Publications

Displaying 501 - 600 of 670
  • Romberg, A., Zhang, Y., Newman, B., Triesch, J., & Yu, C. (2016). Global and local statistical regularities control visual attention to object sequences. In Proceedings of the 2016 Joint IEEE International Conference on Development and Learning and Epigenetic Robotics (ICDL-EpiRob) (pp. 262-267).

    Abstract

    Many previous studies have shown that both infants and adults are skilled statistical learners. Because statistical learning is affected by attention, learners' ability to manage their attention can play a large role in what they learn. However, it is still unclear how learners allocate their attention in order to gain information in a visual environment containing multiple objects, especially how prior visual experience (i.e., familiarly of objects) influences where people look. To answer these questions, we collected eye movement data from adults exploring multiple novel objects while manipulating object familiarity with global (frequencies) and local (repetitions) regularities. We found that participants are sensitive to both global and local statistics embedded in their visual environment and they dynamically shift their attention to prioritize some objects over others as they gain knowledge of the objects and their distributions within the task.
  • Rossi, G., & Zinken, J. (2016). Grammar and social agency: The pragmatics of impersonal deontic statements. Language, 92(4), e296-e325. doi:10.1353/lan.2016.0083.

    Abstract

    Sentence and construction types generally have more than one pragmatic function. Impersonal deontic declaratives such as ‘it is necessary to X’ assert the existence of an obligation or necessity without tying it to any particular individual. This family of statements can accomplish a range of functions, including getting another person to act, explaining or justifying the speaker’s own behavior as he or she undertakes to do something, or even justifying the speaker’s behavior while simultaneously getting another person to help. How is an impersonal deontic declarative fit for these different functions? And how do people know which function it has in a given context? We address these questions using video recordings of everyday interactions among speakers of Italian and Polish. Our analysis results in two findings. The first is that the pragmatics of impersonal deontic declaratives is systematically shaped by (i) the relative responsibility of participants for the necessary task and (ii) the speaker’s nonverbal conduct at the time of the statement. These two factors influence whether the task in question will be dealt with by another person or by the speaker, often giving the statement the force of a request or, alternatively, of an account of the speaker’s behavior. The second finding is that, although these factors systematically influence their function, impersonal deontic declaratives maintain the potential to generate more complex interactions that go beyond a simple opposition between requests and accounts, where participation in the necessary task may be shared, negotiated, or avoided. This versatility of impersonal deontic declaratives derives from their grammatical makeup: by being deontic and impersonal, they can both mobilize or legitimize an act by different participants in the speech event, while their declarative form does not constrain how they should be responded to. These features make impersonal deontic declaratives a special tool for the management of social agency.
  • Rowbotham, S. J., Holler, J., Wearden, A., & Lloyd, D. M. (2016). I see how you feel: Recipients obtain additional information from speakers’ gestures about pain. Patient Education and Counseling, 99(8), 1333-1342. doi:10.1016/j.pec.2016.03.007.

    Abstract

    Objective

    Despite the need for effective pain communication, pain is difficult to verbalise. Co-speech gestures frequently add information about pain that is not contained in the accompanying speech. We explored whether recipients can obtain additional information from gestures about the pain that is being described.
    Methods

    Participants (n = 135) viewed clips of pain descriptions under one of four conditions: 1) Speech Only; 2) Speech and Gesture; 3) Speech, Gesture and Face; and 4) Speech, Gesture and Face plus Instruction (short presentation explaining the pain information that gestures can depict). Participants provided free-text descriptions of the pain that had been described. Responses were scored for the amount of information obtained from the original clips.
    Findings

    Participants in the Instruction condition obtained the most information, while those in the Speech Only condition obtained the least (all comparisons p<.001).
    Conclusions

    Gestures produced during pain descriptions provide additional information about pain that recipients are able to pick up without detriment to their uptake of spoken information.
    Practice implications

    Healthcare professionals may benefit from instruction in gestures to enhance uptake of information about patients’ pain experiences.
  • Rowland, C. F. (2007). Explaining errors in children’s questions. Cognition, 104(1), 106-134. doi:10.1016/j.cognition.2006.05.011.

    Abstract

    The ability to explain the occurrence of errors in children’s speech is an essential component of successful theories of language acquisition. The present study tested some generativist and constructivist predictions about error on the questions produced by ten English-learning children between 2 and 5 years of age. The analyses demonstrated that, as predicted by some generativist theories [e.g. Santelmann, L., Berk, S., Austin, J., Somashekar, S. & Lust. B. (2002). Continuity and development in the acquisition of inversion in yes/no questions: dissociating movement and inflection, Journal of Child Language, 29, 813–842], questions with auxiliary DO attracted higher error rates than those with modal auxiliaries. However, in wh-questions, questions with modals and DO attracted equally high error rates, and these findings could not be explained in terms of problems forming questions with why or negated auxiliaries. It was concluded that the data might be better explained in terms of a constructivist account that suggests that entrenched item-based constructions may be protected from error in children’s speech, and that errors occur when children resort to other operations to produce questions [e.g. Dąbrowska, E. (2000). From formula to schema: the acquisition of English questions. Cognitive Liguistics, 11, 83–102; Rowland, C. F. & Pine, J. M. (2000). Subject-auxiliary inversion errors and wh-question acquisition: What children do know? Journal of Child Language, 27, 157–181; Tomasello, M. (2003). Constructing a language: A usage-based theory of language acquisition. Cambridge, MA: Harvard University Press]. However, further work on constructivist theory development is required to allow researchers to make predictions about the nature of these operations.
  • Rubio-Fernández, P., Cummins, C., & Tian, Y. (2016). Are single and extended metaphors processed differently? A test of two Relevance-Theoretic accounts. Journal of Pragmatics, 94, 15-28. doi:10.1016/j.pragma.2016.01.005.

    Abstract

    Carston (2010) proposes that metaphors can be processed via two different routes. In line with the standard Relevance-Theoretic account of loose use, single metaphors are interpreted by a local pragmatic process of meaning adjustment, resulting in the construction of an ad hoc concept. In extended metaphorical passages, by contrast, the reader switches to a second processing mode because the various semantic associates in the passage are mutually reinforcing, which makes the literal meaning highly activated relative to possible meaning adjustments. In the second processing mode the literal meaning of the whole passage is metarepresented and entertained as an ‘imaginary world’ and the intended figurative implications are derived later in processing. The results of three experiments comparing the interpretation of the same target expressions across literal, single-metaphorical and extended-metaphorical contexts, using self-paced reading (Experiment 1), eye-tracking during natural reading (Experiment 2) and cued recall (Experiment 3), offered initial support to Carston's distinction between the processing of single and extended metaphors. We end with a comparison between extended metaphors and allegories, and make a call for further theoretical and experimental work to increase our understanding of the similarities and differences between the interpretation and processing of different figurative uses, single and extended.
  • Rubio-Fernández, P. (2016). How redundant are redundant color adjectives? An efficiency-based analysis of color overspecification. Frontiers in Psychology, 7: 153. doi:10.3389/fpsyg.2016.00153.

    Abstract

    Color adjectives tend to be used redundantly in referential communication. I propose that redundant color adjectives (RCAs) are often intended to exploit a color contrast in the visual context and hence facilitate object identification, despite not being necessary to establish unique reference. Two language-production experiments investigated two types of factors that may affect the use of RCAs: factors related to the efficiency of color in the visual context and factors related to the semantic category of the noun. The results of Experiment 1 confirmed that people produce RCAs when color may facilitate object recognition; e.g., they do so more often in polychrome displays than in monochrome displays, and more often in English (pre-nominal position) than in Spanish (post-nominal position). RCAs are also used when color is a central property of the object category; e.g., people referred to the color of clothes more often than to the color of geometrical figures (Experiment 1), and they overspecified atypical colors more often than variable and stereotypical colors (Experiment 2). These results are relevant for pragmatic models of referential communication based on Gricean pragmatics and informativeness. An alternative analysis is proposed, which focuses on the efficiency and pertinence of color in a given referential situation.
  • Rubio-Fernández, P., & Grassmann, S. (2016). Metaphors as second labels: Difficult for preschool children? Journal of Psycholinguistic Research, 45, 931-944. doi:10.1007/s10936-015-9386-y.

    Abstract

    This study investigates the development of two cognitive abilities that are involved in metaphor comprehension: implicit analogical reasoning and assigning an unconventional label to a familiar entity (as in Romeo’s ‘Juliet is the sun’). We presented 3- and 4-year-old children with literal object-requests in a pretense setting (e.g., ‘Give me the train with the hat’). Both age-groups succeeded in a baseline condition that used building blocks as props (e.g., placed either on the front or the rear of a train engine) and only required spatial analogical reasoning to interpret the referential expression. Both age-groups performed significantly worse in the critical condition, which used familiar objects as props (e.g., small dogs as pretend hats) and required both implicit analogical reasoning and assigning second labels. Only the 4-year olds succeeded in this condition. These results offer a new perspective on young children’s difficulties with metaphor comprehension in the preschool years.
  • Rubio-Fernández, P., & Geurts, B. (2016). Don’t mention the marble! The role of attentional processes in false-belief tasks. Review of Philosophy and Psychology, 7, 835-850. doi:10.1007/s13164-015-0290-z.
  • Rubio-Fernández, P. (2007). Suppression in metaphor interpretation: Differences between meaning selection and meaning construction. Journal of Semantics, 24(4), 345-371. doi:10.1093/jos/ffm006.

    Abstract

    Various accounts of metaphor interpretation propose that it involves constructing an ad hoc concept on the basis of the concept encoded by the metaphor vehicle (i.e. the expression used for conveying the metaphor). This paper discusses some of the differences between these theories and investigates their main empirical prediction: that metaphor interpretation involves enhancing properties of the metaphor vehicle that are relevant for interpretation, while suppressing those that are irrelevant. This hypothesis was tested in a cross-modal lexical priming study adapted from early studies on lexical ambiguity. The different patterns of suppression of irrelevant meanings observed in disambiguation studies and in the experiment on metaphor reported here are discussed in terms of differences between meaning selection and meaning construction.
  • De Ruiter, J. P. (2007). Some multimodal signals in humans. In I. Van de Sluis, M. Theune, E. Reiter, & E. Krahmer (Eds.), Proceedings of the Workshop on Multimodal Output Generation (MOG 2007) (pp. 141-148).

    Abstract

    In this paper, I will give an overview of some well-studied multimodal signals that humans produce while they communicate with other humans, and discuss the implications of those studies for HCI. I will first discuss a conceptual framework that allows us to distinguish between functional and sensory modalities. This distinction is important, as there are multiple functional modalities using the same sensory modality (e.g., facial expression and eye-gaze in the visual modality). A second theoretically important issue is redundancy. Some signals appear to be redundant with a signal in another modality, whereas others give new information or even appear to give conflicting information (see e.g., the work of Susan Goldin-Meadows on speech accompanying gestures). I will argue that multimodal signals are never truly redundant. First, many gestures that appear at first sight to express the same meaning as the accompanying speech generally provide extra (analog) information about manner, path, etc. Second, the simple fact that the same information is expressed in more than one modality is itself a communicative signal. Armed with this conceptual background, I will then proceed to give an overview of some multimodalsignals that have been investigated in human-human research, and the level of understanding we have of the meaning of those signals. The latter issue is especially important for potential implementations of these signals in artificial agents. First, I will discuss pointing gestures. I will address the issue of the timing of pointing gestures relative to the speech it is supposed to support, the mutual dependency between pointing gestures and speech, and discuss the existence of alternative ways of pointing from other cultures. The most frequent form of pointing that does not involve the index finger is a cultural practice called lip-pointing which employs two visual functional modalities, mouth-shape and eye-gaze, simultaneously for pointing. Next, I will address the issue of eye-gaze. A classical study by Kendon (1967) claims that there is a systematic relationship between eye-gaze (at the interlocutor) and turn-taking states. Research at our institute has shown that this relationship is weaker than has often been assumed. If the dialogue setting contains a visible object that is relevant to the dialogue (e.g., a map), the rate of eye-gaze-at-other drops dramatically and its relationship to turn taking disappears completely. The implications for machine generated eye-gaze are discussed. Finally, I will explore a theoretical debate regarding spontaneous gestures. It has often been claimed that the class of gestures that is called iconic by McNeill (1992) are a “window into the mind”. That is, they are claimed to give the researcher (or even the interlocutor) a direct view into the speaker’s thought, without being obscured by the complex transformation that take place when transforming a thought into a verbal utterance. I will argue that this is an illusion. Gestures can be shown to be specifically designed such that the listener can be expected to interpret them. Although the transformations carried out to express a thought in gesture are indeed (partly) different from the corresponding transformations for speech, they are a) complex, and b) severely understudied. This obviously has consequences both for the gesture research agenda, and for the generation of iconic gestures by machines.
  • De Ruiter, J. P. (2007). Postcards from the mind: The relationship between speech, imagistic gesture and thought. Gesture, 7(1), 21-38.

