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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
(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.
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.
Khoekhoe syntax exhibits an unusually flexible constituent structure. Any constituent with a lexical head can be preposed into the focal initial slot immediately before the PGN-marker that marks the subject position. Two strategies of focalisation by foregrounding need to be distinguished: inversion and fronting. Inversion amounts to an inversion of subject and predicate in their entirety. Such sentences have two readings, though, according to their underlying constituent structure: "predicative" or "copulative". Fronting amounts to the preposing of a lexical constituent into the focal initial slot, with subsequent dislocation of the lexical specification of the subject from that slot.
The present analysis has wider implications, particularly: The generally accepted view that Khoekhoe has coreferential/equational "copulative" sentences of the type NPsubject = NPcomplement is a fallacy. Such sentences actually are sentences with their predicate fronted into the focal initial slot. They amount to cleft constructions.
The fact that the primary focal position is immediately before the PGNmarker of the subject is further independent evidence for the "desentential hypothesis", according to which subject and object NPs in the underlying matrix sentence consist of only an enclitic PGN-marker, and for the claim that Khoekhoe underlyingly is a SVO language, not a SOV language as generally held. By implication these findings affect the analysis of other Central Khoesaan languages.
In what follows, we will first put forward the claim that syntactic ergativity results from morphological ergativity by examining relativization and pea-coordination in Tongan (Section 2). In Sections 3 and 4, we compare 'O-constructions with pea-constructions to conclude a) that unlike pea, 'O should be regarded as a complementizer rather than a conjunction; and b) that the gap in 'O-clauses is not an outcome of deletion, but a null anaphor. We will then discuss a Minimalist approach to binding proposed by Reuland (2001) and see how it accounts for the distribution and behavior of proSE in Tongan. Some implications of the current proposal are discussed in Section 6, with section 7 in conclusion.
The distinction between COMPLEMENTS and ADJUNCTS has a long tradition in grammatical theory, and it is also included in some way or other in most current formal linguistic theories. But it is a highly vexed distinction, for several reasons, one of which is that no diagnostic criteria have emerged that will reliably distinguish adjuncts from complements in all cases – too many examples seem to "fall into the crack" between the two categories, no matter how theorists wrestle with them.
In this paper, I will argue that this empirical diagnostic "problem" is, in fact, precisely what we should expect to find in natural language, when a proper understanding of the adjunct/complement distinction is achieved: the key hypothesis is that a complete grammar should provide a DUAL ANALYSIS of every complement as an adjunct, and potentially, an analysis of any adjunct as a complement. What this means and why it is motivated by linguistic evidence will be discussed in detail.
Languages cross-linguistically differ with respect to whether they accept or ban True Negative Imperatives (TNIs). In this paper I show that this ban follows from three generally accepted assumptions: (i) the fact that the operator that encodes the illocutionary force of an imperative universally takes scope from C°; (ii) the fact that this operator may not be operated on by a negative operator and (iii) the Head Movement Constraint (an instance of Relativized Minimality). In my paper I argue that languages differ too with respect to both the syntactic status (head/phrasal) and the semantic value (negative/non-negative) of their negative markers. Given these difference across languages and the analysis of TNIs based on the three above mentioned assumptions, two typological generalisations can be predicted: (i) every language with an overt negative marker X° that is semantically negative bans TNIs; and (ii) every language that bans TNIs exhibits an overt negative marker X°. I demonstrate in my paper that both typological predictions are born out.
In this paper I discuss four type of bare nominal, and note that, in some sense, all of them appear to imply stereotypicality. I consider an account in terms of Bidirectional Optimality Theory: unmarked (bare) forms give rise to unmarked (stereotypical) interpretations. However, it turns out that, while the form of bare numerals is unmarked, the interpretation sometimes is not. I suggest that the crucial notion is not unmarkedness, but optimal inference: unmarked forms give rise to interpretations that are best used for drawing inferences. I propose a revision of Bidirectional Optimality Theory to reflect this.
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.
We will see how it is reasonable to speak of a minimum distance that an element must cross in order to enter into a well-formed movement dependency. In the course of the discussion of this notion of anti-localiry, a theoretical framework unfolds which is compatible with recent thoughts on syntactic computation regarding local economy and phrase structure, as well as the view that certain pronouns are grammatical formatives, rather than fully lexical expressions. The upshot will be that if an element does not move a certain distance, the derivation crashes at PF, unless the lower copy is spelled out as a pronominal element. The framework presented has a number of implications for the study of clause-typing, of which some will be discussed towards the end.
The claim advanced in this paper is that the presence of a left-dislocated element together with a resumptive clitic in Bulgarian is a special case of argument saturation with implications for the focus structure of the clause, while contrast involves discontinuous focus (contrastive topics/foci) with no clitics present in the derivation. Contrastive topic/focus constructions in Bulgarian can be united on the view that they involve (sets of) ordered pairs where the higher element is valuing a contrastive feature (cf. OCC in Chomsky 2001) while the element in the VP is a non-contrastive topic or focus. The contrastive feature participates in wh-structures but not in clitic-left-dislocated structures where pairing between arguments is 'accidental'.
In this work we examine several sentential particles, occurring in imperatives, main exclamative and interrogative sentences, which display a uniform syntactic behaviour. We analyse them as heads of high CP projections which require their specifier to be filled either by the wh-item (in sentences where there is one) or by the whole clause, yielding the sentence final position of the particle. The hypothesis that they are C°-heads accounts for their sensitivity to sentence type and for their occurrence only in matrix contexts. We also provide a first sketch of their semantic contribution, showing that they select ‘non standard’ contexts and interact with tense and modality of the verb when the whole CP has moved to their specifier.
An adjunct-DP in the free instrumental case occurs in a number of surface positions where the DP is syntactically optional. does not depend on any element in the sentence, and has a number of different interpretations. We introduce Bailyn's proposal which postulates a uniform syntactic environment for all the uses of instr. This calls for a uniform semantics of these DPs which can nevertheless accomodate the different interpretations. Starting with the hypothesis of Roman Jakobson about the semantics of the instrumental case we formulate a semantic interpretation theory based on abduction. We give a uniform semantics for three different adjunct uses of instr in this framework. In the concluding part of the paper we discuss some possible alternatives and ramifications as well as questions and objections raised with respect to the treatment proposed in this paper.
