are not obliged to mark sex also tend to be gendered or if they disobey the gender barrier. It will be shown that the most intimate names are not interested in stressing the denoted person's sex. In contrast to first names, pet names tend to be maximally de-gendered.
Locative inversion in Cuwabo
(2014)
This paper proposes a detailed description of locative inversion (LI) constructions in Cuwabo, in terms of morphosyntactic properties and thematic restrictions. Of particular interest are the use of disjoint verb forms in LI, and the co-existence of formal and semantic LI, which challenges the widespread belief that the two constructions cannot be found in the same language.
Introduction
(2014)
Bantu languages have been at the heart of the research on the interaction between syntax, prosody and information structure. In these predominantly SVO languages, considerable attention has been devoted to postverbal phenomena. By addressing issues related to Subjects, Topics and Object-Verb word orders, the goal of the present papers is to deepen our understanding of the interaction of different grammatical components (syntax, phonology, semantics/pragmatics) both in individual languages and across the Bantu family. Each paper makes a valuable contribution to ongoing discussions on the preverbal domain.
Irene Heim in unpublished work proposed a new syntax-semantics interface for propositional attitude reports based on an ontology without transworld individuals, but counterpart functions instead. We show that the approach can capture the 'de re'/'de dicto' distinction, but makes different predictions from accounts with transworld individuals. Specifically, the account uses a non-invertible counterpart functions: a single individual in an alternative world can be the counterpart of many individuals of the real world. The directionality of counterpart functions predicts that a 'de dicto' interpreted DP cannot be an argument of a 'de re' interpreted predicate. We show that the predicted restriction is corroborated by existing work on restrictions on 'de re' interpretation. The derivation of constraints on 'de re' interpretation argues empirically for the counterpart ontology and Heim’s implementation thereof.
Decomposing coordination
(2014)
Natural languages display a surprising diversity of expression of elementary logical operations. The study of this variation is emerging as an important topic of cross-linguistic semantics. In this paper, we address the expression of coordination from this perspective, especially coordination of individual denoting expressions such as "John and Mary". We argue that there is an underlying universal structure for individual coordination, and that the cross-linguistic variation can be explained by assuming that languages pronounce different morphemes of this universal structure. In particular, we argue that there two main types of system for the expression of individual coordination: the J-type and the μ-type. In μ-type languages the morpheme used for individual coordination also has uses a quantificational or focus particle, while in the J-type languages it doesn't. Instead at least in many J-type languages the same morpheme is used for individual and propositional coordination. The evidence we present for our model comes from two sources: new data from specific data of the J-type and μ-type languages, and from a study of the historical development of the expression of individual coordination in Indo-European which switched from a μ-type to a J-type system.
In the present paper, we concentrate on (selected) Bantu and Nilotic bare-passive strategies and lay out the basis for a typology of transitive passive constructions in these languages. We argue that bare-passives constitute an optimal strategy to change prominence relations between arguments, in languages that strongly hold to the default mapping between the highest thematic role available and the grammatical subject (i.e. Spec,TP). The Nilotic and Bantu languages discussed here differ in their way of satisfying this default mapping. In particular, impersonal bare-passives satisfy it by resorting to an agentive place-holder (an indefinite subject marker) and realizing the logical agent as a lower thematic/semantic role (e.g. instrument or locative). Left-dislocation and so called 'subjectobject' reversal bare-passives realize the default matching between agent and subject in a more straightforward way, but locate the patient in a higher argument position within the inflectional domain (Spec,TopP). As argued in Hamlaoui and Makasso (2013) and Hamlaoui (2013), and in line with Noonan (1977), the present languages display a clauseinternal split between subjecthood (being the grammatical subject in Spec,TP) and topicality (being the subject of the predication, in an inflectional-domain internal Spec,TopP).
Proportional determiner quantifiers in German allow interpretations that violate the conservativity universal of Keenan and Stavi (1986). I argue for an analysis that distinguishes between surface syntax and the logical form of sentences. I show that in surface syntax, German non-conservative quantifiers are determiners that form a constituent with a noun phrase and share case and agreement properties with the noun phrase. But I propose that at logical form the non-conservative determiners undergo an adverbialization movement and are interpreted by a mechanism that generalizes focus-a ected quantification of Herburger (2000). This result refines the understanding of conservativity as a constraint on interpretation.
The present paper aims at describing different pre-verbal focus strategies in Kisikongo (H16a), spoken in the vicinity of Mbanza Kongo, northern Angola. This western Bantu language is part of the Kikongo Language Cluster (KLC), stretching from southern Gabon to northern Angola, including Cabinda and parts of Congo-Brazzaville and Congo-Kinshasa. Kikongo exhibits a clause-internal pre-verbal argument focus position, which has rarely been reported in Bantu languages, except in Mbuun (B87) (Bostoen and Mundeke 2012) and Nsong (B85d) (Koni Muluwa and Bostoen, this volume), both spoken in the neighboring Kwilu region of the DRC. The more extensively studied eastern and southern Bantu languages generally have a post-verbal argument focus position (cf. Watters 1979, Morimoto 2000, Creissels 2004, Güldemann 2007, Buell 2009, van der Wal 2009, among others). In addition to this mono-clausal argument focus strategy, Kisikongo also relies on different bi-clausal constructions to focus arguments, i.e. cleft-constructions.
This paper deals with left and right dislocation in Embɔsi, a Bantu language (C25) spoken in Congo-Brazzaville. The prosody of dislocation has gathered considerable attention, as it is particularly informative for the theories of the syntax-prosody mapping of Intonation Phrases (a.o. Selkirk, 2009, 2011; Downing, 2011). Concentrating on selected Bantu languages, Downing (2011) identifies two main phrasing patterns. She primarily distinguishes languages in which only right dislocated phrases display a lack of prosodic integration ("asymmetric" languages), from languages in which both left and right dislocations phrase separately ("symmetric" languages). Hiatus avoidance processes, boundary tones and register expansion/reduction indicate that Embɔsi displays a somewhat more intricate phrasing pattern. In this language, both left and right dislocated items sit outside of the Intonation Phrase formed by the core-clause, but only the latter form their own Intonation Phrase. We also discuss the prosody of multiple dislocations (i.e. with two dislocated arguments), which have not so far received all the attention they deserve. What we observe in Embɔsi is that either the two dislocated items phrase together and are not integrated to the core Intonation Phrase, or only the outermost dislocated element phrases separately.