    Abstract

    In this paper, I compare three different assumptions about the relationship between speech, thought and gesture. These assumptions have profound consequences for theories about the representations and processing involved in gesture and speech production. I associate these assumptions with three simplified processing architectures. In the Window Architecture, gesture provides us with a 'window into the mind'. In the Language Architecture, properties of language have an influence on gesture. In the Postcard Architecture, gesture and speech are planned by a single process to become one multimodal message. The popular Window Architecture is based on the assumption that gestures come, as it were, straight out of the mind. I argue that during the creation of overt imagistic gestures, many processes, especially those related to (a) recipient design, and (b) effects of language structure, cause an observable gesture to be very different from the original thought that it expresses. The Language Architecture and the Postcard Architecture differ from the Window Architecture in that they both incorporate a central component which plans gesture and speech together, however they differ from each other in the way they align gesture and speech. The Postcard Architecture assumes that the process creating a multimodal message involving both gesture and speech has access to the concepts that are available in speech, while the Language Architecture relies on interprocess communication to resolve potential conflicts between the content of gesture and speech.
  • De Ruiter, J. P., Noordzij, M. L., Newman-Norlund, S., Hagoort, P., & Toni, I. (2007). On the origins of intentions. In P. Haggard, Y. Rossetti, & M. Kawato (Eds.), Sensorimotor foundations of higher cognition (pp. 593-610). Oxford: Oxford University Press.
  • De Ruiter, J. P., & Enfield, N. J. (2007). The BIC model: A blueprint for the communicator. In C. Stephanidis (Ed.), Universal access in Human-Computer Interaction: Applications and services (pp. 251-258). Berlin: Springer.
  • Salverda, A. P., Dahan, D., Tanenhaus, M. K., Crosswhite, K., Masharov, M., & McDonough, J. (2007). Effects of prosodically modulated sub-phonetic variation on lexical competition. Cognition, 105(2), 466-476. doi:10.1016/j.cognition.2006.10.008.

    Abstract

    Eye movements were monitored as participants followed spoken instructions to manipulate one of four objects pictured on a computer screen. Target words occurred in utterance-medial (e.g., Put the cap next to the square) or utterance-final position (e.g., Now click on the cap). Displays consisted of the target picture (e.g., a cap), a monosyllabic competitor picture (e.g., a cat), a polysyllabic competitor picture (e.g., a captain) and a distractor (e.g., a beaker). The relative proportion of fixations to the two types of competitor pictures changed as a function of the position of the target word in the utterance, demonstrating that lexical competition is modulated by prosodically conditioned phonetic variation.
  • San Roque, L. (2016). 'Where' questions and their responses in Duna (Papua New Guinea). Open Linguistics, 2(1), 85-104. doi:10.1515/opli-2016-0005.

    Abstract

    Despite their central role in question formation, content interrogatives in spontaneous conversation remain relatively under-explored cross-linguistically. This paper outlines the structure of ‘where’ expressions in Duna, a language spoken in Papua New Guinea, and examines where-questions in a small Duna data set in terms of their frequency, function, and the responses they elicit. Questions that ask ‘where?’ have been identified as a useful tool in studying the language of space and place, and, in the Duna case and elsewhere, show high frequency and functional flexibility. Although where-questions formulate place as an information gap, they are not always answered through direct reference to canonical places. While some question types may be especially “socially costly” (Levinson 2012), asking ‘where’ perhaps provides a relatively innocuous way of bringing a particular event or situation into focus.
  • Sánchez-Fernández, M., & Rojas-Berscia, L. M. (2016). Vitalidad lingüística de la lengua paipai de Santa Catarina, Baja California. LIAMES, 16(1), 157-183. doi:10.20396/liames.v16i1.8646171.

    Abstract

    In the last few decades little to nothing has been said about the sociolinguistic situation of Yumanan languages in Mexico. In order to cope with this lack of studies, we present a first study on linguistic vitality in Paipai, as it is spoken in Santa Catarina, Baja California, Mexico. Since languages such as Mexican Spanish and Ko’ahl coexist with this language in the same ecology, both are part of the study as well. This first approach hoists from two axes: on one hand, providing a theoretical framework that explains the sociolinguistic dynamics in the ecology of the language (Mufwene 2001), and, on the other hand, bringing over a quantitative study based on MSF (Maximum Shared Facility) (Terborg & Garcìa 2011), which explains the state of linguistic vitality of paipai, enriched by qualitative information collected in situ
  • Sassenhagen, J., & Alday, P. M. (2016). A common misapplication of statistical inference: Nuisance control with null-hypothesis significance tests. Brain and Language, 162, 42-45. doi:10.1016/j.bandl.2016.08.001.

    Abstract

    Experimental research on behavior and cognition frequently rests on stimulus or subject selection where not all characteristics can be fully controlled, even when attempting strict matching. For example, when contrasting patients to controls, variables such as intelligence or socioeconomic status are often correlated with patient status. Similarly, when presenting word stimuli, variables such as word frequency are often correlated with primary variables of interest. One procedure very commonly employed to control for such nuisance effects is conducting inferential tests on confounding stimulus or subject characteristics. For example, if word length is not significantly different for two stimulus sets, they are considered as matched for word length. Such a test has high error rates and is conceptually misguided. It reflects a common misunderstanding of statistical tests: interpreting significance not to refer to inference about a particular population parameter, but about 1. the sample in question, 2. the practical relevance of a sample difference (so that a nonsignificant test is taken to indicate evidence for the absence of relevant differences). We show inferential testing for assessing nuisance effects to be inappropriate both pragmatically and philosophically, present a survey showing its high prevalence, and briefly discuss an alternative in the form of regression including nuisance variables.
  • Sauppe, S. (2016). Verbal semantics drives early anticipatory eye movements during the comprehension of verb-initial sentences. Frontiers in Psychology, 7: 95. doi:10.3389/fpsyg.2016.00095.

    Abstract

    Studies on anticipatory processes during sentence comprehension often focus on the prediction of postverbal direct objects. In subject-initial languages (the target of most studies so far), however, the position in the sentence, the syntactic function, and the semantic role of arguments are often conflated. For example, in the sentence “The frog will eat the fly” the syntactic object (“fly”) is at the same time also the last word and the patient argument of the verb. It is therefore not apparent which kind of information listeners orient to for predictive processing during sentence comprehension. A visual world eye tracking study on the verb-initial language Tagalog (Austronesian) tested what kind of information listeners use to anticipate upcoming postverbal linguistic input. The grammatical structure of Tagalog allows to test whether listeners' anticipatory gaze behavior is guided by predictions of the linear order of words, by syntactic functions (e.g., subject/object), or by semantic roles (agent/patient). Participants heard sentences of the type “Eat frog fly” or “Eat fly frog” (both meaning “The frog will eat the fly”) while looking at displays containing an agent referent (“frog”), a patient referent (“fly”) and a distractor. The verb carried morphological marking that allowed the order and syntactic function of agent and patient to be inferred. After having heard the verb, listeners fixated on the agent irrespective of its syntactic function or position in the sentence. While hearing the first-mentioned argument, listeners fixated on the corresponding referent in the display accordingly and then initiated saccades to the last-mentioned referent before it was encountered. The results indicate that listeners used verbal semantics to identify referents and their semantic roles early; information about word order or syntactic functions did not influence anticipatory gaze behavior directly after the verb was heard. In this verb-initial language, event semantics takes early precedence during the comprehension of sentences, while arguments are anticipated temporally more local to when they are encountered. The current experiment thus helps to better understand anticipation during language processing by employing linguistic structures not available in previously studied subject-initial languages.
  • Sauter, D., & Scott, S. K. (2007). More than one kind of happiness: Can we recognize vocal expressions of different positive states? Motivation and Emotion, 31(3), 192-199.

    Abstract

    Several theorists have proposed that distinctions are needed between different positive emotional states, and that these discriminations may be particularly useful in the domain of vocal signals (Ekman, 1992b, Cognition and Emotion, 6, 169–200; Scherer, 1986, Psychological Bulletin, 99, 143–165). We report an investigation into the hypothesis that positive basic emotions have distinct vocal expressions (Ekman, 1992b, Cognition and Emotion, 6, 169–200). Non-verbal vocalisations are used that map onto five putative positive emotions: Achievement/Triumph, Amusement, Contentment, Sensual Pleasure, and Relief. Data from categorisation and rating tasks indicate that each vocal expression is accurately categorised and consistently rated as expressing the intended emotion. This pattern is replicated across two language groups. These data, we conclude, provide evidence for the existence of robustly recognisable expressions of distinct positive emotions.
  • Schapper, A., San Roque, L., & Hendery, R. (2016). Tree, firewood and fire in the languages of Sahul. In P. Juvonen (Ed.), The Lexical Typology of Semantic Shifts (pp. 355-422). Berlin: de Gruyter Mouton.
  • Scharenborg, O., Ernestus, M., & Wan, V. (2007). Segmentation of speech: Child's play? In H. van Hamme, & R. van Son (Eds.), Proceedings of Interspeech 2007 (pp. 1953-1956). Adelaide: Causal Productions.

    Abstract

    The difficulty of the task of segmenting a speech signal into its words is immediately clear when listening to a foreign language; it is much harder to segment the signal into its words, since the words of the language are unknown. Infants are faced with the same task when learning their first language. This study provides a better understanding of the task that infants face while learning their native language. We employed an automatic algorithm on the task of speech segmentation without prior knowledge of the labels of the phonemes. An analysis of the boundaries erroneously placed inside a phoneme showed that the algorithm consistently placed additional boundaries in phonemes in which acoustic changes occur. These acoustic changes may be as great as the transition from the closure to the burst of a plosive or as subtle as the formant transitions in low or back vowels. Moreover, we found that glottal vibration may attenuate the relevance of acoustic changes within obstruents. An interesting question for further research is how infants learn to overcome the natural tendency to segment these ‘dynamic’ phonemes.
  • Scharenborg, O., & Wan, V. (2007). Can unquantised articulatory feature continuums be modelled? In INTERSPEECH 2007 - 8th Annual Conference of the International Speech Communication Association (pp. 2473-2476). ISCA Archive.

    Abstract

    Articulatory feature (AF) modelling of speech has received a considerable amount of attention in automatic speech recognition research. Although termed ‘articulatory’, previous definitions make certain assumptions that are invalid, for instance, that articulators ‘hop’ from one fixed position to the next. In this paper, we studied two methods, based on support vector classification (SVC) and regression (SVR), in which the articulation continuum is modelled without being restricted to using discrete AF value classes. A comparison with a baseline system trained on quantised values of the articulation continuum showed that both SVC and SVR outperform the baseline for two of the three investigated AFs, with improvements up to 5.6% absolute.
  • Scharenborg, O., Seneff, S., & Boves, L. (2007). A two-pass approach for handling out-of-vocabulary words in a large vocabulary recognition task. Computer, Speech & Language, 21, 206-218. doi:10.1016/j.csl.2006.03.003.

    Abstract

    This paper addresses the problem of recognizing a vocabulary of over 50,000 city names in a telephone access spoken dialogue system. We adopt a two-stage framework in which only major cities are represented in the first stage lexicon. We rely on an unknown word model encoded as a phone loop to detect OOV city names (referred to as ‘rare city’ names). We use SpeM, a tool that can extract words and word-initial cohorts from phone graphs from a large fallback lexicon, to provide an N-best list of promising city name hypotheses on the basis of the phone graph corresponding to the OOV. This N-best list is then inserted into the second stage lexicon for a subsequent recognition pass. Experiments were conducted on a set of spontaneous telephone-quality utterances; each containing one rare city name. It appeared that SpeM was able to include nearly 75% of the correct city names in an N-best hypothesis list of 3000 city names. With the names found by SpeM to extend the lexicon of the second stage recognizer, a word accuracy of 77.3% could be obtained. The best one-stage system yielded a word accuracy of 72.6%. The absolute number of correctly recognized rare city names almost doubled, from 62 for the best one-stage system to 102 for the best two-stage system. However, even the best two-stage system recognized only about one-third of the rare city names retrieved by SpeM. The paper discusses ways for improving the overall performance in the context of an application.
  • Scharenborg, O., ten Bosch, L., & Boves, L. (2007). Early decision making in continuous speech. In M. Grimm, & K. Kroschel (Eds.), Robust speech recognition and understanding (pp. 333-350). I-Tech Education and Publishing.
  • Scharenborg, O., Ten Bosch, L., & Boves, L. (2007). 'Early recognition' of polysyllabic words in continuous speech. Computer, Speech & Language, 21, 54-71. doi:10.1016/j.csl.2005.12.001.