As a traditional notion of fundamental importance in linguistics and philosophy (logic), "predication" is fraught with controversial issues. It is thus difficult to delimit the scope of this paper without becoming involved in some major issue. The following distinctions seem to me to be plausible on an intuitive basis. Evidence for why they are useful and legitimate will be found in the body of the paper. The discussion will focus on morphosyntactic predication […].
Ergativity in Samoan
(1985)
Most typological and language specific studies on so- called ergative languages are concerned with case marking patterns, particularly split ergativity, with the organization of syntactic relations as defined by syntactic operations such as coreferential deletion across coordinate conjunctions, Equi-NP-deletion and relativization , and with the notion of subject, but usually neglect the notion of valency, though the inherent relational properties of the verb , i. e. valency, play a fundamental role in the syntactic organization of sentences in ergative as well as in other languages . The following investigation of ergativity in Samoan aims to integrate the notion of valency into the description of semantic and syntactic relations and to outline the characteristic features of Samoan verbal clauses as far as they seem to be relevant to recent and still ongoing discussions on linguistic typology and syntactic theory. The main points of the definition of valency […] are: Valency is the property of the verb which determines the obligatory and optional number of its participants, their morphosyntactic form, their semantic class membership (e.g. ± animate, ± human) , and their semantic role (e.g. agent , patient , recipient). All semantic properties and morphosyntactic properties of participants not inherently given by the verb and therefore not predictable from the verb, are not a matter of valency. Valency is not a homogenous property of the verb, but consists of several exponents which show varying degress of relevance in different languages or different verb classes within a single language.
Grammatical relations, particularly the notions of transitivity, case marking, ergativity, passive and antipassive have been a favourite subject of typological research during the last decade, but surprisingly, the notion of valency has been of marginal interest in cross-linguistic studies, though the syntactic and semantic status of participants is, to a great extent, determined by the relational properties of the verb. Valency is the property of the verb which determines the obligatory and optional number of its participants, their morphosyntactic form, their semantic class membership (e.g. ± animate, ± human) ,and their semantic role (e.g. agent, patient, recipient). The valency inherently gives information on the nature of the semantic and syntactic relations that hold between the verb and its participants. If a verb is combined with more participants than allowed or less than required, or if the participants do not show the required morphosyntactic form or class membership, the clause is ungrammatical. In other words, it is not sufficient to consider only the number of actants as a matter of valency, but it is only acceptable if all semantic and morphosyntactic properties of the relation between a verb and its participants that are predictable from the verb are included. The predictability of these properties results from their inherent givenness, and it does not seem reasonable to count some inherently given relational properties as a matter of valency, but not others (compare Helbig (1971:38f) and Heidolph et ale (1981:479) who distinguish between the quantitative, syntactic and semantic aspect of valency).
The present paper is an attempt to describe a particular semantic domain in Thai, that of local relations, in terms of a gradual interconnection of what traditional descriptions usually regard as distinct and isolated categories. It is based on the well-known observation that isolating languages like Thai typically display a high degree of 'multifunctionality', or else of syntactic 'versatility' of very many lexical items. […] The semantic area studied in the following pages yields a clear systematic interconnection of three different categories, viz. that of nouns – as the focal instance of maximum syntactic independence –, that of verbs – as, conversely, the focal instance of maximally relational concepts –, and, as an intermediary category between these two, that of prepositions which the system lexically feeds from both these opposite ends. The examples given in the course of this paper have been obtained from published grammatical literature, from Thai texts, and from informants.
In the last two decades Philippine languages, and of these especially Tagalog, have acquired a prominent place in linguistic theory. A central role in this discussion was played by two papers written by Schachter (1976 and 1977), who was inspired by Keenan's artcle on the subject from 1976. The most recent contributions on this topic have been from de Wolff (1988) and Shibatani (1988), both of which were published in a collection of essays, edited by Shibatani, with the title Passive and Voice. These works, and several works in-between, deal with the focus system specific to Philippine languages. The main discussion centers around the fact that Philippine languages contain a basic set of 5 to 7 affix focus forms. Their exact number varies not only in the secondary literature, but in the primary sources, i.e. Tagalog grammars, as well, where considerable differences in the number of affix focus forms can be found. All of these works, however, do agree on one point: the Philippine focus system basica1ly consists of agent, patient (=goal or object), benefactive, locative, and instrumental affix forms. Schachter/Otanes (1972) list a number of further forms, and in Drossard (1983 and 1984) we tried to show (in an attempt similar to those of Sapir 1917 and Klimov 1977) that the main criterion for a systematization of the Philippine focus system consists in the difference between the active and stative domains, an attempt which in our opinion was largely misunderstood (cf. the brief remarks in Shibatani (1988) and de Wolff (1988). The present paper is thus, on the one hand, an attempt to repeat and clarify our earlier position, and on the other, a further step towards such a systematization. A first step in this direction was an article on resultativity in Tagalog from 1991. In the present paper this approach will be extended to reciprocity. In the process we will show that it is valid to make a distinction between an active (=controlled action) vs. a stative (=limited controlled action) domain. First, however, we will take a brief look at what makes up the active and stative voice systems.
Grammatical relations – in particular the relation 'subject of' – and voice are of central concern to any theory of universal grammar. With respect to these phenomena the analysis of Tagalog (and the Philippine languages in general) has turned out to be particularly difficult and continues to be a matter of debate. What traditionally has been called passive voice in these languages […] appears to be so different from voice phenomena in the more familiar Indo-European languages that the term 'focus' was introduced in the late 1950s to underscore its 'exceptional' nature [...]. Furthermore, […] an inflationary use has been made of the term 'ergative' in the last decade; it can thus no longer be assumed that it has an unequivocal and specific meaning in typologizing languages, apart from the technical definition it might be given within a particular framework. But if the Philippine 'focus' constructions are neither passive nor ergative, how else can they be analysed? [...] In this paper a ease will be made for the claim that 'focus' marking should be analysed in terms of orientation, a concept used […] for capturing the difference between English (and, more generally, Indo-European) orientated nominalisations such as 'employ-er' or 'employ-ee', and unorientated nominalisations such as 'employ-ing'. This approach implies that 'focus' marking is derivational rather than inflectional as often presumed in the literature. This is to say that what is typologically conspicuous in Tagalog is not the 'focus' phenomenon per se, since this is very similar to orientated nominalisations in many other languages, but rather the very prominent use of orientated formations (i.e., derivational morphology) in basic clause structure.