Nen and Nyokon are unique among the Bantu languages in allowing full nominal objects between the tense/aspect marker and the verb. Despite the fact that the two languages are neighbours and related they make different use of this positional option. In Nen the position is the default one for objects and the post-verbal position renders an object discrete and suitable for quantified objects and for contrast. In Nyokon the position before the verb is functionally equivalent to the one after the verb. The difference is related to the fact that Nyokon allows the preverbal object only in certain tenses whereas in Nen it is not restricted. But contrasted objects in Nyokon too appear after the verb. There is a construction in which both positions are filled with a constituent. This construction is modelled on a secondary predication construction.
Inversion constructions in Bantu have been discussed from a variety of perspectives over the last decades. Well-known construction types include locative inversion and subject-object reversal, while more recently semantic locative inversion and instrument inversion have been described. Theoretical studies of Bantu inversion constructions have focused on different aspects of the construction, including the licensing and grammatical function, information structure properties and the formal characteristics of pre- and postverbal NPs. With respect to the status of preverbal NPs in inversion constructions, different analyses have probed the status of the NP as subject or topic, or, more recently, as the subject of a Predication relation. The present paper summarises and compares different analyses of the preverbal domain in inversion constructions and brings out empirical and conceptual similarities and differences. In addition, different analyses are related to comparative studies of Bantu inversion constructions, so as to probe how attested variation across Bantu relates to findings of different formal accounts. The paper aims to summarise current research on the preverbal domain in inversion constructions and to indicate directions for future work.
Nsong is a western Bantu language spoken in the neighbourhood of Kikwit (5°2'28"S 18°48'58"E, Kwilu District, Bandundu Province, DRC) and encoded as B85d in the New Updated Guthrie List (Maho 2009). To this B80 or Tiene-Yanzi group also belongs Mbuun, encoded as B87 by Guthrie (1971: 39) and spoken in the wider vicinity of Idiofa (4°57'35"S 19°35'40", Kwilu District, Bandundu Province, Democratic Republic of the Congo). Both languages are closely related. They share a high percentage of fundamental and other vocabulary as well as several rather atypical phonological innovations (Bostoen & Koni Muluwa 2014; Koni Muluwa 2014; Koni Muluwa & Bostoen 2012). Preliminary elicitation-based research on Mbuun has pointed out that the pre-verbal domain plays a crucial role in the marking of argument focus in Mbuun (Bostoen & Mundeke 2011, 2012). In this paper, we assess whether this is also the case in Nsong on the basis of a text corpus which the first author has been collecting, transcribing and annotating in 2013 and 2014 as part of an endangered language documentation project funded by the DoBeS program of the Volkswagen Foundation through a 3-year grant (2012-2015). More information on the project can be found on http://www.kwilubantu.ugent.be/. This Nsong text corpus exclusively consists of oral discourse and currently counts 48.022 tokens and 11.973 types. The team’s 2013 fieldwork aimed at documenting Nsong speech events in as many different cultural settings as possible. As a result, the corpus comprises different text genres, such as political speeches, historical traditions, folk music, tales, proverbs, hunting language, ceremonial language used during circumcision and twin rites, and popular biological knowledge. In line with previous research on Mbuun, we concentrate here on mono-clausal argument focus constructions, even if preliminary research has pointed out that bi-clausal focus structures are more common in the Nsong corpus.
German underwent a typological change from a syllable language in Old High German towards a word language today (Szczepaniak 2007). Proper names followed this development until the last century (cf. Christel, Gertrud, Klaus, Wolfgang). Some of the most popular German first names from 2010, however, such as Mia, Lea, Leon, Noah, show completely different structures compared to common nouns. In sharp contrast to common nouns, first names dispose of CV-structures, full vowels in unstressed syllables and different accent positions. Thus, there must have been a deep-rooted onomastic change. The most frequent baby names of 1945 were still in harmony with the usual word structures. This article shows that the decrease of transgenerational transmission of first names led to a departure fom native phonological structures. The following factors are analyzed: the number of syllables; accent position; and the number of consonant clusters, hiatuses, schwa and unstressed full vowels. It will be demonstrated that the phonological distance between first names (particularly female names) and common nouns has increased over time and that there is an increasing tendency for names to contain syllable language structures. Thus, a typological difference developed between these two nominal classes. The reason behind this change can be found in the individualizing function of proper names and social individualization over time.
The Sino-Tibetan language family enshrines the migratory histories of many East Asian populations, including the Chinese, Tibetans, and Burmese. Its history is intimately associated with Neolithic and Bronze Age developments in China itself, and today it is one of the major world language families in terms of population numbers.
This paper argues that long-standing problems in the analysis of Chinese, such as the question of word classes and grammatical relations, can be resolved, or actually done away with completely, if we take a constructionist approach in the analysis. This means the constructions are taken as basic, so we only need to look at the propositional functions of elements in the construction (referential, modifying, or predicative), and do not need to posit global categories such as word classes and grammatical relations.
In at least three environments—de se binding, distributive binding, and focus quantification—some presuppositions exhibit unexpectedly weak projection behavior. This holds for the presuppositions of bound pronouns, but also several other cases of presupposition. In this paper, I first describe a general approach to capture the interaction of presuppositions with quantificational operators within a multi-tiered evaluation procedure. Secondly I discuss data from Condition A, in particular non-bound occurrences of reflexives, that motivate a presuppositional account of Condition A and confirm the general approach.
This paper examines how questions, both Wh-questions and yes-no questions, are phrased in Chimwiini, a Bantu language spoken in southern Somalia. Questions do not require any special phrasing principles, but Wh-questions do provide much evidence in support of the principle Align-Foc R, which requires that focused or emphasized words/constituents be located at the end of a phonological phrase. Question words and enclitics are always focused and thus appear at the end of a phrase. Although questions do not require any new phrasing principles, they do display complex accentual (tonal) behavior. This paper attempts to provide an account of these accentual phenomena.