    Abstract

    Humans are able to recognise a word before its acoustic realisation is complete. This in contrast to conventional automatic speech recognition (ASR) systems, which compute the likelihood of a number of hypothesised word sequences, and identify the words that were recognised on the basis of a trace back of the hypothesis with the highest eventual score, in order to maximise efficiency and performance. In the present paper, we present an ASR system, SpeM, based on principles known from the field of human word recognition that is able to model the human capability of ‘early recognition’ by computing word activation scores (based on negative log likelihood scores) during the speech recognition process. Experiments on 1463 polysyllabic words in 885 utterances showed that 64.0% (936) of these polysyllabic words were recognised correctly at the end of the utterance. For 81.1% of the 936 correctly recognised polysyllabic words the local word activation allowed us to identify the word before its last phone was available, and 64.1% of those words were already identified one phone after their lexical uniqueness point. We investigated two types of predictors for deciding whether a word is considered as recognised before the end of its acoustic realisation. The first type is related to the absolute and relative values of the word activation, which trade false acceptances for false rejections. The second type of predictor is related to the number of phones of the word that have already been processed and the number of phones that remain until the end of the word. The results showed that SpeM’s performance increases if the amount of acoustic evidence in support of a word increases and the risk of future mismatches decreases.
  • Scharenborg, O. (2007). Reaching over the gap: A review of efforts to link human and automatic speech recognition research. Speech Communication, 49, 336-347. doi:10.1016/j.specom.2007.01.009.

    Abstract

    The fields of human speech recognition (HSR) and automatic speech recognition (ASR) both investigate parts of the speech recognition process and have word recognition as their central issue. Although the research fields appear closely related, their aims and research methods are quite different. Despite these differences there is, however, lately a growing interest in possible cross-fertilisation. Researchers from both ASR and HSR are realising the potential benefit of looking at the research field on the other side of the ‘gap’. In this paper, we provide an overview of past and present efforts to link human and automatic speech recognition research and present an overview of the literature describing the performance difference between machines and human listeners. The focus of the paper is on the mutual benefits to be derived from establishing closer collaborations and knowledge interchange between ASR and HSR. The paper ends with an argument for more and closer collaborations between researchers of ASR and HSR to further improve research in both fields.
  • Scharenborg, O., Wan, V., & Moore, R. K. (2007). Towards capturing fine phonetic variation in speech using articulatory features. Speech Communication, 49, 811-826. doi:10.1016/j.specom.2007.01.005.

    Abstract

    The ultimate goal of our research is to develop a computational model of human speech recognition that is able to capture the effects of fine-grained acoustic variation on speech recognition behaviour. As part of this work we are investigating automatic feature classifiers that are able to create reliable and accurate transcriptions of the articulatory behaviour encoded in the acoustic speech signal. In the experiments reported here, we analysed the classification results from support vector machines (SVMs) and multilayer perceptrons (MLPs). MLPs have been widely and successfully used for the task of multi-value articulatory feature classification, while (to the best of our knowledge) SVMs have not. This paper compares the performance of the two classifiers and analyses the results in order to better understand the articulatory representations. It was found that the SVMs outperformed the MLPs for five out of the seven articulatory feature classes we investigated while using only 8.8–44.2% of the training material used for training the MLPs. The structure in the misclassifications of the SVMs and MLPs suggested that there might be a mismatch between the characteristics of the classification systems and the characteristics of the description of the AF values themselves. The analyses showed that some of the misclassified features are inherently confusable given the acoustic space. We concluded that in order to come to a feature set that can be used for a reliable and accurate automatic description of the speech signal; it could be beneficial to move away from quantised representations.
  • Schepens, J., Van der Silk, F., & Van Hout, R. (2016). L1 and L2 Distance Effects in Learning L3 Dutch. Language Learning, 66, 224-256. doi:10.1111/lang.12150.

    Abstract

    Many people speak more than two languages. How do languages acquired earlier affect the learnability of additional languages? We show that linguistic distances between speakers' first (L1) and second (L2) languages and their third (L3) language play a role. Larger distances from the L1 to the L3 and from the L2 to the L3 correlate with lower degrees of L3 learnability. The evidence comes from L3 Dutch speaking proficiency test scores obtained by candidates who speak a diverse set of L1s and L2s. Lexical and morphological distances between the L1s of the learners and Dutch explained 47.7% of the variation in proficiency scores. Lexical and morphological distances between the L2s of the learners and Dutch explained 32.4% of the variation in proficiency scores in multilingual learners. Cross-linguistic differences require language learners to bridge varying linguistic gaps between their L1 and L2 competences and the target language.
  • Scheu, O., & Zinn, C. (2007). How did the e-learning session go? The student inspector. In Proceedings of the 13th International Conference on Artificial Intelligence and Education (AIED 2007). Amsterdam: IOS Press.

    Abstract

    Good teachers know their students, and exploit this knowledge to adapt or optimise their instruction. Traditional teachers know their students because they interact with them face-to-face in classroom or one-to-one tutoring sessions. In these settings, they can build student models, i.e., by exploiting the multi-faceted nature of human-human communication. In distance-learning contexts, teacher and student have to cope with the lack of such direct interaction, and this must have detrimental effects for both teacher and student. In a past study we have analysed teacher requirements for tracking student actions in computer-mediated settings. Given the results of this study, we have devised and implemented a tool that allows teachers to keep track of their learners'interaction in e-learning systems. We present the tool's functionality and user interfaces, and an evaluation of its usability.
  • Schmid, M. S., Berends, S. M., Bergmann, C., Brouwer, S., Meulman, N., Seton, B., Sprenger, S., & Stowe, L. A. (2016). Designing research on bilingual development: Behavioral and neurolinguistic experiments. Berlin: Springer.
  • Schmidt, J., Herzog, D., Scharenborg, O., & Janse, E. (2016). Do hearing aids improve affect perception? Advances in Experimental Medicine and Biology, 894, 47-55. doi:10.1007/978-3-319-25474-6_6.

    Abstract

    Normal-hearing listeners use acoustic cues in speech to interpret a speaker's emotional state. This study investigates the effect of hearing aids on the perception of the emotion dimensions arousal (aroused/calm) and valence (positive/negative attitude) in older adults with hearing loss. More specifically, we investigate whether wearing a hearing aid improves the correlation between affect ratings and affect-related acoustic parameters. To that end, affect ratings by 23 hearing-aid users were compared for aided and unaided listening. Moreover, these ratings were compared to the ratings by an age-matched group of 22 participants with age-normal hearing.For arousal, hearing-aid users rated utterances as generally more aroused in the aided than in the unaided condition. Intensity differences were the strongest indictor of degree of arousal. Among the hearing-aid users, those with poorer hearing used additional prosodic cues (i.e., tempo and pitch) for their arousal ratings, compared to those with relatively good hearing. For valence, pitch was the only acoustic cue that was associated with valence. Neither listening condition nor hearing loss severity (differences among the hearing-aid users) influenced affect ratings or the use of affect-related acoustic parameters. Compared to the normal-hearing reference group, ratings of hearing-aid users in the aided condition did not generally differ in both emotion dimensions. However, hearing-aid users were more sensitive to intensity differences in their arousal ratings than the normal-hearing participants.We conclude that the use of hearing aids is important for the rehabilitation of affect perception and particularly influences the interpretation of arousal
  • Schmidt, J., Janse, E., & Scharenborg, O. (2016). Perception of emotion in conversational speech by younger and older listeners. Frontiers in Psychology, 7: 781. doi:10.3389/fpsyg.2016.00781.

    Abstract

    This study investigated whether age and/or differences in hearing sensitivity influence the perception of the emotion dimensions arousal (calm vs. aroused) and valence (positive vs. negative attitude) in conversational speech. To that end, this study specifically focused on the relationship between participants' ratings of short affective utterances and the utterances' acoustic parameters (pitch, intensity, and articulation rate) known to be associated with the emotion dimensions arousal and valence. Stimuli consisted of short utterances taken from a corpus of conversational speech. In two rating tasks, younger and older adults either rated arousal or valence using a 5-point scale. Mean intensity was found to be the main cue participants used in the arousal task (i.e., higher mean intensity cueing higher levels of arousal) while mean F-0 was the main cue in the valence task (i.e., higher mean F-0 being interpreted as more negative). Even though there were no overall age group differences in arousal or valence ratings, compared to younger adults, older adults responded less strongly to mean intensity differences cueing arousal and responded more strongly to differences in mean F-0 cueing valence. Individual hearing sensitivity among the older adults did not modify the use of mean intensity as an arousal cue. However, individual hearing sensitivity generally affected valence ratings and modified the use of mean F-0. We conclude that age differences in the interpretation of mean F-0 as a cue for valence are likely due to age-related hearing loss, whereas age differences in rating arousal do not seem to be driven by hearing sensitivity differences between age groups (as measured by pure-tone audiometry).
  • Schoot, L., Heyselaar, E., Hagoort, P., & Segaert, K. (2016). Does syntactic alignment effectively influence how speakers are perceived by their conversation partner. PLoS One, 11(4): e015352. doi:10.1371/journal.pone.0153521.

    Abstract

    The way we talk can influence how we are perceived by others. Whereas previous studies have started to explore the influence of social goals on syntactic alignment, in the current study, we additionally investigated whether syntactic alignment effectively influences conversation partners’ perception of the speaker. To this end, we developed a novel paradigm in which we can measure the effect of social goals on the strength of syntactic alignment for one participant (primed participant), while simultaneously obtaining usable social opinions about them from their conversation partner (the evaluator). In Study 1, participants’ desire to be rated favorably by their partner was manipulated by assigning pairs to a Control (i.e., primed participants did not know they were being evaluated) or Evaluation context (i.e., primed participants knew they were being evaluated). Surprisingly, results showed no significant difference in the strength with which primed participants aligned their syntactic choices with their partners’ choices. In a follow-up study, we used a Directed Evaluation context (i.e., primed participants knew they were being evaluated and were explicitly instructed to make a positive impression). However, again, there was no evidence supporting the hypothesis that participants’ desire to impress their partner influences syntactic alignment. With respect to the influence of syntactic alignment on perceived likeability by the evaluator, a negative relationship was reported in Study 1: the more primed participants aligned their syntactic choices with their partner, the more that partner decreased their likeability rating after the experiment. However, this effect was not replicated in the Directed Evaluation context of Study 2. In other words, our results do not support the conclusion that speakers’ desire to be liked affects how much they align their syntactic choices with their partner, nor is there convincing evidence that there is a reliable relationship between syntactic alignment and perceived likeability.

    Additional information

    Data availability
  • Schoot, L., Hagoort, P., & Segaert, K. (2016). What can we learn from a two-brain approach to verbal interaction? Neuroscience and Biobehavioral Reviews, 68, 454-459. doi:10.1016/j.neubiorev.2016.06.009.

    Abstract

    Verbal interaction is one of the most frequent social interactions humans encounter on a daily basis. In the current paper, we zoom in on what the multi-brain approach has contributed, and can contribute in the future, to our understanding of the neural mechanisms supporting verbal interaction. Indeed, since verbal interaction can only exist between individuals, it seems intuitive to focus analyses on inter-individual neural markers, i.e. between-brain neural coupling. To date, however, there is a severe lack of theoretically-driven, testable hypotheses about what between-brain neural coupling actually reflects. In this paper, we develop a testable hypothesis in which between-pair variation in between-brain neural coupling is of key importance. Based on theoretical frameworks and empirical data, we argue that the level of between-brain neural coupling reflects speaker-listener alignment at different levels of linguistic and extra-linguistic representation. We discuss the possibility that between-brain neural coupling could inform us about the highest level of inter-speaker alignment: mutual understanding
  • Schulte im Walde, S., Melinger, A., Roth, M., & Weber, A. (2007). An empirical characterization of response types in German association norms. In Proceedings of the GLDV workshop on lexical-semantic and ontological resources.
  • Segaert, K., Wheeldon, L., & Hagoort, P. (2016). Unifying structural priming effects on syntactic choices and timing of sentence generation. Journal of Memory and Language, 91, 59-80. doi:10.1016/j.jml.2016.03.011.

