Publications

Displaying 501 - 600 of 797
  • Narasimhan, B., Kopecka, A., Bowerman, M., Gullberg, M., & Majid, A. (2012). Putting and taking events: A crosslinguistic perspective. In A. Kopecka, & B. Narasimhan (Eds.), Events of putting and taking: A crosslinguistic perspective (pp. 1-18). Amsterdam: Benjamins.
  • Narasimhan, B. (2012). Putting and Taking in Tamil and Hindi. In A. Kopecka, & B. Narasimhan (Eds.), Events of putting and taking: A crosslinguistic perspective (pp. 201-230). Amsterdam: Benjamins.

    Abstract

    Many languages have general or “light” verbs used by speakers to describe a wide range of situations owing to their relatively schematic meanings, e.g., the English verb do that can be used to describe many different kinds of actions, or the verb put that labels a range of types of placement of objects at locations. Such semantically bleached verbs often become grammaticalized and used to encode an extended (set of) meaning(s), e.g., Tamil veyyii ‘put/place’ is used to encode causative meaning in periphrastic causatives (e.g., okkara veyyii ‘make sit’, nikka veyyii ‘make stand’). But do general verbs in different languages have the same kinds of (schematic) meanings and extensional ranges? Or do they reveal different, perhaps even cross-cutting, ways of structuring the same semantic domain in different languages? These questions require detailed crosslinguistic investigation using comparable methods of eliciting data. The present study is a first step in this direction, and focuses on the use of general verbs to describe events of placement and removal in two South Asian languages, Hindi and Tamil.
  • Neger, T. M. (2017). Learning from the (un)expected: Age and individual differences in statistical learning and perceptual learning in speech. PhD Thesis, Radboud University Nijmegen, Nijmegen. doi:10.17617/2.2482848.
  • Negwer, M., & Schubert, D. (2017). Talking convergence: Growing evidence links FOXP2 and retinoic acidin shaping speech-related motor circuitry. Frontiers in Neuroscience, 11: 19. doi:10.3389/fnins.2017.00019.

    Abstract

    A commentary on
    FOXP2 drives neuronal differentiation by interacting with retinoic acid signaling pathways

    by Devanna, P., Middelbeek, J., and Vernes, S. C. (2014). Front. Cell. Neurosci. 8:305. doi: 10.3389/fncel.2014.00305
  • Niccolai, V., Klepp, A., Indefrey, P., Schnitzler, A., & Biermann-Ruben, K. (2017). Semantic discrimination impacts tDCS modulation of verb processing. Scientific Reports, 7: 17162. doi:10.1038/s41598-017-17326-w.

    Abstract

    Motor cortex activation observed during body-related verb processing hints at simulation accompanying linguistic understanding. By exploiting the up- and down-regulation that anodal and cathodal transcranial direct current stimulation (tDCS) exert on motor cortical excitability, we aimed at further characterizing the functional contribution of the motor system to linguistic processing. In a double-blind sham-controlled within-subjects design, online stimulation was applied to the left hemispheric hand-related motor cortex of 20 healthy subjects. A dual, double-dissociation task required participants to semantically discriminate concrete (hand/foot) from abstract verb primes as well as to respond with the hand or with the foot to verb-unrelated geometric targets. Analyses were conducted with linear mixed models. Semantic priming was confirmed by faster and more accurate reactions when the response effector was congruent with the verb’s body part. Cathodal stimulation induced faster responses for hand verb primes thus indicating a somatotopical distribution of cortical activation as induced by body-related verbs. Importantly, this effect depended on performance in semantic discrimination. The current results point to verb processing being selectively modifiable by neuromodulation and at the same time to a dependence of tDCS effects on enhanced simulation. We discuss putative mechanisms operating in this reciprocal dependence of neuromodulation and motor resonance.

    Additional information

    41598_2017_17326_MOESM1_ESM.pdf
  • Nieuwland, M. S., Martin, A. E., & Carreiras, M. (2012). Brain regions that process case: Evidence from basque. Human Brain Mapping, 33(11), 2509-2520. doi:10.1002/hbm.21377.