This paper presents a preliminary survey of the positions and prosodies associated with Wh-questions in two Bantu languages spoken in Malawi. The paper shows that the two languages are similar in requiring focused subjects to be clefted. Both also require 'which' questions and 'because of what' questions to be clefted or fronted. However, for other non-subjects Tumbuka rather uniformly imposes an IAV (immediately after the verb) requirement, while Chewa does not. In both languages, we found a strong tendency for there to be a prosodic phrase break following the Wh-word. In Tumbuka, this break follows from the general phrasing algorithm of the language, while in Chewa, I propose that the break can be best understood as following from the inherent prominence of Wh-words.
This paper sketches the morphosyntactic and prosodic properties of questions in Fipa, discussing three varieties: Milanzi, Nkansi and Kwa. The general word order and morphological patterns relevant to question structures are outlined and different types of wh-question constructions are described and tentatively linked to the prosodic features of Fipa questions.
The purpose of this paper is to show how WH questions interact with the complex tonal phenomena which we summarized and illustrated in Hyman & Katamba (2010). As will be seen, WH questions have interesting syntactic and tonal properties of their own, including a WH-specific intonation. The paper is structured as follows: After an introduction in §1, we successively discuss non-subject WH questions (§2), subject WH questions (§3), and clefted WH questions (§4). We then briefly present a tense which is specifically limited to WH questions (§5), and conclude with a brief summary in §6.
This questionnaire is intended as an aid to eliciting different question types, including yes/no questions, alternative questions, and wh-questions on a range of constituents. We have taken care to include examples that allow one to test for common Bantu phenomena, such as a subject/non-subject asymmetry in wh-questions and an obligatory immediately after the verb (IAV) position for questioning verb complements. The questionnaire is intended as a guide, only, as every language will have its own set of possibilities and complications. At the end of the questionnaire is a checklist. While we had Bantu languages in mind in devising the questionnaire, we hope it will also be useful to linguists with an interest question constructions in other languages.
In this paper, I revisit the arguments against the use of fuzzy logic in linguistics (or more generally, against a truth-functional account of vagueness). In part, this is an exercise to explain to fuzzy logicians why linguists have shown little interest in their research paradigm. But, the paper contains more than this interdisciplinary service effort that I started out on: In fact, this seems an opportune time for revisiting the arguments against fuzzy logic in linguistics since three recent developments affect the argument. First, the formal apparatus of fuzzy logic has been made more general since the 1970s, specifically by Hajek [6], and this may make it possible to define operators in a way to make fuzzy logic more suitable for linguistic purposes. Secondly, recent research in philosophy has examined variations of fuzzy logic ([18, 19]). Since the goals of linguistic semantics seem sometimes closer to those of some branches of philosophy of language than they are to the goals of mathematical logic, fuzzy logic work in philosophy may mark the right time to reexamine fuzzy logic from a linguistic perspective as well. Finally, the reasoning used to exclude fuzzy logic in linguistics has been tied to the intuition that p and not p is a contradiction. However, this intuition seems dubious especially when p contains a vague predicate. For instance, one can easily think of circumstances where 'What I did was smart and not smart.' or 'Bea is both tall and not tall.' don’t sound like senseless contradictions. In fact, some recent experimental work that I describe below has shown that contradictions of classical logic aren’t always felt to be contradictory by speakers. So, it is important to see to what extent the argument against fuzzy logic depends on a specific stance on the semantics of contradictions. In sum then, there are three good reasons to take another look at fuzzy logic for linguistic purposes.
The interaction between Syntax and Phonology has been one area of interesting empirical research and theoretical debate in recent years, particularly the question of the extent to which syntactic structure influences phonological phrasing. It has generally been observed that the edges of the major syntactic constituents (XPs) tend to coincide with prosodic phrase boundaries thus resulting in XPs like subject NPs, object NPs, Topic NPs, VPs etc. forming separate phonological phrases. Within Optimality Theoretic (OT) accounts, this fact has been attributed to a number of well-motivated general alignment constraints. Studies on relative clauses in Bantu and other languages have significantly contributed to this area of research inquiry where a number of parametric variations have been observed with regard to prosodic phrasing. In some languages, XPs which are heads of relatives form separate phonological phrases while in others they phrase with the relative clauses. This paper makes a contribution to this topic by discussing the phrasing of relatives in Ciwandya (a Bantu language spoken in Malawi and Tanzania). It shows that XPs which are heads of restrictive relative clauses phrase with their relative verbs, regardless of whether they are subjects, objects or other adjuncts. A variety of syntactic constructions are used to illustrate this fact. The discussion also confirms what has been generally observed in other Bantu languages concerning restrictive relatives with clefts and non-restrictive relative clauses. In both cases, the heads of the relatives phrase separately. The paper adopts an OT analysis which has been well articulated and defended in Cheng & Downing (2007, 2010, to appear) Downing & Mtenje (2010, 2011) to account for these phenomena in Ciwandya.
Introduction
(2011)
In spite of this long history, most work to date on the phonology-syntax interface in Bantu languages suffers from limitations, due to the range of expertise required: intonation, phonology, syntax. Quite generally, intonational studies on African languages are extremely rare. Most of the existing data has not been the subject of careful phonetic analysis, whether of the prosody of neutral sentences or of questions or other focus structures. There are important gaps in our knowledge of Bantu syntax which in turn limit our understanding of the phonology-syntax interface. Recent developments in syntactic theory have provided a new way of thinking about the type of syntactic information that phonology can refer to and have raised new questions: Do only syntactic constituent edges condition prosodic phrasing? Do larger domains such as syntactic phases, or even other factors, like argument and adjunct distinctions, play a role? Further, earlier studies looked at a limited range of syntactic constructions. Little research exists on the phonology of focus or of sentences with non-canonical word order in Bantu languages. Both the prosody and the syntax of complex sentences, questions and dislocations are understudied for Bantu languages. Our project aims to remedy these gaps in our knowledge by bringing together a research team with all the necessary expertise. Further, by undertaking the intonational, phonological and syntactic analysis of several languages we can investigate whether there is any correlation among differences in morphosyntactic and prosodic properties that might also explain differences in phrasing and intonation. It will also allow us to investigate whether there are cross-linguistically common prosodic patterns for particular morpho-syntactic structure.