    Abstract

    We investigated whether structural priming of production latencies is sensitive to the same factors known to influence persistence of structural choices: structure preference, cumulativity and verb repetition. In two experiments, we found structural persistence only for passives (inverse preference effect) while priming effects on latencies were stronger for the actives (positive preference effect). We found structural persistence for passives to be influenced by immediate primes and long lasting cumulativity (all preceding primes) (Experiment 1), and to be boosted by verb repetition (Experiment 2). In latencies we found effects for actives were sensitive to long lasting cumulativity (Experiment 1). In Experiment 2, in latencies we found priming for actives overall, while for passives the priming effects emerged as the cumulative exposure increased but only when also aided by verb repetition. These findings are consistent with the Two-stage Competition model, an integrated model of structural priming effects for sentence choice and latency
  • Segurado, R., Hamshere, M. L., Glaser, B., Nikolov, I., Moskvina, V., & Holmans, P. A. (2007). Combining linkage data sets for meta-analysis and mega-analysis: the GAW15 rheumatoid arthritis data set. BMC Proceedings, 1(Suppl 1): S104.

    Abstract

    We have used the genome-wide marker genotypes from Genetic Analysis Workshop 15 Problem 2 to explore joint evidence for genetic linkage to rheumatoid arthritis across several samples. The data consisted of four high-density genome scans on samples selected for rheumatoid arthritis. We cleaned the data, removed intermarker linkage disequilibrium, and assembled the samples onto a common genetic map using genome sequence positions as a reference for map interpolation. The individual studies were combined first at the genotype level (mega-analysis) prior to a multipoint linkage analysis on the combined sample, and second using the genome scan meta-analysis method after linkage analysis of each sample. The two approaches were compared, and give strong support to the HLA locus on chromosome 6 as a susceptibility locus. Other regions of interest include loci on chromosomes 11, 2, and 12.
  • Selten, M., Meyer, F., Ba, W., Valles, A., Maas, D., Negwer, M., Eijsink, V. D., van Vugt, R. W. M., van Hulten, J. A., van Bakel, N. H. M., Roosen, J., van der Linden, R., Schubert, D., Verheij, M. M. M., Kasri, N. N., & Martens, G. J. M. (2016). Increased GABAB receptor signaling in a rat model for schizophrenia. Scientific Reports, 6: 34240. doi:10.1038/srep34240.

    Abstract

    Schizophrenia is a complex disorder that affects cognitive function and has been linked, both in patients and animal models, to dysfunction of the GABAergic system. However, the pathophysiological consequences of this dysfunction are not well understood. Here, we examined the GABAergic system in an animal model displaying schizophrenia-relevant features, the apomorphine-susceptible (APO-SUS) rat and its phenotypic counterpart, the apomorphine-unsusceptible (APO-UNSUS) rat at postnatal day 20-22. We found changes in the expression of the GABA-synthesizing enzyme GAD67 specifically in the prelimbic-but not the infralimbic region of the medial prefrontal cortex (mPFC), indicative of reduced inhibitory function in this region in APO-SUS rats. While we did not observe changes in basal synaptic transmission onto LII/III pyramidal cells in the mPFC of APO-SUS compared to APO-UNSUS rats, we report reduced paired-pulse ratios at longer inter-stimulus intervals. The GABA(B) receptor antagonist CGP 55845 abolished this reduction, indicating that the decreased paired-pulse ratio was caused by increased GABA(B) signaling. Consistently, we find an increased expression of the GABA(B1) receptor subunit in APO-SUS rats. Our data provide physiological evidence for increased presynaptic GABAB signaling in the mPFC of APO-SUS rats, further supporting an important role for the GABAergic system in the pathophysiology of schizophrenia.
  • Senft, G. (2007). Reference and 'référence dangereuse' to persons in Kilivila: An overview and a case study. In N. Enfield, & T. Stivers (Eds.), Person reference in interaction: Linguistic, cultural, and social perspectives (pp. 309-337). Cambridge: Cambridge University Press.

    Abstract

    Based on the conversation analysts’ insights into the various forms of third person reference in English, this paper first presents the inventory of forms Kilivila, the Austronesian language of the Trobriand Islanders of Papua New Guinea, offers its speakers for making such references. To illustrate such references to third persons in talk-in-interaction in Kilivila, a case study on gossiping is presented in the second part of the paper. This case study shows that ambiguous anaphoric references to two first mentioned third persons turn out to not only exceed and even violate the frame of a clearly defined situational-intentional variety of Kilivila that is constituted by the genre “gossip”, but also that these references are extremely dangerous for speakers in the Trobriand Islanders’ society. I illustrate how this culturally dangerous situation escalates and how other participants of the group of gossiping men try to “repair” this violation of the frame of a culturally defined and metalinguistically labelled “way of speaking”. The paper ends with some general remarks on how the understanding of forms of person reference in a language is dependent on the culture specific context in which they are produced.
  • Senft, G. (2007). The Nijmegen space games: Studying the interrelationship between language, culture and cognition. In J. Wassmann, & K. Stockhaus (Eds.), Person, space and memory in the contemporary Pacific: Experiencing new worlds (pp. 224-244). New York: Berghahn Books.

    Abstract

    One of the central aims of the "Cognitive Anthropology Research Group" (since 1998 the "Department of Language and Cognition of the MPI for Psycholinguistics") is to research the relationship between language, culture and cognition and the conceptualization of space in various languages and cultures. Ever since its foundation in 1991 the group has been developing methods to elicit cross-culturally and cross-linguistically comparable data for this research project. After a brief summary of the central considerations that served as guidelines for the developing of these elicitation devices, this paper first presents a broad selection of the "space games" developed and used for data elicitation in the groups' various fieldsites so far. The paper then discusses the advantages and shortcomings of these data elicitation devices. Finally, it is argued that methodologists developing such devices find themselves in a position somewhere between Scylla and Charybdis - at least, if they take the requirement seriously that the elicited data should be comparable not only cross-culturally but also cross-linguistically.
  • Senft, G. (2016). "Masawa - bogeokwa si tuta!": Cultural and cognitive implications of the Trobriand Islanders' gradual loss of their knowledge of how to make a masawa canoe. In P. Meusburger, T. Freytag, & L. Suarsana (Eds.), Ethnic and Cultural Dimensions of Knowledge (pp. 229-256). Heidelberg: Springer Verlag.

    Abstract

    This paper describes how the Trobriand Islanders of Papua New Guinea used to construct their big seagoing masawa canoes and how they used to make their sails, what forms of different knowledge and expertise they needed to do this during various stages of the construction processes, how this knowledge was socially distributed, and the social implications of all the joint communal activities that were necessary until a new canoe could be launched. Then it tries to answer the question why the complex distributed knowledge of how to make a masawa has been gradually getting lost in most of the village communities on the Trobriand Islands; and finally it outlines and discusses the implications of this loss for the Trobriand Islanders' culture, for their social construction of reality, and for their indigenous cognitive capacities.
  • Senft, G. (2007). "Ich weiß nicht, was soll es bedeuten.." - Ethnolinguistische Winke zur Rolle von umfassenden Metadaten bei der (und für die) Arbeit mit Corpora. In W. Kallmeyer, & G. Zifonun (Eds.), Sprachkorpora - Datenmengen und Erkenntnisfortschritt (pp. 152-168). Berlin: Walter de Gruyter.

    Abstract

    Arbeitet man als muttersprachlicher Sprecher des Deutschen mit Corpora gesprochener oder geschriebener deutscher Sprache, dann reflektiert man in aller Regel nur selten über die Vielzahl von kulturspezifischen Informationen, die in solchen Texten kodifiziert sind – vor allem, wenn es sich bei diesen Daten um Texte aus der Gegenwart handelt. In den meisten Fällen hat man nämlich keinerlei Probleme mit dem in den Daten präsupponierten und als allgemein bekannt erachteten Hintergrundswissen. Betrachtet man dagegen Daten in Corpora, die andere – vor allem nicht-indoeuropäische – Sprachen dokumentieren, dann wird einem schnell bewußt, wieviel an kulturspezifischem Wissen nötig ist, um diese Daten adäquat zu verstehen. In meinem Vortrag illustriere ich diese Beobachtung an einem Beispiel aus meinem Corpus des Kilivila, der austronesischen Sprache der Trobriand-Insulaner von Papua-Neuguinea. Anhand eines kurzen Auschnitts einer insgesamt etwa 26 Minuten dauernden Dokumentation, worüber und wie sechs Trobriander miteinander tratschen und klatschen, zeige ich, was ein Hörer oder Leser eines solchen kurzen Daten-Ausschnitts wissen muß, um nicht nur dem Gespräch überhaupt folgen zu können, sondern auch um zu verstehen, was dabei abläuft und wieso ein auf den ersten Blick absolut alltägliches Gespräch plötzlich für einen Trobriander ungeheuer an Brisanz und Bedeutung gewinnt. Vor dem Hintergrund dieses Beispiels weise ich dann zum Schluß meines Beitrags darauf hin, wie unbedingt nötig und erforderlich es ist, in allen Corpora bei der Erschließung und Kommentierung von Datenmaterialien durch sogenannte Metadaten solche kulturspezifischen Informationen explizit zu machen.
  • Senft, G. (2007). [Review of the book Bislama reference grammar by Terry Crowley]. Linguistics, 45(1), 235-239.
  • Senft, G. (2007). [Review of the book Serial verb constructions - A cross-linguistic typology by Alexandra Y. Aikhenvald and Robert M. W. Dixon]. Linguistics, 45(4), 833-840. doi:10.1515/LING.2007.024.
  • Senft, G. (2007). Language, culture and cognition: Frames of spatial reference and why we need ontologies of space [Abstract]. In A. G. Cohn, C. Freksa, & B. Bebel (Eds.), Spatial cognition: Specialization and integration (pp. 12).

    Abstract

    One of the many results of the "Space" research project conducted at the MPI for Psycholinguistics is that there are three "Frames of spatial Reference" (FoRs), the relative, the intrinsic and the absolute FoR. Cross-linguistic research showed that speakers who prefer one FoR in verbal spatial references rely on a comparable coding system for memorizing spatial configurations and for making inferences with respect to these spatial configurations in non-verbal problem solving. Moreover, research results also revealed that in some languages these verbal FoRs also influence gestural behavior. These results document the close interrelationship between language, culture and cognition in the domain "Space". The proper description of these interrelationships in the spatial domain requires language and culture specific ontologies.
  • Senft, G. (2007). Nominal classification. In D. Geeraerts, & H. Cuyckens (Eds.), The Oxford handbook of cognitive linguistics (pp. 676-696). Oxford: Oxford University Press.

    Abstract

    This handbook chapter summarizes some of the problems of nominal classification in language, presents and illustrates the various systems or techniques of nominal classification, and points out why nominal classification is one of the most interesting topics in Cognitive Linguistics.
  • Senft, G. (2016). Pragmatics. In K. B. Jensen, R. T. Craig, J. Pooley, & E. Rothenbuhler (Eds.), The International Encyclopedia of Communication Theory and Philosophy (pp. 1586-1598). Hoboken, NJ: John Wiley. doi:10.1002/9781118766804.wbiect165.

    Abstract

    This entry takes an interdisciplinary approach to linguistic pragmatics. It discusses how the meaning of utterances can only be understood in relation to overall cultural, social, and interpersonal contexts, as well as to culture-specific conventions and the speech events in which they are embedded. The entry discusses core issues of pragmatics such as speech act theory, conversational implicature, deixis, gesture, interaction strategies, ritual communication, phatic communion, linguistic relativity, ethnography of speaking, ethnomethodology, and conversation analysis. It takes a transdisciplinary view of the field, showing that linguistic pragmatics has its predecessors in other disciplines such as philosophy, psychology, ethology, ethnology, and sociology.
  • Senft, G., Majid, A., & Levinson, S. C. (2007). The language of taste. In A. Majid (Ed.), Field Manual Volume 10 (pp. 42-45). Nijmegen: Max Planck Institute for Psycholinguistics. doi:10.17617/2.492913.
  • Seuren, P. A. M. (2007). The theory that dare not speak its name: A rejoinder to Mufwene and Francis. Language Sciences, 29(4), 571-573. doi:10.1016/j.langsci.2007.02.001.
  • Seuren, P. A. M. (2016). Excursies in de tijd: Episodes uit de geschiedenis van onze beschaving. Beilen: Pharos uitgevers.
  • Seuren, P. A. M. (2016). Saussure and his intellectual environment. History of European Ideas, 42(6), 819-847. doi:10.1080/01916599.2016.1154398.