In this paper I present five alternations of the verb system of Modern Greek, which are recurrently mapped on the syntactic frame NPi__NP. The actual claim is that only the participation in alternations and/or the allocation to an alternation variant can reliably determine the relation between a verb derivative and its base. In the second part, the conceptual structures and semantic/situational fields of a large number of “-ízo” derivatives appearing inside alternation classes are presented. The restricted character of the conceptual and situational preferences inside alternations classes suggests the dominant character of the alternations component.
Rawang [...] is a Tibeto-Burman language spoken by people who live in the far north of Kachin State in Myanmar (Burma), particularly along the Mae Hka ('Nmai Hka) and Maeli Hka (Mali Hka) river valleys (see map on back page); population unknown, although Ethnologue gives 100,000. In the past they had been called ‘Nung’, or (mistakenly) ‘Hkanung’, and are considered to be a sub-group of the Kachin by the Myanmar government. Until government policies put a stop to the clearing of new land in 1994, the Rawang speakers still practiced slash and burn farming on the mountainsides (they still do a bit, but only on already claimed land), in conjunction with planting paddy rice near the river. They are closely related to people on the other side of the Chinese border in Yunnan classified as either Dulong or Nu(ng) (see LaPolla 2001, 2003 on the Dulong language). In this paper, I will be discussing the word-class-changing constructions found in Rawang, using data of the Mvtwang (Mvt River) dialect of Rawang, which is considered the most central of those dialects in Myanmar and so has become something of a standard for writing and inter-group communication.
Rawang (Rvwàng) is a Tibeto-Burman language spoken in the far north of Myanmar (Burma), and is closely related to the Dulong language spoken in China. Rawang manifests a kind of hierarchical person marking on the predicate which marks first person primarily (in several different ways - suffixes, change of final consonant, vowel length - and up to five times within one verb complex), and second person indirectly with a sort of marking similar to the inverse marking found in some North American languages: it appears when there is a first person participant, but that referent is not the actor, and when the second person is a participant. This system is quite different from those that reflect semantic role (e.g. Qiang) or grammatical relations (e.g. English).
Questions on transitivity
(2008)
This handout (it isn’t a paper) presents phenomena and questions, rather than conclusions, related to the concept of transitivity. The idea is to return to these questions at the end of the Workshop to see if we can have a clearer consensus about the best general analysis of phenomena associated with transitivity. Section 2 presents alternative analyses of transitivity and questions about transitivity in three languages I have worked on. Section 3 discusses a few of the different conceptualisations of transitivity that might be relevant to our thinking about the questions related to these languages or that bring up further questions. Section 4 presents some general questions that might be asked of individual languages.
This paper is an inductive look at the constituents found in a randomly selected Tagalog text, Bob Ong’s Alamat ng Gubat (Makati City, MM: Visual Print Enterprises, 2004). The analysis is based on the full text, but we will only be able to go through the first few lines of the text here, which we will do one by one, and discuss the structures found in each line of the text in bullet format after the relevant line. At the end of the paper we will bring up some important questions about the structures found in Tagalog based on this text.
This paper is one argument for a theory of grammatical relations in Chinese in which there are no grammatical relations beyond semantic roles, and no lexical relation-changing rules. As the passive rule is one of the most common relation changing rules cross-linguistically, in this paper I will address the question of whether or not Mandarin Chinese has lexical passives, that is, passives defined as in Relational Grammar (see for example Perlmutter and Postal 1977) and the early Lexical Functional Grammar (LFG) literature (e.g. Bresnan 1982), where a 2-arc (object) is promoted to a 1-arc (subject).
In attempting to reconstruct the morphosyntax of Proto-Sino-Tibetan, one of the most basic questions to be answered is what was the unmarked word order of the proto-language? Chinese, Bai, and Karen are verb-medial languages, while all of the Tibeto-Burman languages except for Bai and Karen have verb-final word order. lf these languages are all related, as we can assume from lexical correspondences, then either Chinese, Bai and Karen changed from verb-final to verb-medial word order, or the other Tibeto-Burman languages changed trom verb-medial to verb-final order. How we answer the question of which languages changed their word would then give us the answer to the question of word order in Proto-Sino-Tibetan.
Thirty-one years ago Tsu-lin Mei (1961) argued against the traditional doctrine that saw the subject-predicate distinction in grammar as parallel to the particular- universal distinction in logic, as he said it was a reflex of an Indo-European bias, and could not be valid, as ‘Chinese ... does not admit a distinction into subject and predicate’ (p. 153). This has not stopped linguists working on Chinese from attempting to define ‘subject’ (and ‘object’) in Chinese. Though a number of linguists have lamented the difficulties in trying to define these concepts for Chinese (see below), most work done on Chinese still assumes that Chinese must have the same grammatical features as Indo-European, such as having a subject and a direct object, though no attempt is made to justify that view. This paper challenges that view and argues that there has been no grammaticalization of syntactic functions in Chinese. The correct assignment of semantic roles to the constituents of a discourse is done by the listener on the basis of the discourse structure and pragmatics (information flow, inference, relevance, and real world knowledge) (cf. Li & Thompson 1978, 1979; LaPolla 1990).
Middle voice marking is very rarely recognized as such in the grammars written on Tibeto-Burman languages. It is often simply treated as a normal direct reflexive or as an intransitivizer. In order to draw the attention of scholars to the existence and function of middle voice marking in Tibeto-Burman languages, the present paper discusses the form and function of middle marking in several of these languages. We will first discuss key facts about middle marking in general, then discuss the individual Tibeto-Burman examples.
Ever since the publication of Greenberg 1963, word order typologists have attempted to formulate and refine implicational universals of word order so as to characterize the restricted distribution of certain word order patterns, and in some cases have also attempted to develop general principles to explain the existence of those universals.
Evidentiality in Qiang
(2003)
The Qiang language is spoken by about 70,000 (out of 200,000) Qiang people, plus 50,000 people classified as Tibetan by the Chinese government. Most Qiang speakers live in Aba Tibetan and Qiang Autonomous Prefecture on the eastern edge of the Tibetan plateau in the mountainous northwest part of Sichuan Province, China. The Qiang language is a member of the Qiangic branch of the Tibeto-Burman family of the Sino-Tibetan stock. Within Tibeto-Burman, a number oflanguages show evidence of evidential systems, but these systems cannot be reconstructed to any great time depth. The data used in this chapter is from Ranghang Village, Chibusu District, Mao County in Aba Prefecture.