We show that wh-words are a tool to investigate the prosodic structure of Bàsàa. Our claim is that the end of an Intonation Phrase (IP) can be identified by the presence of a long vowel on the wh-word. We propose that wh-words, which sometimes surface as C´V and sometimes as C´V´V, are underlyingly of the C´V form and they introduce a floating H. Whenever the association of this floating H with the first tone bearing unit that follows the wh-word is prevented by the presence of an IP boundary, a mora is created on the wh-word in order to realize the floating H. We briefly discuss the interface approach of Immediately After the Verb (IAV) focus (Costa and Kula, 2008) and we show that Bàsàa wh-questions and answers do not support this hypothesis. Finally, Bàsàa fronted whphrases, just like Hausa’s fronted foci (Leben et al., 1989), seem to provide support to the idea that intonational effects are also at play in the present tone language.
This study examines intraoral pressure for English and German stops in bilabial and alveolar place of articulation. Our subjects are two speakers of American English and three speakers of German. VOICING is the main phonological contrast under evaluation in both word initial and word final position. For initial stops, a few of the pressure characteristics showed differences between English and German, but on the whole the results point to similar production strategies at both places of articulation in the two different languages. Analysis of the pressure trajectory differences between VOICING categories in initial position raises questions about articulatory differences. In the initial closing gesture, time from start of gesture to closure is roughly equivalent for both categories, but the pressure change is significantly smaller on average for VOICED stops. Final stops, however, present a more complicated picture. German final stops are neutralized to a presumed VOICELESS phonological state. English final /p/ is broadly similar to German /p/, but English /t/ often shows no pressure increase at all which is at odds with the conventional account of phonation termination via pressure increase and loss of pressure differential. The results raise the question of whether the German final stops should be considered VOICELESS or some intermediate form, at least as compared to English final stops.
Glottal marking of vowel-initial German words by glottalization and glottal stop insertion were investigated in dependence on speech rate, word type (content vs. function words), word accent, phrasal position and the following vowel. The analysed material consisted of speeches of Konrad Adenauer, Thomas Mann and Richard von Weizsäcker. The investigation shows that not only the left boundary of accented syllables (including phrasal stress boundary) and lexical words favour glottal stops/glottalization, but also that the segmental level appears to have a strong impact on these insertion processes. Specifically, the results show that low vowels in contrast to non-low ones favour glottal stops/glottalization even before non-accented syllables and functional words.
The present study, based on a typological survey of ca. 70 languages, offers a systematization of consonantal insertions by classifying them into three main types: grammatical, phonetic, and prosodic insertions. The three epenthesis types essentially differ from each other in terms of preferred sounds, domains of application, the role of segmental context, their occurrence cross-linguistically, the extent of variation and phonetic explication.
The present investigation is significantly different from other analyses of consonantal epentheses in the sense that it neither invokes markedness nor diachronic state of the processes under discussion. Instead, it considers the different nature of the epenthetic segments by referring to the representational levels and/or domains which are relevant for their appearance.
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.
This paper tests three current theories of the phonology-syntax interface – Truckenbrodt (1995), Pak (2008) and Cheng & Downing (2007, 2009) – on the prosody of relative clauses in Chewa. Relative clauses, especially restrictive relative clauses, provide an ideal data set for comparing these theories, as they each make distinct predictions about the optimal phrasing. We show that the asymmetrical phase-edge based approach developed to account for similar Zulu prosodic phrasing by Cheng & Downing also best accounts for the Chewa data.
In Nłeʔkepmxcin, consonant-heavy inventories, lengthy obstruent clusters and widespread glottalization can make potential F0 cues to prosodic phrase boundaries (e.g. boundary tones or declination reset) difficult to observe phonetically. In this paper, I explore a test that exploits one behaviour of phrasefinal consonant clusters to test for prosodic phrasing in Nłeʔkepmxcin clauses. Final /t/ of the 1pl marker kt is aspirated when phrase-final, but not phraseinternally. Use of this test suggests that Thompson Salish speakers parse verbs, arguments and adjuncts into separate phonological phrases. However, complex verbal predicates and complex noun phrases are parsed as single phonological phrases. Implications are discussed, especially in regards to findings that (absence of) pitch accent is not employed to signal the informational categories of Focus and Givenness, even though Nłeʔkepmxcin is a stress language.
The aim of this paper is to try to explain how the Tooro system, which phonologically lacks tone, has come into being, by examining comparatively the tone system of each language itself and also by closely looking at the differences which exist among the Haya, Ankole and Nyoro systems (Kiga data insufficient) in order to look for phonetic reasons of the tone changes.
"The documentation of... descriptive generalizations is sometimes clearer and more accessible when expressed in terms of a detailed formal reconstruction, but only in the rare and happy case that the formalism fits the data so well that the resulting account is clearer and easier to understand than the list of categories of facts that it encodes.... [If not], subsequent scholars must often struggle to decode a description in an out-of-date formal framework so as to work back to... the facts.... which they can re-formalize in a new way. Having experienced this struggle often ourselves, we have decided to accommodate our successors by providing them directly with a plainer account." (Akinlabi & Liberman 2000:24)
This questionnaire is intended as an aid to eliciting different relative clause types – restrictive, non-restrictive, free, cleft. We have taken care to include examples where the head plays a variety of grammatical functions in the relative clause (subject, object, indirect object, possessor, adjunct). We have also taken care to include examples where the relative clause is in different positions in the sentence: initial, medial and extraposed. The questionnaire is intended as a guide, only, as every language will have its own set of possibilities and complications. At the end of the questionnaire is a checklist, as well as some illustrative examples in English and Swahili of the basic relative clause types. While we had Bantu languages in mind in devising the questionnaire, we hope it could also be useful to linguists with an interest in other languages.