    Abstract

    The present study paints the intellectual environment in which Ferdinand de Saussure developed his ideas about language and linguistics during the fin de siècle. It sketches his dissatisfaction with that environment to the extent that it touched on linguistics, and shows the new course he was trying to steer on the basis of ideas that seemed to open new and exciting perspectives, even though they were still vaguely defined. As Saussure himself was extremely reticent about his sources and intellectual pedigree, his stance in the lively European cultural context in which he lived can only be established through textual critique and conjecture. On this basis, it is concluded that Saussure, though relatively uninformed about its historical roots, essentially aimed at integrating the rationalist tradition current in the sciences in his day into a new, ‘scientific’ general theory of language. In this, he was heavily indebted to a few predecessors, such as the French philosopher-psychologist Victor Egger, and particularly to the French psychologist, historian and philosopher Hippolyte Taine, who was a major cultural influence in nineteenth-century France, though now largely forgotten. The present study thus supports Hans Aarsleff's analysis, where, for the first time, Taine's influence is emphasised, and rejects John Joseph's contention that Taine had no influence and that, instead, Saussure was influenced mainly by the romanticist Adolphe Pictet. Saussure abhorred Pictet's method of etymologising, which predated the Young Grammarian school, central to Saussure's linguistic education. The issue has implications for the positioning of Saussure in the history of linguistics. Is he part of the non-analytical, romanticist and experience-based European strand of thought that is found in art and postmodernist philosophy and is sometimes called structuralism, or is he a representative of the short-lived European branch of specifically linguistic structuralism, which was rationalist in outlook, more science-oriented and more formalist, but lost out to American structuralism? The latter seems to be the case, though phenomenology, postmodernism and art have lately claimed Saussure as an icon
  • Shao, Z., & Stiegert, J. (2016). Predictors of photo naming: Dutch norms for 327 photos. Behavior Research Methods, 48(2), 577-584. doi:10.3758/s13428-015-0613-0.

    Abstract

    The present study reports naming latencies and norms for 327 photos of objects in Dutch. We provide norms for eight psycholinguistic variables: age of acquisition, familiarity, imageability, image agreement, objective and subjective visual complexity, word frequency, word length in syllables and in letters, and name agreement. Furthermore, multiple regression analyses reveal that significant predictors of photo naming latencies are name agreement, word frequency, imageability, and image agreement. Naming latencies, norms and stimuli are provided as Supplemental Materials.
  • Shitova, N., Roelofs, A., Schriefers, H., Bastiaansen, M., & Schoffelen, J.-M. (2016). Using Brain Potentials to Functionally Localise Stroop-Like Effects in Colour and Picture Naming: Perceptual Encoding versus Word Planning. PLoS One, 11(9): e0161052. doi:10.1371/journal.pone.0161052.

    Abstract

    The colour-word Stroop task and the picture-word interference task (PWI) have been used extensively to study the functional processes underlying spoken word production. One of the consistent behavioural effects in both tasks is the Stroop-like effect: The reaction time (RT) is longer on incongruent trials than on congruent trials. The effect in the Stroop task is usually linked to word planning, whereas the effect in the PWI task is associated with either word planning or perceptual encoding. To adjudicate between the word planning and perceptual encoding accounts of the effect in PWI, we conducted an EEG experiment consisting of three tasks: a standard colour-word Stroop task (three colours), a standard PWI task (39 pictures), and a Stroop-like version of the PWI task (three pictures). Participants overtly named the colours and pictures while their EEG was recorded. A Stroop-like effect in RTs was observed in all three tasks. ERPs at centro-parietal sensors started to deflect negatively for incongruent relative to congruent stimuli around 350 ms after stimulus onset for the Stroop, Stroop-like PWI, and the Standard PWI tasks: an N400 effect. No early differences were found in the PWI tasks. The onset of the Stroop-like effect at about 350 ms in all three tasks links the effect to word planning rather than perceptual encoding, which has been estimated in the literature to be finished around 200–250 ms after stimulus onset. We conclude that the Stroop-like effect arises during word planning in both Stroop and PWI.
  • Sikora, K., Roelofs, A., & Hermans, D. (2016). Electrophysiology of executive control in spoken noun-phrase production: Dynamics of updating, inhibiting, and shifting. Neuropsychologia, 84, 44-53. doi:10.1016/j.neuropsychologia.2016.01.037.

    Abstract

    Previous studies have provided evidence that updating, inhibiting, and shifting abilities underlying executive control determine response time (RT) in language production. However, little is known about their electrophysiological basis and dynamics. In the present electroencephalography study, we assessed noun-phrase production using picture description and a picture-word interference paradigm. We measured picture description RTs to assess length, distractor, and switch effects, which have been related to the updating, inhibiting, and shifting abilities. In addition, we measured event-related brain potentials (ERPs). Previous research has suggested that inhibiting and shifting are associated with anterior and posterior N200 subcomponents, respectively, and updating with the P300. We obtained length, distractor, and switch effects in the RTs, and an interaction between length and switch. There was a widely distributed switch effect in the N200, an interaction of length and midline site in the N200, and a length effect in the P300, whereas distractor did not yield any ERP modulation. Moreover, length and switch interacted in the posterior N200. We argue that these results provide electrophysiological evidence that inhibiting and shifting of task set occur before updating in phrase planning.
  • Sikora, K., Roelofs, A., Hermans, D., & Knoors, H. (2016). Executive control in spoken noun-phrase production: Contributions of updating, inhibiting, and shifting. Quarterly Journal of Experimental Psychology, 69(9), 1719-1740. doi:10.1080/17470218.2015.1093007.

    Abstract

    The present study examined how the updating, inhibiting, and shifting abilities underlying executive control influence spoken noun-phrase production. Previous studies provided evidence that updating and inhibiting, but not shifting, influence picture-naming response time (RT). However, little is known about the role of executive control in more complex forms of language production like generating phrases. We assessed noun-phrase production using picture description and a picture–word interference procedure. We measured picture description RT to assess length, distractor, and switch effects, which were assumed to reflect, respectively, the updating, inhibiting, and shifting abilities of adult participants. Moreover, for each participant we obtained scores on executive control tasks that measured verbal and nonverbal updating, nonverbal inhibiting, and nonverbal shifting. We found that both verbal and nonverbal updating scores correlated with the overall mean picture description RTs. Furthermore, the length effect in the RTs correlated with verbal but not nonverbal updating scores, while the distractor effect correlated with inhibiting scores. We did not find a correlation between the switch effect in the mean RTs and the shifting scores. However, the shifting scores correlated with the switch effect in the normal part of the underlying RT distribution. These results suggest that updating, inhibiting, and shifting each influence the speed of phrase production, thereby demonstrating a contribution of all three executive control abilities to language production.
  • Silva, S., Petersson, K. M., & Castro, S. (2016). Rhythm in the brain: Is music special? In D. Da Silva Marques, & J. Avila-Toscano (Eds.), Neuroscience to neuropsychology: The study of the human brain (pp. 29-54). Barranquilla, Colombia: Ediciones CUR.
  • Silva, S., Reis, A., Casaca, L., Petersson, K. M., & Faísca, L. (2016). When the eyes no longer lead: Familiarity and length effects eye-voice span. Frontiers in Psychology, 7: 1720. doi:10.3389/fpsyg.2016.01720.

    Abstract

    During oral reading, the eyes tend to be ahead of the voice (eye-voice span, EVS). It has been hypothesized that the extent to which this happens depends on the automaticity of reading processes, namely on the speed of print-to-sound conversion. We tested whether EVS is affected by another automaticity component – immunity from interference. To that end, we manipulated word familiarity (high-frequency, lowfrequency, and pseudowords, PW) and word length as proxies of immunity from interference, and we used linear mixed effects models to measure the effects of both variables on the time interval at which readers do parallel processing by gazing at word N C 1 while not having articulated word N yet (offset EVS). Parallel processing was enhanced by automaticity, as shown by familiarity length interactions on offset EVS, and it was impeded by lack of automaticity, as shown by the transformation of offset EVS into voice-eye span (voice ahead of the offset of the eyes) in PWs. The relation between parallel processing and automaticity was strengthened by the fact that offset EVS predicted reading velocity. Our findings contribute to understand how the offset EVS, an index that is obtained in oral reading, may tap into different components of automaticity that underlie reading ability, oral or silent. In addition, we compared the duration of the offset EVS with the average reference duration of stages in word production, and we saw that the offset EVS may accommodate for more than the articulatory programming stage of word N.
  • Silva, S., Faísca, L., Araújo, S., Casaca, L., Carvalho, L., Petersson, K. M., & Reis, A. (2016). Too little or too much? Parafoveal preview benefits and parafoveal load costs in dyslexic adults. Annals of Dyslexia, 66(2), 187-201. doi:10.1007/s11881-015-0113-z.

    Abstract

    Two different forms of parafoveal dysfunction have been hypothesized as core deficits of dyslexic individuals: reduced parafoveal preview benefits (“too little parafovea”) and increased costs of parafoveal load (“too much parafovea”). We tested both hypotheses in a single eye-tracking experiment using a modified serial rapid automatized naming (RAN) task. Comparisons between dyslexic and non-dyslexic adults showed reduced parafoveal preview benefits in dyslexics, without increased costs of parafoveal load. Reduced parafoveal preview benefits were observed in a naming task, but not in a silent letter-finding task, indicating that the parafoveal dysfunction may be consequent to the overload with extracting phonological information from orthographic input. Our results suggest that dyslexics’ parafoveal dysfunction is not based on strict visuo-attentional factors, but nevertheless they stress the importance of extra-phonological processing. Furthermore, evidence of reduced parafoveal preview benefits in dyslexia may help understand why serial RAN is an important reading predictor in adulthood
  • Slobin, D. I., & Bowerman, M. (2007). Interfaces between linguistic typology and child language research. Linguistic Typology, 11(1), 213-226. doi:10.1515/LINGTY.2007.015.
  • Sloetjes, H., & Seibert, O. (2016). Measuring by marking; the multimedia annotation tool ELAN. In A. Spink, G. Riedel, L. Zhou, L. Teekens, R. Albatal, & C. Gurrin (Eds.), Measuring Behavior 2016, 10th International Conference on Methods and Techniques in Behavioral Research (pp. 492-495).

    Abstract

    ELAN is a multimedia annotation tool developed by the Max Planck Institute for Psycholinguistics. It is applied in a variety of research areas. This paper presents a general overview of the tool and new developments as the calculation of inter-rater reliability, a commentary framework, semi-automatic segmentation and labeling and export to Theme.
  • Smeets, C. J. L. M., & Verbeek, D. (2016). Climbing fibers in spinocerebellar ataxia: A mechanism for the loss of motor control. Neurobiology of Disease, 88, 96-106. doi:10.1016/j.nbd.2016.01.009.

    Abstract

    The spinocerebellar ataxias (SCAs) form an ever-growing group of neurodegenerative disorders causing dysfunction of the cerebellum and loss of motor control in patients. Currently, 41 different genetic causes have been identified, with each mutation affecting a different gene. Interestingly, these diverse genetic causes all disrupt cerebellar function and produce similar symptoms in patients. In order to understand the disease better, and define possible therapeutic targets for multiple SCAs, the field has been searching for common ground among the SCAs. In this review, we discuss the physiology of climbing fibers and the possibility that climbing fiber dysfunction is a point of convergence for at least a subset of SCAs.
  • Smeets, C. J. L. M., Zmorzynska, J., Melo, M. N., Stargardt, A., Dooley, C., Bakalkin, G., McLaughlin, J., Sinke, R. J., Marrink, S.-J., Reits, E., & Verbeek, D. S. (2016). Altered secondary structure of Dynorphin A associates with loss of opioid signalling and NMDA-mediated excitotoxicity in SCA23. Human Molecular Genetics, 25(13), 2728-2737. doi:10.1093/hmg/ddw130.

    Abstract

    Spinocerebellar ataxia type 23 (SCA23) is caused by missense mutations in prodynorphin, encoding the precursor protein for the opioid neuropeptides a -neoendorphin, Dynorphin (Dyn) A and Dyn B, leading to neurotoxic elevated mutant Dyn A levels. Dyn A acts on opioid receptors to reduce pain in the spinal cord, but its cerebellar function remains largely unknown. Increased concentration of or prolonged exposure to Dyn A is neurotoxic and these deleterious effects are very likely caused by an N - methyl- D -aspartate-mediated non-opioid mechanism as Dyn A peptides were shown to bind NMDA receptors and potentiate their glutamate-evoked currents. In the present study, we investigated the cellular mechanisms underlying SCA23-mutant Dyn A neurotoxicity. We show that SCA23 mutations in the Dyn A-coding region disrupted peptide secondary structure leading to a loss of the N-terminal a -helix associated with decreased j -opioid receptor affinity. Additionally, the altered secondary structure led to increased peptide stability of R6W and R9C Dyn A, as these peptides showed marked degradation resistance, which coin- cided with decreased peptide solubility. Notably, L5S Dyn A displayed increased degradation and no aggregation. R6W and wt Dyn A peptides were most toxic to primary cerebellar neurons. For R6W Dyn A, this is likely because of a switch from opioid to NMDA- receptor signalling, while for wt Dyn A, this switch was not observed. We propose that the pathology of SCA23 results from converging mechanisms of loss of opioid-mediated neuroprotection and NMDA-mediated excitotoxicity.
  • Smeets, C. J. L. M., & Verbeek, D. S. (2016). Reply: SCA23 and prodynorphin: is it time for gene retraction? Brain, 139(8): e43. doi:10.1093/brain/aww094.
  • Smith, A. C., Monaghan, P., & Huettig, F. (2016). Complex word recognition behaviour emerges from the richness of the word learning environment. In K. Twomey, A. C. Smith, G. Westermann, & P. Monaghan (Eds.), Neurocomputational Models of Cognitive Development and Processing: Proceedings of the 14th Neural Computation and Psychology Workshop (pp. 99-114). Singapore: World Scientific. doi:10.1142/9789814699341_0007.