Adjectives in Qiang
(2004)
Qiang is a Tibeto-Burman language spoken by 70,000-80,000 people in Northern Sichuan Province, China, classified as being in the Qiang or Tibetan nationality by the Chinese government. The language is verb final, agglutinative (prefixing and suffixing), and has both head-marking and dependent-marking morphology.
Based on a Relevance Theory-informed view of language development, this paper argues that grammatical relations are construction-specific conventionalizations (grammaticalizations) of implicatures which arise out of repeated patterns of reference to particular types of referents. Once conventionalized, these structures function to constrain the hearer's identification of referents in discourse. As they are construction-specific, and hence language-specific, there is no category "subject" across languages; different languages will either show this type of grammaticalization or not, and if they do, may show it or not in different constructions. Any cross-linguistic use of terms such as "subject" (and "S", as in "SOV") should then be avoided.
On describing word order
(2006)
One aspect that is always discussed in language descriptions, no matter how short they may be, is word order. Beginning with Greenberg 1963, it has been common to talk about word order using expressions such as "X is an SOV language", where "S" represents "subject", "0" represents "object", and "V" represents "verb". Statements such as this are based on an assumption of comparability, an assumption that all languages manifest the categories represented by "S", "0", and "V" (among others), and that word order in all languages can be described (and compared) using these categories.
Nominalization in Rawang
(2009)
This paper discusses the types of relative clause and noun complement structures found in the Rawang language, a Tibeto-Burman language of northern Myanmar, as well as their origin and uses, with data taken mainly from naturally occurring texts. Two types are preposed relative clauses, but in one the relative clause is nominalized, and in the other it is not. The non-nominalized form with a general head led to the development of nominalizing suffixes and one type of nominalized relative clause structure. As the nominalized form is a nominal itself, it can be postposed to the head in an appositional structure. There is also discussion of the Rawang structures in the context of Tibeto-Burman and the development of relative clause structures in the language family.
Many linguists in China and the West have talked about Chinese as a topic-comment language, that is, a language in which the structure of the clause takes the form of a topic, about which something is to be said, and a comment, which is what is said about the topic, rather than being a language with a subject-predicate structure like that of English. Y. R. Chao (1968), for example, said that all Chinese clauses have topic-comment structure and there are no exceptions.
The philosophy of language comes in three varieties. 1. The functionalist’s view: linguistic forms are instruments used to convey meaningful elements. This is the basis of European structuralism. 2. The formalist’s view: linguistic forms are abstract structures which can be filled with meaningful elements. This is the basis of generative grammar. 3. The parasitologist’s view: linguistic forms are vehicles for the reproduction of meaningful elements. This is the view which I advocated twelve years ago in a Festschrift (1985).
In his magnum opus (Syntax and Semantics, Leiden 1978, henceforth: S&S) C.L. Ebeling makes a distinction between temporal gradation (pp 301-308 and 337-339) and temporal limitation (pp 311-315). In the case of temporal gradation “p , q”, the meaning “q” specifies the time during which the referent carries the mean-ing “p”.
The argument that I tried to elaborate on in this paper is that the conceptual problem behind the traditional competence/performance distinction does not go away, even if we abandon its original Chomskyan formulation. It returns as the question about the relation between the model of the grammar and the results of empirical investigations – the question of empirical verification The theoretical concept of markedness is argued to be an ideal correlate of gradience. Optimality Theory, being based on markedness, is a promising framework for the task of bridging the gap between model and empirical world. However, this task not only requires a model of grammar, but also a theory of the methods that are chosen in empirical investigations and how their results are interpreted, and a theory of how to derive predictions for these particular empirical investigations from the model. Stochastic Optimality Theory is one possible formulation of a proposal that derives empirical predictions from an OT model. However, I hope to have shown that it is not enough to take frequency distributions and relative acceptabilities at face value, and simply construe some Stochastic OT model that fits the facts. These facts first of all need to be interpreted, and those factors that the grammar has to account for must be sorted out from those about which grammar should have nothing to say. This task, to my mind, is more complicated than the picture that a simplistic application of (not only) Stochastic OT might draw.
The aim of this paper is the exploration of an optimality theoretic architecture for syntax that is guided by the concept of "correspondence": syntax is understood as the mechanism of "translating" underlying representations into a surface form. In minimalism, this surface form is called "Phonological Form" (PF). Both semantic and abstract syntactic information are reflected by the surface form. The empirical domain where this architecture is tested are minimal link effects, especially in the case of "wh"-movement. The OT constraints require the surface form to reflect the underlying semantic and syntactic representations as maximally as possible. The means by which underlying relations and properties are encoded are precedence, adjacency, surface morphology and prosodic structure. Information that is not encoded in one of these ways remains unexpressed, and gets lost unless it is recoverable via the context. Different kinds of information are often expressed by the same means. The resulting conflicts are resolved by the relative ranking of the relevant correspondence constraints.
This paper argues for a particular architecture of OT syntax. This architecture hasthree core features: i) it is bidirectional, the usual production-oriented optimisation (called ‘first optimisation’ here) is accompanied by a second step that checks the recoverability of an underlying form; ii) this underlying form already contains a full-fledged syntactic specification; iii) especially the procedure checking for recoverability makes crucial use of semantic and pragmatic factors. The first section motivates the basic architecture. The second section shows with two examples, how contextual factors are integrated. The third section examines its implications for learning theory, and the fourth section concludes with a broader discussion of the advantages and disadvantages of the proposed model.
Weak function word shift
(2004)
The fact that object shift only affects weak pronouns in mainland Scandinavian is seen as an instance of a more general observation that can be made in all Germanic languages: weak function words tend to avoid the edges of larger prosodic domains. This generalisation has been formulated within Optimality Theory in terms of alignment constraints on prosodic structure by Selkirk (1996) in explaining thedistribution of prosodically strong and weak forms of English functionwords, especially modal verbs, prepositions and pronouns. But a purely phonological account fails to integrate the syntactic licensing conditions for object shift in an appropriate way. The standard semantico-syntactic accounts of object shift, onthe other hand, fail to explain why it is only weak pronouns that undergo object shift. This paper develops an Optimality theoretic model of the syntax-phonology interface which is based on the interaction of syntactic and prosodic factors. The account can successfully be applied to further related phenomena in English and German.