In this paper I investigate the usage of the adverb and particle 'so' in spontaneous speech (interviews) collected from 21 speakers of the urban multi-ethnolectal youth language Kiezdeutsch. Speakers from the neighborhoods Kreuzberg and Wedding in Berlin are ranging in age from 14 to 18. The 1454 tokens of so available in the corpus (about 5 hours of speech) were classified into 10 different categories; some were structurally defined while others were defined along dimensions of meaning. Our current results indicate that there are differential usages patterns depending on the speaker's gender and age for some of these categories. Further, it appears that some patterns that have been attributed grammatical meaning may not appear frequently enough to establish a separate meaningful grammatical category. Rather, most instances of this kind of use of so appear to have a hedging function, indicating speakers' non-commitance to a specific circumstance.
We focus in this paper on two prosodic phenomena in Chimwiini: vowel length and accent (or High tone). Vowel length is determined in part by a lexical distinction between long and short vowels, and also by various morphophonemic processes that derive long vowels. Accent is penult in the default case, but final under certain morphosyntactic conditions. In order to account for the distribution of vowel length and the location of accents in a Chimwiini sentence, it is necessary to segment sentences into a sequence of phonological phrases. This paper examines the phonological phrasing of both canonical relative clauses and what we refer to as "pseudo-relative" clauses. An account of relative clause phrasing is of critical importance in Chimwiini due to the extensive use of pseudo-relatives in the language. Close examination of the pseudo-relatives reveals that their phrasing is not exactly the same as the phrasing of canonical relative clauses.
Símákonde is an Eastern Bantu language (P23) spoken by immigrant Mozambican communities in Zanzibar and on the Tanzanian mainland. Like other Makonde dialects and other Eastern and Southern Bantu languages (Hyman 2009), it has lost the historical Proto-Bantu vowel length contrast and now has a regular phrase-final stress rule, which causes a predictable bimoraic lengthening of the penultimate syllable of every Prosodic Phrase. The study of the prosody / syntax interface in Símákonde Relative Clauses requires to take into account the following elements: the relationship between the head and the relative verb, the conjoint / disjoint verbal distinction and the various phrasing patterns of Noun Phrases. Within Símákonde noun phrases, depending on the nature of the modifier, three different phrasing situations are observed: a modifier or modifiers may (i) be required to phrase with the head noun, (ii) be required to phrase separately, or (iii) optionally phrase with the head noun.
This paper examines locative relatives in Durban Zulu. We show that locative relatives differ from nominal relatives crucially in prosodic phrasing as well as in resumptive pronoun marking. We propose that the best way to account for locative relatives in Zulu is to resort to the old style adjunction analysis of relative clauses, with an empty operator. The system we propose assumes that such an adjunction analysis co-exists with a head-raising analysis, which accounts for the nominal relative clauses.
Símákonde is an Eastern Bantu language (P23) spoken by immigrant Mozambican communities in Zanzibar and on the Tanzanian mainland. Like other Makonde dialects and other Eastern and Southern Bantu languages (Hyman 2009), it has lost the historical Proto-Bantu vowel length contrast and now has a regular phrase-final stress rule, which causes a predictable bimoraic lengthening of the penultimate syllable of every Prosodic Phrase. The study of the prosody / syntax interface in Símákonde Relative Clauses requires to take into account the following elements: the relationship between the head and the relative verb, the conjoint / disjoint verbal distinction and the various phrasing patterns of Noun Phrases. Within Símákonde noun phrases, depending on the nature of the modifier, three different phrasing situations are observed: a modifier or modifiers may (i) be required to phrase with the head noun, (ii) be required to phrase separately, or (iii) optionally phrase with the head noun.
The morpho-syntax of relative clauses in Sotho-Tswana is relatively well-described in the literature. Prosodic characteristics, such as tone, have received far less attention in the existing descriptions. After reviewing the basic morpho-syntactic and semantic features of relative clauses in Tswana, the current paper sets out to present and discuss prosodic aspects. These comprise tone specifications of relative clause markers such as the demonstrative pronoun that acts as the relative pronoun, relative agreement concords and the relative suffix. Further prosodic aspects dealt with in the current article are tone alternations at the juncture of relative pronoun and head noun, and finally the tone patterns of the finite verbs in the relative clause. The article aims at providing the descriptive basis from which to arrive at generalizations concerning the prosodic phrasing of relative clauses in Tswana.
Relative clauses in Haya
(2010)
This paper gives an overview of the morphology and syntax of Haya relative clause constructions. It extends previous work on this topic (Duranti, 1977) by incorporating data from a number of different dialects and by introducing new data on locative relative clauses. The dialects discussed in addition to the Kihanja data from Byarushengo et al. (1977) include Kiziba, Muleba and Bugabo dialects. Nyambo data taken from Rugemalira (2005) is also compared to Haya in places. The focus of the discussion is on the grammaticality of pronominal elements attached to the verb that refer back to the relativized entity with different types of relativized constituents in Haya. It is shown that there are differences between subjects, objects and locatives in terms of this kind of morphology inside the relative clause, as well as differences between these kinds of morphemes and resumptive pronouns.
Introduction
(2010)
The papers in this volume were originally presented at the Bantu Relative Clause workshop held in Paris on 8-9 January 2010, which was organized by the French-German cooperative project on the Phonology/Syntax Interface in Bantu Languages (BANTU PSYN). This project, which is funded by the ANR and the DFG, comprises three research teams, based in Berlin, Paris and Lyon. [...] This range of expertise is essential to realizing the goals of our project. Because Bantu languages have a rich phrasal phonology, they have played a central role in the development of theories of the phonology-syntax interface ever since the seminal work from the 1970s on Chimwiini (Kisseberth & Abasheikh 1974) and Haya (Byarushengo et al. 1976). Indeed, half the papers in Inkelas & Zec’s (1990) collection of papers on the phonology-syntax interface deal with Bantu languages. They have naturally played an important role in current debates comparing indirect and direct reference theories of the phonology-syntax interface. Indirect reference theories (e.g., Nespor & Vogel 1986; Selkirk 1986, 1995, 2000, 2009; Kanerva 1990; Truckenbrodt 1995, 1999, 2005, 2007) propose that phonology is not directly conditioned by syntactic information. Rather, the interface is mediated by phrasal prosodic constituents like Phonological Phrase and Intonation Phrase, which need not match any syntactic constituent. In contrast, direct reference theories (e.g., Kaisse 1985; Odden 1995, 1996; Pak 2008; Seidl 2001) argue that phrasal prosodic constituents are superfluous, as phonology can – indeed, must – refer directly to syntactic structure.