    Abstract

    Computational models can reflect the complexity of human behaviour by implementing multiple constraints within their architecture, and/or by taking into account the variety and richness of the environment to which the human is responding. We explore the second alternative in a model of word recognition that learns to map spoken words to visual and semantic representations of the words’ concepts. Critically, we employ a phonological representation utilising coarse-coding of the auditory stream, to mimic early stages of language development that are not dependent on individual phonemes to be isolated in the input, which may be a consequence of literacy development. The model was tested at different stages during training, and was able to simulate key behavioural features of word recognition in children: a developing effect of semantic information as a consequence of language learning, and a small but earlier effect of phonological information on word processing. We additionally tested the role of visual information in word processing, generating predictions for behavioural studies, showing that visual information could have a larger effect than semantics on children’s performance, but that again this affects recognition later in word processing than phonological information. The model also provides further predictions for performance of a mature word recognition system in the absence of fine-coding of phonology, such as in adults who have low literacy skills. The model demonstrated that such phonological effects may be reduced but are still evident even when multiple distractors from various modalities are present in the listener’s environment. The model demonstrates that complexity in word recognition can emerge from a simple associative system responding to the interactions between multiple sources of information in the language learner’s environment.
  • Snijders, T. M., Kooijman, V., Cutler, A., & Hagoort, P. (2007). Neurophysiological evidence of delayed segmentation in a foreign language. Brain Research, 1178, 106-113. doi:10.1016/j.brainres.2007.07.080.

    Abstract

    Previous studies have shown that segmentation skills are language-specific, making it difficult to segment continuous speech in an unfamiliar language into its component words. Here we present the first study capturing the delay in segmentation and recognition in the foreign listener using ERPs. We compared the ability of Dutch adults and of English adults without knowledge of Dutch (‘foreign listeners’) to segment familiarized words from continuous Dutch speech. We used the known effect of repetition on the event-related potential (ERP) as an index of recognition of words in continuous speech. Our results show that word repetitions in isolation are recognized with equivalent facility by native and foreign listeners, but word repetitions in continuous speech are not. First, words familiarized in isolation are recognized faster by native than by foreign listeners when they are repeated in continuous speech. Second, when words that have previously been heard only in a continuous-speech context re-occur in continuous speech, the repetition is detected by native listeners, but is not detected by foreign listeners. A preceding speech context facilitates word recognition for native listeners, but delays or even inhibits word recognition for foreign listeners. We propose that the apparent difference in segmentation rate between native and foreign listeners is grounded in the difference in language-specific skills available to the listeners.
  • Snowdon, C. T., & Cronin, K. A. (2007). Cooperative breeders do cooperate. Behavioural Processes, 76, 138-141. doi:10.1016/j.beproc.2007.01.016.

    Abstract

    Bergmuller et al. (2007) make an important contribution to studies of cooperative breeding and provide a theoretical basis for linking the evolution of cooperative breeding with cooperative behavior.We have long been involved in empirical research on the only family of nonhuman primates to exhibit cooperative breeding, the Callitrichidae, which includes marmosets and tamarins, with studies in both field and captive contexts. In this paper we expand on three themes from Bergm¨uller et al. (2007) with empirical data. First we provide data in support of the importance of helpers and the specific benefits that helpers can gain in terms of fitness. Second, we suggest that mechanisms of rewarding helpers are more common and more effective in maintaining cooperative breeding than punishments. Third, we present a summary of our own research on cooperative behavior in cotton-top tamarins (Saguinus oedipus) where we find greater success in cooperative problem solving than has been reported for non-cooperatively breeding species.
  • Sollis, E., Graham, S. A., Vino, A., Froehlich, H., Vreeburg, M., Dimitropoulou, D., Gilissen, C., Pfundt, R., Rappold, G., Brunner, H. G., Deriziotis, P., & Fisher, S. E. (2016). Identification and functional characterization of de novo FOXP1 variants provides novel insights into the etiology of neurodevelopmental disorder. Human Molecular Genetics, 25(3), 546-557. doi:10.1093/hmg/ddv495.

    Abstract

    De novo disruptions of the neural transcription factor FOXP1 are a recently discovered, rare cause of sporadic intellectual disability (ID). We report three new cases of FOXP1-related disorder identified through clinical whole-exome sequencing. Detailed phenotypic assessment confirmed that global developmental delay, autistic features, speech/language deficits, hypotonia and mild dysmorphic features are core features of the disorder. We expand the phenotypic spectrum to include sensory integration disorder and hypertelorism. Notably, the etiological variants in these cases include two missense variants within the DNA-binding domain of FOXP1. Only one such variant has been reported previously. The third patient carries a stop-gain variant. We performed functional characterization of the three missense variants alongside our stop-gain and two previously described truncating/frameshift variants. All variants severely disrupted multiple aspects of protein function. Strikingly, the missense variants had similarly severe effects on protein function as the truncating/frameshift variants. Our findings indicate that a loss of transcriptional repression activity of FOXP1 underlies the neurodevelopmental phenotype in FOXP1-related disorder. Interestingly, the three novel variants retained the ability to interact with wild-type FOXP1, suggesting these variants could exert a dominant-negative effect by interfering with the normal FOXP1 protein. These variants also retained the ability to interact with FOXP2, a paralogous transcription factor disrupted in rare cases of speech and language disorder. Thus, speech/language deficits in these individuals might be worsened through deleterious effects on FOXP2 function. Our findings highlight that de novo FOXP1 variants are a cause of sporadic ID and emphasize the importance of this transcription factor in neurodevelopment.

    Additional information

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  • Speed, L., Chen, J., Huettig, F., & Majid, A. (2016). Do classifier categories affect or reflect object concepts? In A. Papafragou, D. Grodner, D. Mirman, & J. Trueswell (Eds.), Proceedings of the 38th Annual Meeting of the Cognitive Science Society (CogSci 2016) (pp. 2267-2272). Austin, TX: Cognitive Science Society.

    Abstract

    We conceptualize objects based on sensory and motor information gleaned from real-world experience. But to what extent is such conceptual information structured according to higher level linguistic features too? Here we investigate whether classifiers, a grammatical category, shape the conceptual representations of objects. In three experiments native Mandarin speakers (speakers of a classifier language) and native Dutch speakers (speakers of a language without classifiers) judged the similarity of a target object (presented as a word or picture) with four objects (presented as words or pictures). One object shared a classifier with the target, the other objects did not, serving as distractors. Across all experiments, participants judged the target object as more similar to the object with the shared classifier than distractor objects. This effect was seen in both Dutch and Mandarin speakers, and there was no difference between the two languages. Thus, even speakers of a non-classifier language are sensitive to object similarities underlying classifier systems, and using a classifier system does not exaggerate these similarities. This suggests that classifier systems simply reflect, rather than affect, conceptual structure.
  • Speed, L., & Majid, A. (2016). Grammatical gender affects odor cognition. In A. Papafragou, D. Grodner, D. Mirman, & J. Trueswell (Eds.), Proceedings of the 38th Annual Meeting of the Cognitive Science Society (CogSci 2016) (pp. 1451-1456). Austin, TX: Cognitive Science Society.

    Abstract

    Language interacts with olfaction in exceptional ways. Olfaction is believed to be weakly linked with language, as demonstrated by our poor odor naming ability, yet olfaction seems to be particularly susceptible to linguistic descriptions. We tested the boundaries of the influence of language on olfaction by focusing on a non-lexical aspect of language (grammatical gender). We manipulated the grammatical gender of fragrance descriptions to test whether the congruence with fragrance gender would affect the way fragrances were perceived and remembered. Native French and German speakers read descriptions of fragrances containing ingredients with feminine or masculine grammatical gender, and then smelled masculine or feminine fragrances and rated them on a number of dimensions (e.g., pleasantness). Participants then completed an odor recognition test. Fragrances were remembered better when presented with descriptions whose grammatical gender matched the gender of the fragrance. Overall, results suggest grammatical manipulations of odor descriptions can affect odor cognition
  • Spiteri, E., Konopka, G., Coppola, G., Bomar, J., Oldham, M., Ou, J., Vernes, S. C., Fisher, S. E., Ren, B., & Geschwind, D. (2007). Identification of the transcriptional targets of FOXP2, a gene linked to speech and language, in developing human brain. American Journal of Human Genetics, 81(6), 1144-1157. doi:10.1086/522237.

    Abstract

    Mutations in FOXP2, a member of the forkhead family of transcription factor genes, are the only known cause of developmental speech and language disorders in humans. To date, there are no known targets of human FOXP2 in the nervous system. The identification of FOXP2 targets in the developing human brain, therefore, provides a unique tool with which to explore the development of human language and speech. Here, we define FOXP2 targets in human basal ganglia (BG) and inferior frontal cortex (IFC) by use of chromatin immunoprecipitation followed by microarray analysis (ChIP-chip) and validate the functional regulation of targets in vitro. ChIP-chip identified 285 FOXP2 targets in fetal human brain; statistically significant overlap of targets in BG and IFC indicates a core set of 34 transcriptional targets of FOXP2. We identified targets specific to IFC or BG that were not observed in lung, suggesting important regional and tissue differences in FOXP2 activity. Many target genes are known to play critical roles in specific aspects of central nervous system patterning or development, such as neurite outgrowth, as well as plasticity. Subsets of the FOXP2 transcriptional targets are either under positive selection in humans or differentially expressed between human and chimpanzee brain. This is the first ChIP-chip study to use human brain tissue, making the FOXP2-target genes identified in these studies important to understanding the pathways regulating speech and language in the developing human brain. These data provide the first insight into the functional network of genes directly regulated by FOXP2 in human brain and by evolutionary comparisons, highlighting genes likely to be involved in the development of human higher-order cognitive processes.
  • Stagnitti, K., Bailey, A., Hudspeth Stevenson, E., Reynolds, E., & Kidd, E. (2016). An investigation into the effect of play-based instruction on the development of play skills and oral language. Journal of Early Childhood Research, 14(4), 389-406. doi:10.1177/1476718X15579741.

    Abstract

    The current study investigated the influence of a play-based curriculum on the development of pretend play skills and oral language in children attending their first year of formal schooling. In this quasi-experimental design, two groups of children were followed longitudinally across the first 6 months of their first year at school. The children in the experimental group were attending a school with a play-based curriculum; the children in the control group were attending schools following a traditional curriculum. A total of 54 children (Time 1 Mage = 5;6, range: 4;10–6;2 years) completed standardised measures of pretend play and narrative language skills upon school entry and again 6 months later. The results showed that the children in the play-based group significantly improved on all measures, whereas the children in the traditional group did not. A subset of the sample of children (N = 28, Time 1 Mage = 5;7, range: 5;2 – 6;1) also completed additional measures of vocabulary and grammar knowledge, and a test of non-verbal IQ. The results suggested that, in addition to improving play skills and narrative language ability, the play-based curriculum also had a positive influence on the acquisition of grammar.
  • Stevens, M. E. (2007). Perceptual adaptation to phonological differences between language varieties. PhD Thesis, University of Ghent, Ghent.
  • Stevens, M. A., McQueen, J. M., & Hartsuiker, R. J. (2007). No lexically-driven perceptual adjustments of the [x]-[h] boundary. In J. Trouvain, & W. J. Barry (Eds.), Proceedings of the 16th International Congress of Phonetic Sciences (ICPhS 2007) (pp. 1897-1900). Dudweiler: Pirrot.

    Abstract

    Listeners can make perceptual adjustments to phoneme categories in response to a talker who consistently produces a specific phoneme ambiguously. We investigate here whether this type of perceptual learning is also used to adapt to regional accent differences. Listeners were exposed to words produced by a Flemish talker whose realization of [x℄or [h℄ was ambiguous (producing [x℄like [h℄is a property of the West-Flanders regional accent). Before and after exposure they categorized a [x℄-[h℄continuum. For both Dutch and Flemish listeners there was no shift of the categorization boundary after exposure to ambiguous sounds in [x℄- or [h℄-biasing contexts. The absence of a lexically-driven learning effect for this contrast may be because [h℄is strongly influenced by coarticulation. As is not stable across contexts, it may be futile to adapt its representation when new realizations are heard
  • Stewart, A., Holler, J., & Kidd, E. (2007). Shallow processing of ambiguous pronouns: Evidence for delay. Quarterly Journal of Experimental Psychology, 60, 1680-1696. doi:10.1080/17470210601160807.
  • Stivers, T., & Majid, A. (2007). Questioning children: Interactional evidence of implicit bias in medical interviews. Social Psychology Quarterly, 70(4), 424-441.