German dialects vary in which of the possible orders of the verbs in a 3-verb cluster they allow. In a still ongoing empirical investigation that I am undertaking together with Tanja Schmid, University of Stuttgart (Schmid and Vogel (2004)) we already found that each of the six logically possible permutations of the 3-verb cluster in (1) can be found in German dialects.
This paper reports the results of a corpus investigation on case conflicts in German argument free relative constructions. We investigate how corpus frequencies reflect the relative markedness of free relative and correlative constructions, the relative markedness of different case conflict configurations, and the relative markedness of different conflict resolution strategies. Section 1 introduces the conception of markedness as used in Optimality Theory. Section 2 introduces the facts about German free relative clauses, and section 3 presents the results of the corpus study. By and large, markedness and frequency go hand in hand. However, configurations at the highest end of the markedness scale rarely show up in corpus data, and for the configuration at the lowest end we found an unexpected outcome: the more marked structure is preferred.
This paper is part of a research project on OT Syntax and the typology of the free relative (FR) construction. It concentrates on the details of an OT analysis and some of its consequences for OT syntax. I will not present a general discussion of the phenomenon and the many controversial issues it is famous for in generative syntax.
We present a CYK and an Earley-style algorithm for parsing Range Concatenation Grammar (RCG), using the deductive parsing framework. The characteristic property of the Earley parser is that we use a technique of range boundary constraint propagation to compute the yields of non-terminals as late as possible. Experiments show that, compared to previous approaches, the constraint propagation helps to considerably decrease the number of items in the chart.
This paper deals with restitutive and repetitive wieder. Proceeding from the assumption that adverbial adjuncts have base positions which reflect their semantic relations to the rest of the sentence, it is shown that repetitive wieder belongs to the class of event adverbs minimally c-commanding the base positions of all arguments whereas restitutive wieder has many properties in common with process adjuncts, minimally c-commanding the final verb.
This paper argues for a scopal explanation of the readings of the adverb wieder (‘again’). It is the syntactic entity that wieder is related to which determines whether the repetitive or the restitutive reading obtains. If it is adjoined to the minimal verbal domain, it relates to a situation-internal state thus producing a restitutive interpretation, if adjoined to a higher verbal projection, it relates to an eventuality resulting in a repetitive interpretation. Proceeding from the assumption that adverbial adjuncts have base positions which reflect their semantic relations to the rest of the sentence, repetitive wieder is shown to belong to the class of eventuality adverbs that minimally c-command the base positions of all arguments, whereas restitutive wieder has many properties in common with process (manner) adjuncts that minimally c-command the verb in clause-final base position.
The case of German relatives
(1995)
Reflexive pronouns as central anaphoric elements are subject to general principles determined by Universal Grammar and shared by all languages that use reflexives as part of their grammatical structure. In addition to these general conditions, there are language particular properties, which different languages can exhibit on the basis of different regulations. One variation of this sort is the particular role of Reflexives in German, which can show up as improper Arguments, which are subject to standard syntactic and morphological conditions, but do not represent an argument of the head they belong to. Hence the particular property is the effect of syntactic, morphological and semantic conditions. A simple illustration of the phenomena I will explore in this contribution is based on the following observation.
Relating propositions : subordination and coordination strategies in a polysynthetic language
(1998)
This paper discusses the relationship between the morphological structure of language and its syntactic structure. Although it is primarily a single language which is analysed in detail, namely, Inuktitut, an Eskimo language of the Canadian Eastern Arctic, the findings seem to be of general relevance.
Research on a variety of structurally different languages suggests that information is assigned to grammatical form in way of preferred representations of arguments. These preferences can be captured by four interacting constraints which are based on the analysis of spoken and written discourse. These constraints represent measurable discourse preferences: pragmatically unmarked utterances seem to follow them blindly and widely. Consequently, the preferences motivating these constraints seem to represent the default structuring of discourse in immediate relation to elementary grammatical form. Discourse is no longer viewed as acting upon grammatical form, but as being ‘grammatical’ itself.
In German, prosody interacts with quantifier scope. We investigate this interaction in inverse linking constructions. We present evidence from elicited production of linguistically naive speakers supporting the following two claims: 1) There are two kinds of inverse linking constructions of which only the prepositional type requires a marked intonation contour for inverse scope. 2) In the prepositional construction, a double focus contour is employed with inverse scope rather that a topic-focus (rise-fall) contour as previously assumed (Krifka 1998).
In the recent literature the phenomenon of long distance agreement has become the focus of several studies as it seems to violate certain locality conditions which require that agreeing elements in general stand in clause-mate relationships. In particular, it involves a verb agreeing with a constituent which is located in the verb's clausal complement and hence poses a challenge for theories that assume a strictly local relationship for agreement. In this paper we present empirical evidence from Greek and Romanian for the reality of long distance agreement. Specifically, we focus on raising constructions in these two languages and we show that they do not involve movement but rather instantiate long distance agreement. We further argue that subjunctives allowing long distance agreement lack both a CP layer and semantic Tense. However, since the embedded verb also bears phi-features, these constructions pose a further problem for assumptions that view the presence of phi-features as evidence for the presence of a C layer. Finally, we raise the question of the common properties that these languages have that lead to the presence of long distance agreement.
The aim of this paper is to address two main counterarguments raised in Landau (2007) against the movement analysis of Control, and especially against the phenomenon of Backward Control. The paper shows that unlike the situation described in Tsez (Polinsky & Potsdam 2002), Landau's objections do not hold for Greek and Romanian, where all obligatory control verbs exhibit Backward Control. Our results thus provide stronger empirical support for a theoretical approach to Control in terms of Movement, as defended in Hornstein (1999 and subsequent work).
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.
Introduction
(2007)
Semantics
(2007)
Morphology
(2007)
Introduction
(2007)
The annotation guidelines introduced in this chapter present an attempt to create a unique infrastructure for the encoding of data from very different languages. The ultimate target of these annotations is to allow for data retrieval for the study of information structure, and since information structure interacts with all levels of grammar, the present guidelines cover all levels of grammar too. After introducing the guidelines, the current chapter also presents an evaluation by means of measurements of the inter-annotator agreement.