This study examines articulatory and acoustic inter-speaker variability in the production of the German vowels /i/, /u/ and /a/. Our subjects are 3 monozygotic twin pairs (2 female and 1 male pair) and 2 dizygotic female twin pairs. All of them were born, raised and are still living in Berlin and see their twin brother or sister regularly. We assume that monozygotic twins that are genetically identical and share the same physiology should be more similar in their articulation than dizygotic twins but that the shared time and social environment of twins, regardless of their genetic similarity, also plays a crucial role in the acoustic similarity of twins. Articulatory measurements were made with EMA (Electromagnetic Articulography) and the target positions of the produced vowels were analyzed. Additionally, the formants F1-F4 of each vowel were measured and compared within the twin pairs. Our data seems to point out the importance of a shared environment and the strong influence of learning over the anatomical identity of the monozygotic twins regarding the production of vowels. But, additional results suggest (1) the impact of physiology on the production of a vowel following a velar consonant and (2) the interaction of physiology and stress in inter-speaker variability.
As work like McCarthy (2002: 128) notes, pre-Optimality Theory (OT) phonology was primarily concerned with representations and theories of subsegmental structure. In contrast, the role of representations and choice of structural models has received little attention in OT. Some central representational issues of the pre-OT era have, in fact, become moot in OT (McCarthy 2002: 128). Further, as work like Baković (2007) notes, even for assimilatory processes where representation played a central role in the pre-OT era, constraint interaction now carries the main explanatory burden. Indeed, relatively few studies in OT (e.g., Rose 2000; Hargus & Beavert 2006; Huffmann 2005, 2007; Morén 2006) have argued for the importance of phonological representations. This paper intends to contribute to this work by reanalyzing a set of processes related to vowel harmony in Shimakonde, a Bantu language spoken in Mozambique and Tanzania. These processes are of particular interest, as Liphola’s (2001) study argues that they are derivationally opaque and so not amenable to an OT analysis. I show that the opacity disappears given the proper choice of representations for vowel features and a metrical harmony domain.
The present study argues that variation across listeners in the perception of a non-native contrast is due to two factors: the listener-specic weighting of auditory dimensions and the listener-specic construction of new segmental representations. The interaction of both factors is shown to take place in the perception grammar, which can be modelled within an OT framework. These points are illustrated with the acquisition of the Dutch three-member labiodental contrast [V v f] by German learners of Dutch, focussing on four types of learners from the perception study by Hamann and Sennema (2005a).
The main tenet of the present paper is the thesis that nominalization – like other cases of derivational morphology – is an essentially lexical phenomenon with well defined syntactic (and semantic) conditions and consequences. More specifically, it will be argued that the relation between a verb and the noun derived from it is subject to both systematic and idiosyncratic conditions with respect to lexical as well as syntactic aspects.
The main concern of this article is to discuss some recent findings concerning the psychological reality of optimality-theoretic pragmatics and its central part – bidirectional optimization. A present challenge is to close the gap between experimental pragmatics and neo-Gricean theories of pragmatics. I claim that OT pragmatics helps to overcome this gap, in particular in connection with the discussion of asymmetries between natural language comprehension and production. The theoretical debate will be concentrated on two different ways of interpreting bidirection: first, bidirectional optimization as a psychologically realistic online mechanism; second, bidirectional optimization as an offline phenomenon of fossilizing optimal form-meaning pairs. It will be argued that neither of these extreme views fits completely with the empirical data when taken per se.
Ever since the discovery of neural networks, there has been a controversy between two modes of information processing. On the one hand, symbolic systems have proven indispensable for our understanding of higher intelligence, especially when cognitive domains like language and reasoning are examined. On the other hand, it is a matter of fact that intelligence resides in the brain, where computation appears to be organized by numerical and statistical principles and where a parallel distributed architecture is appropriate. The present claim is in line with researchers like Paul Smolensky and Peter Gärdenfors and suggests that this controversy can be resolved by a unified theory of cognition – one that integrates both aspects of cognition and assigns the proper roles to symbolic computation and numerical neural computation.
The overall goal in this contribution is to discuss formal systems that are suitable for grounding the formal basis for such a unified theory. It is suggested that the instruments of modern logic and model theoretic semantics are appropriate for analyzing certain aspects of dynamical systems like inferring and learning in neural networks. Hence, I suggest that an active dialogue between the traditional symbolic approaches to logic, information and language and the connectionist paradigm is possible and fruitful. An essential component of this dialogue refers to Optimality Theory (OT) – taken as a theory that likewise aims to overcome the gap between symbolic and neuronal systems. In the light of the proposed logical analysis notions like recoverability and bidirection are explained, and likewise the problem of founding a strict constraint hierarchy is discussed. Moreover, a claim is made for developing an "embodied" OT closing the gap between symbolic representation and embodied cognition.
The paper investigates the origins of the German/Dutch particle toch/doch) in the hope of shedding light on a puzzle with respect to doch/toch and to shed some light on two theoretical issues. The puzzle is the nearly opposite meaning of the stressed and unstressed versions of the particle which cannot be accounted for in standard theories of the meaning of stress. One theoretical issue concerns the meaning of stress: whether it is possible to reduce the semantic contribution of a stressed item to the meaning of the item and the meaning of stress. The second issue is whether the complex use of a particle like doch/toch can be seen as an instance of spread or whether it has to be seen as having a core meaning which is differentiated by pragmatics operating in different contexts.
We use the etymology of doch and doch as to+u+h (that+ question marker+ emphatic marker) to argue for an origin as a question tag checking a hearer opinion. Stress on the tag indicates an opposite opinion (of the common ground or the speaker) and this sets apart two groups of uses spreading in different directions. This solves the puzzle, indicates that the assumption of spread is useful and offers a subtle correction of the interpretation of stress. While stress always means contrast with a contrasting item, if the particle use is due to spread, it is not guaranteed that the unstressed particle has a corresponding use (or inversely).