    Abstract

    Social psychologists have shown experimentally that implicit race bias can influence an individual's behavior. Implicit bias has been suggested to be more subtle and less subject to cognitive control than more explicit forms of racial prejudice. Little is known about how implicit bias is manifest in naturally occurring social interaction. This study examines the factors associated with physicians selecting children rather than parents to answer questions in pediatric interviews about routine childhood illnesses. Analysis of the data using a Generalized Linear Latent and Mixed Model demonstrates a significant effect of parent race and education on whether physicians select children to answer questions. Black children and Latino children of low-education parents are less likely to be selected to answer questions than their same aged white peers irrespective of education. One way that implicit bias manifests itself in naturally occurring interaction may be through the process of speaker selection during questioning.
  • Stivers, T., Enfield, N. J., & Levinson, S. C. (2007). Person reference in interaction. In N. J. Enfield, & T. Stivers (Eds.), Person reference in interaction: Linguistic, cultural, and social perspectives (pp. 1-20). Cambridge: Cambridge University Press.
  • Stivers, T. (2007). Prescribing under pressure: Parent-physician conversations and antibiotics. Oxford: Oxford University Press.

    Abstract

    This book examines parent-physician conversations in detail, showing how parents put pressure on doctors in largely covert ways, for instance in specific communication practices for explaining why they have brought their child to the doctor or answering a history-taking question. This book also shows how physicians yield to this seemingly subtle pressure evidencing that apparently small differences in wording have important consequences for diagnosis and treatment recommendations. Following parents use of these interactional practices, physicians are more likely to make concessions, alter their diagnosis or alter their treatment recommendation. This book also shows how small changes in the way physicians present their findings and recommendations can decrease parent pressure for antibiotics. This book carefully documents the important and observable link between micro social interaction and macro public health domains.
  • Stivers, T. (2007). Alternative recognitionals in person reference. In N. Enfield, & T. Stivers (Eds.), Person reference in interaction: Linguistic, cultural, and social perspectives (pp. 73-96). Cambridge: Cambridge University Press.
  • Stock, N. M., Humphries, K., St Pourcain, B., Bailey, M., Persson, M., Ho, K. M., Ring, S., Marsh, C., Albery, L., Rumsey, N., & Sandy, J. (2016). Opportunities and Challenges in Establishing a Cohort Study: An Example From Cleft Lip/Palate Research in the United Kingdom. Cleft Palate-Craniofacial Journal, (3), 317-325. doi:10.1597/14-306.

    Abstract

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    Cleft Palate-Craniofacial Journal
    Volume 53, Issue 3, May 2016, Pages 317-325
    Opportunities and challenges in establishing a cohort study: An example from cleft lip/palate research in the United Kingdom (Article)
    Stock, N.M.a ,
    Humphries, K.b,
    St. Pourcain, B.b,
    Bailey, M.b,
    Persson, M.a,
    Ho, K.M.b,
    Ring, S.b,
    Marsh, C.c,
    Albery, L.c,
    Rumsey, N.a,
    Sandy, J.b


    a Centre for Appearance Research, University of the West of England, Coldharbour Lane, Bristol, United Kingdom
    b Faculty of Medicine and Dentistry, University of Bristol, United Kingdom
    c South West Cleft Service, University Hospitals Bristol NHS Foundation Trust, United Kingdom
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    Abstract

    Background: Cleft lip and/or palate (CL/P) is one of the most common birth conditions in the world, but little is known about its causes. Professional opinion remains divided as to which treatments may be the most beneficial for patients with CL/P, and the factors that contribute to psychological adjustment are poorly understood. The use of different methodological approaches and tools plays a key role in hampering efforts to address discrepancies within the evidence base. A new UK-wide program of research, The Cleft Collective, was established to combat many of these methodological challenges and to address some of the key research questions important to all CL/P stakeholders. Objective: To describe the establishment of CL/P cohort studies in the United Kingdom and to consider the many opportunities this resource will generate. Results: To date, protocols have been developed and implemented within most UK cleft teams. Biological samples, environmental information, and data pertaining to parental psychological well-being and child development are being collected successfully. Recruitment is currently on track to meet the ambitious target of approximately 9800 individuals from just more than 3000 families. Conclusions: The Cleft Collective cohort studies represent a significant step forward for research in the field of CL/P. The data collected will form a comprehensive resource of information about individuals with CL/P and their families. This resource will provide the basis for many future projects and collaborations, both in the United Kingdom and around the world.
  • Sumer, B., & Ozyurek, A. (2016). İşitme Engelli Çocukların Dil Edinimi [Sign language acquisition by deaf children]. In C. Aydin, T. Goksun, A. Kuntay, & D. Tahiroglu (Eds.), Aklın Çocuk Hali: Zihin Gelişimi Araştırmaları [Research on Cognitive Development] (pp. 365-388). Istanbul: Koc University Press.
  • Sumer, B. (2016). Scene-setting and reference introduction in sign and spoken languages: What does modality tell us? In B. Haznedar, & F. N. Ketrez (Eds.), The acquisition of Turkish in childhood (pp. 193-220). Amsterdam: Benjamins.

    Abstract

    Previous studies show that children do not become adult-like in learning to set the scene and introduce referents in their narrations until 9 years of age and even beyond. However, they investigated spoken languages, thus we do not know much about how these skills are acquired in sign languages, where events are expressed in visually similar ways to the real world events, unlike in spoken languages. The results of the current study demonstrate that deaf children (3;5–9;10 years) acquiring Turkish Sign Language, and hearing children (3;8–9;11 years) acquiring spoken Turkish both acquire scene-setting and referent introduction skills at similar ages. Thus the modality of the language being acquired does not have facilitating or hindering effects in the development of these skills.
  • Sumer, B., Zwitserlood, I., Perniss, P., & Ozyurek, A. (2016). Yer Bildiren İfadelerin Türkçe ve Türk İşaret Dili’nde (TİD) Çocuklar Tarafından Edinimi [The acqusition of spatial relations by children in Turkish and Turkish Sign Language (TID)]. In E. Arik (Ed.), Ellerle Konuşmak: Türk İşaret Dili Araştırmaları [Speaking with hands: Studies on Turkish Sign Language] (pp. 157-182). Istanbul: Koç University Press.
  • Sumer, B., Perniss, P. M., & Ozyurek, A. (2016). Viewpoint preferences in signing children's spatial descriptions. In J. Scott, & D. Waughtal (Eds.), Proceedings of the 40th Annual Boston University Conference on Language Development (BUCLD 40) (pp. 360-374). Boston, MA: Cascadilla Press.
  • Swingley, D., & Aslin, R. N. (2007). Lexical competition in young children's word learning. Cognitive Psychology, 54(2), 99-132.

    Abstract

    In two experiments, 1.5-year-olds were taught novel words whose sound patterns were phonologically similar to familiar words (novel neighbors) or were not (novel nonneighbors). Learning was tested using a picture-fixation task. In both experiments, children learned the novel nonneighbors but not the novel neighbors. In addition, exposure to the novel neighbors impaired recognition performance on familiar neighbors. Finally, children did not spontaneously use phonological differences to infer that a novel word referred to a novel object. Thus, lexical competition—inhibitory interaction among words in speech comprehension—can prevent children from using their full phonological sensitivity in judging words as novel. These results suggest that word learning in young children, as in adults, relies not only on the discrimination and identification of phonetic categories, but also on evaluating the likelihood that an utterance conveys a new word.
  • Swingley, D. (2007). Lexical exposure and word-from encoding in 1.5-year-olds. Developmental Psychology, 43(2), 454-464. doi:10.1037/0012-1649.43.2.454.

    Abstract

    In this study, 1.5-year-olds were taught a novel word. Some children were familiarized with the word's phonological form before learning the word's meaning. Fidelity of phonological encoding was tested in a picture-fixation task using correctly pronounced and mispronounced stimuli. Only children with additional exposure in familiarization showed reduced recognition performance given slight mispronunciations relative to correct pronunciations; children with fewer exposures did not. Mathematical modeling of vocabulary exposure indicated that children may hear thousands of words frequently enough for accurate encoding. The results provide evidence compatible with partial failure of phonological encoding at 19 months of age, demonstrate that this limitation in learning does not always hinder word recognition, and show the value of infants' word-form encoding in early lexical development.
  • Takashima, A., Hulzink, I., Wagensveld, B., & Verhoeven, L. (2016). Emergence of representations through repeated training on pronouncing novel letter combinations leads to efficient reading. Neuropsychologia, 89, 14-30. doi:10.1016/j.neuropsychologia.2016.05.014.

    Abstract

    Printed text can be decoded by utilizing different processing routes depending on the familiarity of the script. A predominant use of word-level decoding strategies can be expected in the case of a familiar script, and an almost exclusive use of letter-level decoding strategies for unfamiliar scripts. Behavioural studies have revealed that frequently occurring words are read more efficiently, suggesting that these words are read in a more holistic way at the word-level, than infrequent and unfamiliar words. To test whether repeated exposure to specific letter combinations leads to holistic reading, we monitored both behavioural and neural responses during novel script decoding and examined changes related to repeated exposure. We trained a group of Dutch university students to decode pseudowords written in an unfamiliar script, i.e., Korean Hangul characters. We compared behavioural and neural responses to pronouncing trained versus untrained two-character pseudowords (equivalent to two-syllable pseudowords). We tested once shortly after the initial training and again after a four days' delay that included another training session. We found that trained pseudowords were pronounced faster and more accurately than novel combinations of radicals (equivalent to letters). Imaging data revealed that pronunciation of trained pseudowords engaged the posterior temporo-parietal region, and engagement of this network was predictive of reading efficiency a month later. The results imply that repeated exposure to specific combinations of graphemes can lead to emergence of holistic representations that result in efficient reading. Furthermore, inter-individual differences revealed that good learners retained efficiency more than bad learners one month later

    Additional information

    mmc1.docx
  • Takashima, A., Nieuwenhuis, I. L. C., Rijpkema, M., Petersson, K. M., Jensen, O., & Fernández, G. (2007). Memory trace stabilization leads to large-scale changes in the retrieval network: A functional MRI study on associative memory. Learning & Memory, 14, 472-479. doi:10.1101/lm.605607.

    Abstract

    Spaced learning with time to consolidate leads to more stabile memory traces. However, little is known about the neural correlates of trace stabilization, especially in humans. The present fMRI study contrasted retrieval activity of two well-learned sets of face-location associations, one learned in a massed style and tested on the day of learning (i.e., labile condition) and another learned in a spaced scheme over the course of one week (i.e., stabilized condition). Both sets of associations were retrieved equally well, but the retrieval of stabilized association was faster and accompanied by large-scale changes in the network supporting retrieval. Cued recall of stabilized as compared with labile associations was accompanied by increased activity in the precuneus, the ventromedial prefrontal cortex, the bilateral temporal pole, and left temporo–parietal junction. Conversely, memory representational areas such as the fusiform gyrus for faces and the posterior parietal cortex for locations did not change their activity with stabilization. The changes in activation in the precuneus, which also showed increased connectivity with the fusiform area, are likely to be related to the spatial nature of our task. The activation increase in the ventromedial prefrontal cortex, on the other hand, might reflect a general function in stabilized memory retrieval. This area might succeed the hippocampus in linking distributed neocortical representations.
  • Takashima, A., Van de Ven, F., Kroes, M. C. W., & Fernández, G. (2016). Retrieved emotional context influences hippocampal involvement during recognition of neutral memories. NeuroImage, 143, 280-292. doi:10.1016/j.neuroimage.2016.08.069.

    Abstract

    It is well documented that emotionally arousing experiences are better remembered than mundane events. This is thought to occur through hippocampus-amygdala crosstalk during encoding, consolidation, and retrieval. Here we investigated whether emotional events (context) also cause a memory benefit for simultaneously encoded non-arousing contents and whether this effect persists after a delay via recruitment of a similar hippocampus-amygdala network. Participants studied neutral pictures (content) encoded together with either an arousing or a neutral sound (that served as context) in two study sessions three days apart. Memory was tested in a functional magnetic resonance scanner directly after the second study session. Pictures recognised with high confidence were more often thought to have been associated with an arousing than with a neutral context, irrespective of the veridical source memory. If the retrieved context was arousing, an area in the hippocampus adjacent to the amygdala exhibited heightened activation and this area increased functional connectivity with the parahippocampal gyrus, an area known to process pictures of scenes. These findings suggest that memories can be shaped by the retrieval act. Memory structures may be recruited to a higher degree when an arousing context is retrieved, and this may give rise to confident judgments of recognition for neutral pictures even after a delay
  • Ten Bosch, L., Boves, L., & Ernestus, M. (2016). Combining data-oriented and process-oriented approaches to modeling reaction time data. In Proceedings of Interspeech 2016: The 17th Annual Conference of the International Speech Communication Association (pp. 2801-2805). doi:10.21437/Interspeech.2016-1072.