Information structure
(2007)
The present tense is vacuous
(2002)
The meaning of chains
(1998)
This thesis investigates the mechanisms applying in the interpretation of syntactic chains. The theoretical background includes a translation of syntactic forms into semantic forms and a model theoretic explication of the meaning of semantic forms. Simplicity considerations apply to all three stages of the interpretation process: syntactic derivation, translation into semantic forms, interpretation of semantic forms. Three main results are achieved. The first is that trace positions can have semantic content beyond what is needed for the semantic dependency of trace and binder. This extra content is some or all of the lexical material of the head of the chain, as expected on the copy theory of movement. Two independent arguments support this conclusion. One, discussed in chapter 2, is based on the distribution of Condition C effects, where novel interactions between variable binding, antecedent contained deletion and Condition C are observed. The second, developed in chapter 3, is based on conditions on the identity of traces observed in antecedent contained deletion constructions. Both arguments lead to the same generalizations about what lexical material of the head is interpreted in the trace position. The second main result is that lambda calculus is superior to both standard predicate logic and combinatorial logic as the mathematical model for the semantic mechanism mediating the dependency of trace (or bound pronoun) and binder. Chapter 4 argues this on the basis of the distribution of focus and destressing in constructions with bound pronouns. The third main result is that quantification must be allowed to range over pointwise different choice functions. Chapter 5 shows that quantification over individuals is insufficient, and that pointwise different choice functions are required. The result entails that the syntactic difference of A-chains and A-bar chains predicts a semantic difference in the type of the variable involved, which is argued to explain weak crossover phenomena. Chapters 6 argues that the interpretation procedures developed in the preceeding chapters account for all cases. It is shown that only traces of the type of individuals arise, and that scope reconstruction is a phonological phenomenon. The latter result also supports the T-model of syntax.
The lemmings theory of case
(1995)
Quantificational determiners in Japanese can be marked with genitive case. Current analyses (for example by Watanabe, Natural Language and Linguistic Theory, to appear) treat the genetive case marker in these cases as semantically vacuous, but we show that it has semantic effects. We propose a new analysis as reverse partitives. Following Jackendoff (MIT-Press, 1977), we assume that partitives always contain two NPs one of which is phonologically deleted. We claim that, while in normal partitives the higher noun is deleted, in reverse partitives the lower noun is deleted.
This paper provides an analysis of an alternative strategy to A´-movement in both German and Dutch where the extracted constituent is preceded by a preposition and a coreferential pronoun appears in the extraction site. The construction has properties of both binding and movement: Whereas reconstruction effects suggest movement out of the embedded clause, there is strong evidence that the operator constituent is linked to an A-position in the matrix clause; this paradox is resolved by assuming a Control-like approach that involves movement from the embedded clause into a theta-position in the matrix clause with subsequent short A´- movement. The coreferential pronoun is interpreted as a resumptive heading a Big-DP which hosts the antecedent in its specifier.
In this paper I argue in favor of a Matching Analysis for German relative clauses. The Head Raising Analysis is shown to fail to account for parts of the reconstruction pattern in German, especially cases where only the external head is interpreted and the absence of Principle C effects. I propose a Matching Analysis with Vehicle Change and make consistent assumptions about possible deletion operations in relatives so that the entire pattern can be captured by one analysis which therefore proves superior to previous ones.
Freeze (1992) argued on the basis of data from several different languages that there is a close relationship between existential sentences (stating the existence of an entity) and locative sentences (stating the location of an entity). Freeze (1992) proposes that they are both derived from the same base structure and that the surface differences are rather due to the distinct information structures.This paper argues against this position with the data from Serbian existentials, which show clear syntactic differences from the locatives. Thus, the close relationship between existential and locative sentences that Freeze (1992) observes is conceptual, but not (necessarily) part of the syntax of the language. In order to account for the data, we propose that existential sentences originate from a different syntactic predication structure than the locative ones. The existential meaning arises, as we will show, from the interaction of this predication structure with the structure and meaning of the noun phrase.
The renowned Grimm Dictionary (1854-1961) makes the statement that the German copula sein (to be) is “the most general and colourless of all verbal concepts” (der allgemeinste und farbloseste aller verbalbegriffe). A more concise summary of the linguistic issues surrounding the copula is hardly possible. These two properties (and the latent tension between them!) make copulas a particularly interesting and vexing subject of linguistic research. Copulas appear to be almost colourless, i.e., devoid of any concrete meaning, thus leading to the question of why such expressions exist at all, not only in German but in the majority of the world’s languages. And at the same time copulas presumably provide the best window into the core of verbal concepts thereby telling us what it actually means to be a verb – at least in a language like German or English. While there is a rather rich body of research on copulas in philosophical and formal semantics including several in-depth studies on the copular systems of individual languages, copulas have received comparably little attention from a typological perspective. The monograph of Regina Pustet sets out to fill this gap. She presents an extensive cross-linguistic study of copula usage based on a sample of 154 languages drawn from the language families of the world. The analysis is embedded in the theoretical framework of functional typology. The study aims at uncovering universal principles that govern the distribution of copulas in nominal, adjectival, and verbal predications. Its major objective is the development of a “semantically-based model of copula distribution” (p.62) by means of which the presence vs. absence of copulas can be motivated through the inherent meaning of the lexical items they potentially combine with. Drawing mainly on the work by Givón (1979, 1984) and Croft (1991, 2001), who provide a functional foundation of the traditional parts of speech, Pustet identifies four semantic parameters which, if taken together, are claimed to support substantial generalisations on copula distribution – within a given language as well as crosslinguistically. These parameters are DYNAMICITY, TRANSIENCE, TRANSITIVITY, and DEPENDENCY. Pustet goes on to argue – and this is in fact the driving force behind the overall monograph – that the distributional behaviour of copulas, in turn, yields a useful methodology for developing a general approach to lexical categorization. Thus, in the long run Pustet aims at contributing to a better understanding of the traditional parts of speech, noun, adjective, and verb by defining them in terms of “semantic feature bundles, which can be arranged in [a] coherent semantic similarity space” (p.193).