In this paper, we outline the foundations of a theory of implicatures. It divides into two parts. The first part contains the base model. It introduces signalling games, optimal answer models, and a general definition of implicatures in terms of natural information. The second part contains a refinement in which we consider noisy communication with efficient clarification requests. Throughout, we assume a fully cooperative speaker who knows the information state of the hearer. The purpose of this paper is not the study of examples. Our concern is the framework for doing these studies.
The article aims to give an overview about the application of Optimality Theory (OT) to the domain of pragmatics. In the introductory part we discuss different ways to view the division of labor between semantics and pragmatics. Rejecting the doctrine of literal meaning we conform to (i) semantic underdetermination and (ii) contextualism (the idea that the mechanism of pragmatic interpretation is crucial both for determining what the speaker says and what he means). Taking the assumptions (i) and (ii) as essential requisites for a natural theory of pragmatic interpretation, section 2 introduces the three main views conforming to these assumptions: Relevance theory, Levinson’s theory of presumptive meanings, and the Neo-Gricean approach. In section 3 we explain the general paradigm of OT and the idea of bidirectional optimization. We show how the idea of optimal interpretation can be used to restructure the core ideas of these three different approaches. Further, we argue that bidirectional OT has the potential to account both for the synchronic and the diachronic perspective on pragmatic interpretation. Section 4 lists relevant examples of using the framework of bidirectional optimization in the domain of pragmatics. Section 5 provides some general conclusions. Modeling both for the synchronic and the diachronic perspective on pragmatics opens the way for a deeper understanding of the idea of naturalization and (cultural) embodiment in the context of natural language interpretation.
To some, the relation between bidirectional optimality theory and game theory seems obvious: strong bidirectional optimality corresponds to Nash equilibrium in a strategic game (Dekker and van Rooij 2000). But in the domain of pragmatics this formally sound parallel is conceptually inadequate: the sequence of utterance and its interpretation cannot be modelled reasonably as a strategic game, because this would mean that speakers choose formulations independently of a meaning that they want to express, and that hearers choose an interpretation irrespective of an utterance that they have observed. Clearly, the sequence of utterance and interpretation requires a dynamic game model. One such model, and one that is widely studied and of manageable complexity, is a signaling game. This paper is therefore concerned with an epistemic interpretation of bidirectional optimality, both strong and weak, in terms of beliefs and strategies of players in a signaling game. In particular, I suggest that strong optimality may be regarded as a process of internal self-monitoring and that weak optimality corresponds to an iterated process of such self-monitoring. This latter process can be derived by assuming that agents act rationally to (possibly partial) beliefs in a self-monitoring opponent.
The present paper offers a summary of the results of two earlier experiments (Nawrocki and Gonet 2004; Nawrocki 2004), in which acoustic properties of the voiceless velar fricative phoneme /x/ in Southern Polish were investigated.
As is found in both studies (Nawrocki and Gonet 2004; Nawrocki 2004), speakers of both genders favour glottal articulation, with partial or full voicing. Word final contexts are decisively in favour of [x]. The word initial, prevocalic positions seem to allow quite a number of allophonic variants of /x/ . These are: [x], [ɦ], [ç] and, additionally, the voiceless glottal, the pharyngeal or the epiglottal [h]/[ħ]/[ʜ]. Another factor taken into account is the coarticulation effect of the vocalic context on the choice of articulation. Based on the results of the experiments, a reformulated allophonic composition is proposed for Polish /x/. It makes room for previously unconsidered pharyngeal and glottal allophones.
In order to inspect the acoustic properties of the allophones of Polish /x/ further, their static and dynamic spectral features are compared to those of phonetically similar sounds in other languages where they have the status of independent phonemes. Special attention is paid to the distribution of spectral peaks and their intensity. The fact that in Polish there are no 'back' fricative phonemes that would contrast with /x/ creates a wide range of acceptable allophonic articulations that cannot be challenged from either articulatory or perceptual points of view.
Horn's division of pragmatic labour (Horn, 1984) is a universal property of language, and amounts to the pairing of simple meanings to simple forms, and deviant meanings to complex forms. This division makes sense, but a community of language users that do not know it makes sense will still develop it after a while, because it gives optimal communication at minimal costs. This property of the division of pragmatic labour is shown by formalising it and applying it to a simple form of signalling games, which allows computer simulations to corroborate intuitions. The division of pragmatic labour is a stable communicative strategy that a population of communicating agents will converge on, and it cannot be replaced by alternative strategies once it is in place.
Language contact has become a major focus of inquiry in historical and typological linguistics in the last twenty years, spurred in a large part by the publication of Thomason & Kaufman (1988), which tried to make sense of a large amount of language contact data. They argued that there was a direct relationship between the degree or intensity of language contact and the amount and type of influence the contact would have on one or more of the languages involved. Essentially, the greater the degree of bilingualism, the greater the degree of contact influence (see also Thomason 2001); if the contact and bilingualism was minimal, then there might just be a few loanwords adapted to the borrowing language's phonology and grammatical system, but if the contact and bilingualism was of a greater degree there would be influence in the grammar and phonology of the affected language. As more linguists came to take language contact more seriously, they came to realize how common language contact phenomena are.
Focus asymmetries in Bura
(2008)
This article presents the central aspects of the focus system of Bura (Chadic), which exhibits a number of asymmetries: Grammatical focus marking is obligatory only with focused subjects, where focus is marked by the particle án following the subject. Focused subjects remain in situ and the complement of án is a regular VP. With nonsubject foci, án appears in a cleft-structure between the fronted focus constituent and a relative clause. We present a semantically unified analysis of focus marking in Bura that treats the particle as a focusmarking copula in T that takes a property-denoting expression (the background) and an individual-denoting expression (the focus) as arguments. The article also investigates the realization of predicate and polarity focus, which are almost never marked. The upshot of the discussion is that Bura shares many characteristic traits of focus marking with other Chadic languages, but it crucially differs in exhibiting a structural difference in the marking of focus on subjects and non-subject constituents.