    Abstract

    This paper combines two different approaches to modeling reaction time data from lexical decision experiments, viz. a dataoriented statistical analysis by means of a linear mixed effects model, and a process-oriented computational model of human speech comprehension. The linear mixed effect model is implemented by lmer in R. As computational model we apply DIANA, an end-to-end computational model which aims at modeling the cognitive processes underlying speech comprehension. DIANA takes as input the speech signal, and provides as output the orthographic transcription of the stimulus, a word/non-word judgment and the associated reaction time. Previous studies have shown that DIANA shows good results for large-scale lexical decision experiments in Dutch and North-American English. We investigate whether predictors that appear significant in an lmer analysis and processes implemented in DIANA can be related and inform both approaches. Predictors such as ‘previous reaction time’ can be related to a process description; other predictors, such as ‘lexical neighborhood’ are hard-coded in lmer and emergent in DIANA. The analysis focuses on the interaction between subject variables and task variables in lmer, and the ways in which these interactions can be implemented in DIANA.
  • Ten Oever, S., Hausfeld, L., Correia, J. M., Van Atteveldt, N., Formisano, E., & Sack, A. T. (2016). A 7T fMRI study investigating the influence of oscillatory phase on syllable representations. NeuroImage, 141, 1-9. doi:10.1016/j.neuroimage.2016.07.011.

    Abstract

    Stimulus categorization is influenced by oscillations in the brain. For example, we have shown that ongoing oscillatory phase biases identification of an ambiguous syllable that can either be perceived as /da/ or /ga/. This suggests that phase is a cue for the brain to determine syllable identity and this cue could be an element of the representation of these syllables. If so, brain activation patterns for /da/ should be more unique when the syllable is presented at the /da/ biasing (i.e. its "preferred") phase. To test this hypothesis we presented non-ambiguous /da/ and /ga/ syllables at either their preferred or non-preferred phase ( using sensory entrainment) while measuring 7T fMRI. Using multivariate pattern analysis in auditory regions we show that syllable decoding performance is higher when syllables are presented at their preferred compared to their non-preferred phase. These results suggest that phase information increases the distinctiveness of /da/ and /ga/ brain activation patterns. (C) 2016 Elsevier Inc. All rights reserved.
  • Ten Oever, S. (2016). How neuronal oscillations code for temporal statistics. PhD Thesis, Maastricht University, Maastricht, The Netherlands.
  • Ten Bosch, L., Giezenaar, G., Boves, L., & Ernestus, M. (2016). Modeling language-learners' errors in understanding casual speech. In G. Adda, V. Barbu Mititelu, J. Mariani, D. Tufiş, & I. Vasilescu (Eds.), Errors by humans and machines in multimedia, multimodal, multilingual data processing. Proceedings of Errare 2015 (pp. 107-121). Bucharest: Editura Academiei Române.

    Abstract

    In spontaneous conversations, words are often produced in reduced form compared to formal careful speech. In English, for instance, ’probably’ may be pronounced as ’poly’ and ’police’ as ’plice’. Reduced forms are very common, and native listeners usually do not have any problems with interpreting these reduced forms in context. Non-native listeners, however, have great difficulties in comprehending reduced forms. In order to investigate the problems in comprehension that non-native listeners experience, a dictation experiment was conducted in which sentences were presented auditorily to non-natives either in full (unreduced) or reduced form. The types of errors made by the L2 listeners reveal aspects of the cognitive processes underlying this dictation task. In addition, we compare the errors made by these human participants with the type of word errors made by DIANA, a recently developed computational model of word comprehension.
  • Ten Oever, S., Romei, V., van Atteveldt, N., Soto-Faraco, S., Murray, M. M., & Matusz, P. J. (2016). The COGs (context, object, and goals) in multisensory processing. Experimental Brain Research, 234(5), 1307-1323. doi:10.1007/s00221-016-4590-z.

    Abstract

    Our understanding of how perception operates in real-world environments has been substantially advanced by studying both multisensory processes and "top-down" control processes influencing sensory processing via activity from higher-order brain areas, such as attention, memory, and expectations. As the two topics have been traditionally studied separately, the mechanisms orchestrating real-world multisensory processing remain unclear. Past work has revealed that the observer's goals gate the influence of many multisensory processes on brain and behavioural responses, whereas some other multisensory processes might occur independently of these goals. Consequently, other forms of top-down control beyond goal dependence are necessary to explain the full range of multisensory effects currently reported at the brain and the cognitive level. These forms of control include sensitivity to stimulus context as well as the detection of matches (or lack thereof) between a multisensory stimulus and categorical attributes of naturalistic objects (e.g. tools, animals). In this review we discuss and integrate the existing findings that demonstrate the importance of such goal-, object- and context-based top-down control over multisensory processing. We then put forward a few principles emerging from this literature review with respect to the mechanisms underlying multisensory processing and discuss their possible broader implications.
  • Ten Oever, S., De Graaf, T. A., Bonnemayer, C., Ronner, J., Sack, A. T., & Riecke, L. (2016). Stimulus presentation at specific neuronal oscillatory phases experimentally controlled with tACS: Implementation and applications. Frontiers in Cellular Neuroscience, 10: 240. doi:10.3389/fncel.2016.00240.

    Abstract

    In recent years, it has become increasingly clear that both the power and phase of oscillatory brain activity can influence the processing and perception of sensory stimuli. Transcranial alternating current stimulation (tACS) can phase-align and amplify endogenous brain oscillations and has often been used to control and thereby study oscillatory power. Causal investigation of oscillatory phase is more difficult, as it requires precise real-time temporal control over both oscillatory phase and sensory stimulation. Here, we present hardware and software solutions allowing temporally precise presentation of sensory stimuli during tACS at desired tACS phases, enabling causal investigations of oscillatory phase. We developed freely available and easy to use software, which can be coupled with standard commercially available hardware to allow flexible and multi-modal stimulus presentation (visual, auditory, magnetic stimuli, etc.) at pre-determined tACS-phases, opening up a range of new research opportunities. We validate that stimulus presentation at tACS phase in our setup is accurate to the sub-millisecond level with high inter-trial consistency. Conventional methods investigating the role of oscillatory phase such as magneto-/electroencephalography can only provide correlational evidence. Using brain stimulation with the described methodology enables investigations of the causal role of oscillatory phase. This setup turns oscillatory phase into an independent variable, allowing innovative, and systematic studies of its functional impact on perception and cognition.
  • Tendolkar, I., Arnold, J., Petersson, K. M., Weis, S., Brockhaus-Dumke, A., Van Eijndhoven, P., Buitelaar, J., & Fernández, G. (2007). Probing the neural correlates of associative memory formation: A parametrically analyzed event-related functional MRI study. Brain Research, 1142, 159-168. doi:10.1016/j.brainres.2007.01.040.

    Abstract

    The medial temporal lobe (MTL) is crucial for declarative memory formation, but the function of its subcomponents in associative memory formation remains controversial. Most functional imaging studies on this topic are based on a stepwise approach comparing a condition with and one without associative encoding. Extending this approach we applied additionally a parametric analysis by varying the amount of associative memory formation. We found a hippocampal subsequent memory effect of almost similar magnitude regardless of the amount of associations formed. By contrast, subsequent memory effects in rhinal and parahippocampal cortices were parametrically and positively modulated by the amount of associations formed. Our results indicate that the parahippocampal region supports associative memory formation as tested here and the hippocampus adds a general mnemonic operation. This pattern of results might suggest a new interpretation. Instead of having either a fixed division of labor between the hippocampus (associative memory formation) and the rhinal cortex (non-associative memory formation) or a functionally unitary MTL system, in which all substructures are contributing to memory formation in a similar way, we propose that the location where associations are formed within the MTL depends on the kind of associations bound: If visual single-dimension associations, as used here, can already be integrated within the parahippocampal region, the hippocampus might add a general purpose mnemonic operation only. In contrast, if associations have to be formed across widely distributed neocortical representations, the hippocampus may provide a binding operation in order to establish a coherent memory.
  • Terrill, A. (2007). [Review of ‘Andrew Pawley, Robert Attenborough, Jack Golson, and Robin Hide, eds. 2005. Papuan pasts: Cultural, linguistic and biological histories of Papuan-speaking people]. Oceanic Linguistics, 46(1), 313-321. doi:10.1353/ol.2007.0025.
  • Thalmeier, D., Uhlmann, M., Kappen, H. J., & Memmeshiemer, R.-M. (2016). Learning Universal Computations with Spikes. PLoS Computational Biology, 12(6): e1004895. doi:10.1371/journal.pcbi.1004895.

    Abstract

    Providing the neurobiological basis of information processing in higher animals, spiking neural networks must be able to learn a variety of complicated computations, including the generation of appropriate, possibly delayed reactions to inputs and the self-sustained generation of complex activity patterns, e.g. for locomotion. Many such computations require previous building of intrinsic world models. Here we show how spiking neural networks may solve these different tasks. Firstly, we derive constraints under which classes of spiking neural networks lend themselves to substrates of powerful general purpose computing. The networks contain dendritic or synaptic nonlinearities and have a constrained connectivity. We then combine such networks with learning rules for outputs or recurrent connections. We show that this allows to learn even difficult benchmark tasks such as the self-sustained generation of desired low-dimensional chaotic dynamics or memory-dependent computations. Furthermore, we show how spiking networks can build models of external world systems and use the acquired knowledge to control them.
  • Tilot, A. K., Bebek, G., Niazi, F., Altemus, J., Romigh, T., Frazier, T., & Eng, C. (2016). Neural transcriptome of constitutional Pten dysfunction in mice and its relevance to human idiopathic autism spectrum disorder. Molecular Psychiatry, 21, 118-125. doi:10.1038/mp.2015.17.

    Abstract

    Autism spectrum disorder (ASD) is a neurodevelopmental condition with a clear, but heterogeneous, genetic component. Germline mutations in the tumor suppressor Pten are a well-established risk factor for ASD with macrocephaly, and conditional Pten mouse models have impaired social behavior and brain development. Some mutations observed in patients disrupt the normally balanced nuclear-cytoplasmic localization of the Pten protein, and we developed the Ptenm3m4 model to study the effects of a cytoplasm-predominant Pten. In this model, germline mislocalization of Pten causes inappropriate social behavior with intact learning and memory, a profile reminiscent of high-functioning ASD. These animals also exhibit histological evidence of neuroinflammation and expansion of glial populations by 6 weeks of age. We hypothesized that the neural transcriptome of this model would be altered in a manner that could inform human idiopathic ASD, a constitutional condition. Using total RNA sequencing, we found progressive disruption of neural gene expression in Ptenm3m4 mice from 2–6 weeks of age, involving both immune and synaptic pathways. These alterations include downregulation of many highly coexpressed human ASD-susceptibility genes. Comparison with a human cortical development coexpression network revealed that genes disrupted in Ptenm3m4 mice were enriched in the same areas as those of human ASD. Although Pten-related ASD is relatively uncommon, our observations suggest that the Ptenm3m4 model recapitulates multiple molecular features of human ASD, and that Pten operates far upstream of common pathways within ASD pathogenesis.
  • Tomasello, M., Carpenter, M., & Liszkowski, U. (2007). A new look at infant pointing. Child Development, 78, 705-722. doi:10.1111/j.1467-8624.2007.01025.x.

    Abstract

    The current article proposes a new theory of infant pointing involving multiple layers of intentionality and shared intentionality. In the context of this theory, evidence is presented for a rich interpretation of prelinguistic communication, that is, one that posits that when 12-month-old infants point for an adult they are in some sense trying to influence her mental states. Moreover, evidence is also presented for a deeply social view in which infant pointing is best understood—on many levels and in many ways—as depending on uniquely human skills and motivations for cooperation and shared intentionality (e.g., joint intentions and attention with others). Children's early linguistic skills are built on this already existing platform of prelinguistic communication.
  • Towle, V. L., Lee, R., Spire, J.-P., & Levelt, W. J. M. (2016). Letter to the editor. Journal of Child Neurology, 31, 804. doi:10.1177/0883073815609154.

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