Since Donald Davidson’s seminal work “The Logical Form of Action Sentences” (1967) event arguments have become an integral component of virtually every semantic theory. Over the past years Davidson´s proposal has been continuously extended such that nowadays event(uality) arguments are generally associated not only with action verbs but with predicates of all sorts. The reasons for such an extension are seldom explicitly justified. Most problematical in this respect is the case of stative expressions. By taking a closer look at copula sentences the present study assesses the legitimacy of stretching the Davidsonian notion of events and discusses its consequences. A careful application of some standard eventuality diagnostics (perception reports, combination with locative modifiers and manner adverbials) as well as some new diagnostics (behavior of certain degree adverbials) reveals that copular expressions do not behave as expected under a Davidsonian perspective: they fail all eventuality tests, regardless of whether they represent stage-level or individual-level predicates. In this respect, copular expressions pattern with stative verbs like know, hate, and resemble, which in turn differ sharply from state verbs like stand, sit, and sleep. The latter pass all of the eventuality tests and therefore qualify as true “Davidsonian state” expressions. On the basis of these empirical observations and taking up ideas of Kim (1969, 1976) and Asher (1993, 2000), an alternative account of copular expressions (and stative verbs) is provided, according to which the copula introduces a referential argument for a temporally bound property exemplification (= “Kimian state”). Considerations on some logical properties, viz. closure conditions and the latent infinite regress of eventualities, suggest that supplementing Davidsonian eventualities with Kimian states may yield not only a more adequate analysis of copula sentences but also a better understanding of eventualities in general.
Davidsonian event semantics has an impressive track record as a framework for natural language analysis. In recent years it has become popular to assume that not only action verbs but predicates of all sorts have an additional event argument. Yet, this hypothesis is not without controversy in particular wrt the particularly challenging case of statives. Maienborn (2003a, 2004) argues that there is a need for distinguishing two kinds of states. While verbs such as sit, stand, sleep refer to eventualities in the sense of Davidson (= Davidsonian states), the states denoted by such stative verbs like know, weigh,and own, as well as any combination of copula plus predicate are of a different ontological type (= Kimian states). Against this background, the present study assesses the two main arguments that have been raised in favour of a Davidsonian approach for statives. These are the combination with certain manner adverbials and Parsons (2000) so-called time travel argument. It will be argued that the manner data which, at first sight, seem to provide evidence for a Davidsonian approach to statives are better analysed as non-compositional reinterpretations triggered by the lack of a regular Davidsonian event argument. As for Parsons´s time travel argument, it turns out that the original version does not supply the kind of support for the Davidsonian approach that Parsons supposed. However, properly adapted, the time travel argument may provide additional evidence for the need of reifying the denotatum of statives, as suggested by the assumption of Kimian states.
One aspect of the progress being made is that the focus of attention has widened. Adverbials, though still the heart of the matter, now form part of a much larger set of constituent types subsumed under the general syntactic label of adjunct; while modifier has become the semantic counterpart on the same level of generality. So one of the readings of Modifying Adjuncts stands for the focus on this intersection. Moreover, recent years have seen a number of studies which attest an increasing interest in adjunct issues. There is an impressive number of monographs, e.g. Alexiadou (1997), Laenzlinger (1998), Cinque (1999), Pittner (1999), Ernst (2002), which, by presenting in-depth analyses of the syntax of adjuncts, have sharpened the debate on syntactic theorizing. Serious attempts to gain a broader view on adjuncts are witnessed by several collections, see Alexiadou and Svenonius (2000), Austin, Engelberg and Rauh (in progress); of particular importance are the contributions to vol. 12.1 of the Italian Journal of Linguistics (2000), a special issue on adverbs, the Introductions to which by Corver and Delfitto (2000) and Delfitto (2000) may be seen as the best state-of-the-art article on adverbs and adverbial modification currently on the market. To try and test a fresh view on adjuncts was the leitmotif of the Oslo Conference “Approaching the Grammar of Adjuncts” (Sept 22–25, 1999), which provided the initial forum for the papers contained in this volume and initiated a period of discussion and continuing interaction among the contributors, from which the versions published here have greatly profited. The aim of the Oslo conference, and hence the focus of the present volume, was to encourage syntacticians and semanticists to open their minds to a more integrative approach to adjuncts, thereby paying attention to, and attempting to account for, the various interfaces that the grammar of adjuncts crucially embodies. From this perspective, the present volume is to be conceived of as an interim balance of current trends in modifying the views on adjuncts. In introducing the papers, we will refrain from rephrasing the abstracts, but will instead offer a guided tour through the major problem areas they are tackling. Assessed by thematic convergence and mutual reference, the contributions form four groups, which led us to arrange them into subparts of the book. Our commenting on these is intended (i) to provide a first glance at the contents, (ii) to reveal some of the reasons why adjuncts indeed are, and certainly will remain, a challenging issue, and thereby (iii) to show some facets of what we consider novel and promising approaches.
“Comments are very welcome!” This basic attitude and the many ways of implementing it contribute immensely to the fascination of engaging in scientific research. I am grateful to Theoretical Linguistics for providing a public platform for this kind of scholarly exchange and I thank all commentators for their thoughtful, stimulating, and often challenging contributions to my target article. My response will address two main issues that are raised by the commentaries. The first issue is shaped by a cluster of questions relating to ontology. The second issue concerns questions of methodology pertaining in particular to the problem of judging data.
The article offers evidence that there are two variants of adverbial modification that differ with respect to the way in which a modifier is linked to the verbs eventuality argument. So-called event-external modifiers relate to the full eventuality, whereas event-internal modifiers relate to some integral part of it. The choice between external and internal modification is shown to be dependent on the modifiers syntactic base position. Event-external modifiers are base-generated at the VP periphery, whereas event-internal modifiers are base-generated at the V periphery. These observations are accounted for by a refined version of the standard Davidsonian approach to adverbial modification according to which modification is mediated by a free variable. In the case of external modification, the grammar takes responsibility for identifying the free variable with the verbs eventuality argument, whereas in the case of internal modification, a value for the free variable is determined by the conceptual system on the basis of contextually salient world knowledge. For the intriguing problem that certain locative modifiers occasionally seem to have nonlocative (instrumental, positional, or manner) readings, the advocated approach can provide a rather simple solution.