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.
The article analyzes the system of focus-sensitive particles and, to a lesser extent, clefts in Vietnamese. EVEN/ALSO/ONLY foci are discussed across syntactic categories, and Vietnamese is found to organize its system of focus-sensitive particles along three dimensions of classification: (i) EVEN vs. ALSO vs. ONLY; (ii) particles c-commanding foci vs. particles c-commanding backgrounds; (iii) adverbial focus-sensitive particles vs. particles c-commanding argument foci only. Towards the end of the paper, free-choice constructions and additional sentence-final particles conveying ONLY and ALSO semantics are briefly discussed. The peculiar Vietnamese system reflects core properties of the analogous empirical domain in Chinese, a known source of borrowings into Vietnamese over the millennia.
Implicated presuppositions
(2008)
The paper presents an additional argument for a specific account of semantic binding: the flat-binding analysis. The argument is based on observations concerning sloppy interpretations in verb phrase ellipsis when the binder is not the subject of the elided VP. In one such case, it is important that one of the binders belong to the domain of the other. This case can be derived from the flat-binding analysis as is shown in the paper, while it is unclear how to account for it within other analyses of semantic binding.
Aramaic is not among the oldest Semitic languages in a strictly chronological sense, but among those languages which are still spoken today, it has the longest continuous written tradition. The existing written documents span a period of three millennia and thus enable us to study language history in a long-term perspective. It is very important, in this respect, that the latest stage of development of Aramaic, Neo-Aramaic, still exists in a multitude of spoken varieties which can be studied in vivo. We can thus describe the phonetics and phonology of the modern varieties with more precision than is possible for the older language stages, which in turn enables us to draw conclusions on diachronic sound change. Likewise, we can study morphology and syntax not only from recorded texts, but we also have recourse to native speakers in order to clarify doubtful points. Thus the latest stage of Aramaic casts a strong light back into the past. It is therefore most unfortunate that many Aramaicists and Syrologists show so little interest in this living heritage.
Verb agreement and epistemic marking : a typological journey from the Himalayas to the Caucasus
(2008)
Studies of the epistemic categories expressed in Tibetan auxiliaries and copulas have mostly compared the phenomena with mirativity marking, and this is no doubt the correct comparandum in diachronic research. However, synchronic descriptions are also often tempted to compare the relevant categories with agreement systems or similar reference-related structures, at least for expository purposes when explaining how the system works (e. g. Denwood 1999, Tournadre 1996, Goldstein et al. 1991).
The claim of this paper is that embedded definites can, despite the appearances, be accounted for on the uniqueness approach. Far from being a surprise, we argue that the behavior of embedded definites is actually expected once two independent facts are taken into account: the ability of noun phrases to take scope, i.e., to be interpreted in a different place from their syntactic position, and the interaction of presuppositions and scope-taking elements. Specifically, we analyze embedded definites as a case of inverse linking (Gabbay and Moravscik, 1974; May, 1977): the embedded definite takes scope over the embedding one. The presupposition of the embedded definite is weakened as a result of the independently motivated process of intermediate accommodation (Kratzer, 1989; Berman, 1991). In our case, this process transfers the presupposition of the embedding definite into the restrictor of the embedded one.
Like other scope-taking processes, inverse linking is generally taken to be subject to locality constraints: if a syntactic island, such as a finite clause boundary, intervenes in the path of a scope-taking element, then the resulting reading is unavailable or degraded (Rodman, 1976). Since our account views embedded definites as cases of inverse linking, we predict that inserting an island into an embedded definite, all else being equal, should lead to a similar degradation. We report results from an online survey with 800 participants that confirm this prediction.
It has been established since Kanerva’s work that focus conditions phrasing – directly or indirectly – in several other Bantu languages, e.g. Chimwiini (Kisseberth 2007, Downing 2002, Kisseberth & Abasheikh 2004), Xhosa (Jokweni 1995, Zerbian 2004), Chitumbuka (Downing 2006, 2007), Zulu (Cheng & Downing 2006, Downing 2007), Bemba (Kula 2007), etc.
In this paper, I will argue that focus also conditions phrasing in Shingazidja, a Bantu language3 spoken on Grande Comore (or Ngazidja, the largest island of the Comoros).
Many works have been dedicated to the tonology of Shingazidja. The bases of the system were firstly identified by Tucker & Bryan (1970) and reanalyzed by Philippson (1988). Later, Cassimjee & Kisseberth (1989, 1992, 1993, 1998) provide a very convincing analysis of the whole system of the language, and my own research (Patin 2007a) shows a great correspondence with their results. However, little attention has been paid by these authors or others (Jouannet 1989, Rey 1990, Philippson 2005) to the phonology-pragmatics interface, especially on the relation between focus and phrasing. This paper thus proposes to explore this question. It will be claimed that focus, beside syntax, has an influence on phrasing in Shingazidja.
We present the results of an experimental study which targets prosodic correlates of subclausal quotation marks. We found that written sentences containing passages enclosed by quotation marks were read aloud in a manner that significantly differs in prosody from spoken realizations of corresponding disquoted counterparts. However, we also observed that such prosodic marking of subclausal quotation wasn't strong enough to survive subsequent back-translation into written language: there was no correlation between the presence/absence of quotation marks in the original written examples, and the presence/absence of quotation marks in corresponding back-translations from oral renditions. We investigated three different kinds of uses of quotation marks and found no systematic difference between them with respect to prosodic marking.
Rate effects on aerodynamics of intervocalic stops : evidence from real speech data and model data
(2008)
This paper is a first attempt towards a better understanding of the aerodynamic properties during speech production and their potential control. In recent years, studies on intraoral pressure in speech have been rather rare, and more studies concern the air flow development. However, the intraoral pressure is a crucial factor for analysing the production of various sounds.
In this paper, we focus on the intraoral pressure development during the production of intervocalic stops.
Two experimental methodologies are presented and confronted with each other: real speech data recorded for four German native speakers, and model data, obtained by a mechanical replica which allows reproducing the main physical mechanisms occurring during phonation. The two methods are presented and applied to a study on the influence of speech rate on aerodynamic properties.