Semantic research over the past three decades has provided impressive confirmation of Donald Davidsons famous claim that “there is a lot of language we can make systematic sense of if we suppose events exist” (Davidson 1980:137). Nowadays, Davidsonian event arguments are no longer reserved only for action verbs (as Davidson originally proposed) or even only for the category of verbs, but instead are widely assumed to be associated with any kind of predicate (e.g. Higginbotham 2000, Parsons 2000).1 The following quotation from Higginbotham and Ramchand (1997) illustrates the reasoning that motivates this move: "Once we assume that predicates (or their verbal, etc. heads) have a position for events, taking the many consequences that stem therefrom, as outlined in publications originating with Donald Davidson (1967), and further applied in Higginbotham (1985, 1989), and Terence Parsons (1990), we are not in a position to deny an event-position to any predicate; for the evidence for, and applications of, the assumption are the same for all predicates. (Higginbotham and Ramchand 1997:54)" In fact, since Davidson’s original proposal the burden of proof for postulating event arguments seems to have shifted completely, leading Raposo and Uriagereka (1995), for example, to the following verdict: "it is unclear what it means for a predicate not to have a Davidsonian argument (Raposo and Uriagereka 1995:182)" That is, Davidsonian eventuality arguments apparently have become something like a trademark for predicates in general. The goal of the present paper is to subject this view of the relationship between predicates and events to real scrutiny. By taking a closer look at the simplest independent predicational structure – viz. copula sentences – I will argue that current Davidsonian approaches tend to stretch the notion of events too far, thereby giving up much of its linguistic and ontological usefulness. More specifically, the paper will tackle the following three questions: 1. Do copula sentences support the current view of the inherent event-relatedness of predicates? 2. If not, what is a possible alternative to an event-based analysis of copula sentences? 3. What does this tell us about Davidsonian events? The paper is organized as follows: Section 2 first reviews current event-based analyses of copula sentences and then gives a brief summary of the Davidsonian notion of events. Section 3 examines the behavior of copula sentences with respect to some standard (as well as some new) eventuality diagnostics. Copula expressions will turn out to fail all eventuality tests. They differ sharply from state verbs like stand, sit, sleep in this respect. (The latter pass all eventuality tests and therefore qualify as true “Davidsonian state” expressions.) On the basis of these observations, section 4 provides an alternative account of copula sentences that combines Kim’s (1969, 1976) notion of property exemplifications with Ashers (1993, 2000) conception of abstract objects. Specifically, I will argue that the copula introduces a referential argument for a temporally bound property exemplification (= “Kimian state”). The proposal is implemented within a DRT framework. Finally, section 5 offers some concluding remarks and suggests that supplementing Davidsonian eventualities by Kimian states not only yields a more adequate analysis for copula expressions and the like but may also improve our treatment of events.
A pragmatic explanation of the stage level/individual level contrast in combination with locatives
(2004)
One important difference between stage level predicates (SLPs) and individual level predicates (ILPs) is their behavior with respect to locative modifiers. It is commonly assumed that SLPs but not ILPs combine with locatives. The present study argues against a semantic account for this behavior (as advanced by e.g. Kratzer 1995, Chierchia 1995) and proposes a genuinely pragmatic explanation of the observed stage level/individual level contrast instead. The proposal is spelled out using Blutners (1998, 2000) optimality theoretic version of the Gricean maxims. Building on the observation that the respective locatives are not event-related but frame-setting modifiers, the preference for main predicates that express temporary properties is explained as a side-effect of “synchronizing” the main predicate with the locative frame in the course of finding an optimal interpretation. By emphasizing the division of labor between grammar and pragmatics, the proposed solution takes a considerable load off of semantics.
The study offers a discourse-based account of the Spanish copula forms ser and estar, which are generally considered to be lexical exponents of the stage-level/individual-level contrast. It argues against the popular view that the distinction between SLPs and ILPs rests on a fundamental cognitive division of the world that is reflected in the grammar. As it happens, conceptual oppositions like “temporary vs. permanent” or “arbitrary vs. essential“ provide only a preference for the interpretation of estar and ser. In addition, the evidence for an SLP/ILP impact on the grammar turns out to be far less conclusive than is currently assumed. The study argues against event-based accounts of the ser/estar contrast in particular, showing that ser and estar pattern alike in failing all of the standard eventuality tests. The discourse-based account proposed instead assumes that ser and estar both display the same lexical semantics (which is identical to the semantics of English be, German sein, etc.); estar differs from ser only in presupposing a relation to a specific discourse situation. By using estar a speaker restricts his or her claim to a specific discourse situation, whereas by using ser, the speaker makes no such restriction. The preference for interpreting estar predications as denoting temporary properties and ser predications as denoting permanent properties follows from economy principles driving the pragmatic legitimation of estars discourse dependence. The analysis proposed in this paper can also account for the observation that ser predications do not give rise to thetic judgements. The proposal is couched in terms of the framework of DRT.
Our paper aims at capturing the distribution of negative polarity items (NPIs) within lexicalized Tree Adjoining Grammar (LTAG). The condition under which an NPI can occur in a sentence is for it to be in the scope of a negation with no quantifiers scopally intervening. We model this restriction within a recent framework for LTAG semantics based on semantic unification. The proposed analysis provides features that signal the presence of a negation in the semantics and that specify its scope. We extend our analysis to modelling the interaction of NPI licensing and neg raising constructions.
It has often been noticed that one syntactic argument position can be realized by elements which seem to realize different thematic roles. This is notably the case with the external argument position of verbs of change of state which licenses volitional agents, instruments or natural forces/causers, showing the generality and abstractness of the external argument relation. (1) a. John broke the window (Agent) b. The hammer broke the window (Instrument) c. The storm broke the window (Causer) In order to capture this generality, Van Valin & Wilkins (1996) and Ramchand (2003) among others have proposed that the thematic role of the external argument position is in fact underspecified. The relevant notion is that of an effector (in Van Valin & Wilkins) or of an abstract causer/initiator (in Ramchand). In this paper we argue against a total underspecification of the external argument relation. While we agree that (1b) does not instantiate an instrument theta role in subject position, we argue that a complete underspecification of the external theta-position is not feasible, but that two types of external theta roles have to be distinguished, Agents and Causers. Our arguments are based on languages where Agents and Causers show morpho-syntactic independence (section 2.1) and the behavior of instrument subjects in English, Dutch, German and Greek (section 2.2 and 3). We show that instrument subjects are either Agent or Causer like. In section (4) we give an analysis how arguments realizing these thematic notions are introduced into syntax.
In many languages, a passive-like meaning may be obtained through a noncanonical passive construction. The get passive (1b) in English, the se faire passive (2b) in French and the kriegen passive (3b) in German represent typical manifestations. This squib focuses on the behavior of the get-passive in English and discusses a number of restrictions associated with it as well as the status of get.