    Abstract

    The aim of this event-related fMRI study was to investigate the cortical networks involved in case processing, an operation that is crucial to language comprehension yet whose neural underpinnings are not well-understood. What is the relationship of these networks to those that serve other aspects of syntactic and semantic processing? Participants read Basque sentences that contained case violations, number agreement violations or semantic anomalies, or that were both syntactically and semantically correct. Case violations elicited activity increases, compared to correct control sentences, in a set of parietal regions including the posterior cingulate, the precuneus, and the left and right inferior parietal lobules. Number agreement violations also elicited activity increases in left and right inferior parietal regions, and additional activations in the left and right middle frontal gyrus. Regions-of-interest analyses showed that almost all of the clusters that were responsive to case or number agreement violations did not differentiate between these two. In contrast, the left and right anterior inferior frontal gyrus and the dorsomedial prefrontal cortex were only sensitive to semantic violations. Our results suggest that whereas syntactic and semantic anomalies clearly recruit distinct neural circuits, case, and number violations recruit largely overlapping neural circuits and that the distinction between the two rests on the relative contributions of parietal and prefrontal regions, respectively. Furthermore, our results are consistent with recently reported contributions of bilateral parietal and dorsolateral brain regions to syntactic processing, pointing towards potential extensions of current neurocognitive theories of language. Hum Brain Mapp, 2012. © 2011 Wiley Periodicals, Inc.
  • Nieuwland, M. S. (2012). Establishing propositional truth-value in counterfactual and real-world contexts during sentence comprehension: Differential sensitivity of the left and right inferior frontal gyri. NeuroImage, 59(4), 3433-3440. doi:10.1016/j.neuroimage.2011.11.018.

    Abstract

    What makes a proposition true or false has traditionally played an essential role in philosophical and linguistic theories of meaning. A comprehensive neurobiological theory of language must ultimately be able to explain the combined contributions of real-world truth-value and discourse context to sentence meaning. This fMRI study investigated the neural circuits that are sensitive to the propositional truth-value of sentences about counterfactual worlds, aiming to reveal differential hemispheric sensitivity of the inferior prefrontal gyri to counterfactual truth-value and real-world truth-value. Participants read true or false counterfactual conditional sentences (“If N.A.S.A. had not developed its Apollo Project, the first country to land on the moon would be Russia/America”) and real-world sentences (“Because N.A.S.A. developed its Apollo Project, the first country to land on the moon has been America/Russia”) that were matched on contextual constraint and truth-value. ROI analyses showed that whereas the left BA 47 showed similar activity increases to counterfactual false sentences and to real-world false sentences (compared to true sentences), the right BA 47 showed a larger increase for counterfactual false sentences. Moreover, whole-brain analyses revealed a distributed neural circuit for dealing with propositional truth-value. These results constitute the first evidence for hemispheric differences in processing counterfactual truth-value and real-world truth-value, and point toward additional right hemisphere involvement in counterfactual comprehension.
  • Nieuwland, M. S., & Martin, A. E. (2012). If the real world were irrelevant, so to speak: The role of propositional truth-value in counterfactual sentence comprehension. Cognition, 122(1), 102-109. doi:10.1016/j.cognition.2011.09.001.

    Abstract

    Propositional truth-value can be a defining feature of a sentence’s relevance to the unfolding discourse, and establishing propositional truth-value in context can be key to successful interpretation. In the current study, we investigate its role in the comprehension of counterfactual conditionals, which describe imaginary consequences of hypothetical events, and are thought to require keeping in mind both what is true and what is false. Pre-stored real-world knowledge may therefore intrude upon and delay counterfactual comprehension, which is predicted by some accounts of discourse comprehension, and has been observed during online comprehension. The impact of propositional truth-value may thus be delayed in counterfactual conditionals, as also claimed for sentences containing other types of logical operators (e.g., negation, scalar quantifiers). In an event-related potential (ERP) experiment, we investigated the impact of propositional truth-value when described consequences are both true and predictable given the counterfactual premise. False words elicited larger N400 ERPs than true words, in negated counterfactual sentences (e.g., “If N.A.S.A. had not developed its Apollo Project, the first country to land on the moon would have been Russia/America”) and real-world sentences (e.g., “Because N.A.S.A. developed its Apollo Project, the first country to land on the moon was America/Russia”) alike. These indistinguishable N400 effects of propositional truth-value, elicited by opposite word pairs, argue against disruptions by real-world knowledge during counterfactual comprehension, and suggest that incoming words are mapped onto the counterfactual context without any delay. Thus, provided a sufficiently constraining context, propositional truth-value rapidly impacts ongoing semantic processing, be the proposition factual or counterfactual.
  • Nieuwland, M. S., & Martin, A. E. (2017). Neural oscillations and a nascent corticohippocampal theory of reference. Journal of Cognitive Neuroscience, 29(5), 896-910. doi:10.1162/jocn_a_01091.

    Abstract

    The ability to use words to refer to the world is vital to the communicative power of human language. In particular, the anaphoric use of words to refer to previously mentioned concepts (antecedents) allows dialogue to be coherent and meaningful. Psycholinguistic theory posits that anaphor comprehension involves reactivating a memory representation of the antecedent. Whereas this implies the involvement of recognition memory, or the mnemonic sub-routines by which people distinguish old from new, the neural processes for reference resolution are largely unknown. Here, we report time-frequency analysis of four EEG experiments to reveal the increased coupling of functional neural systems associated with referentially coherent expressions compared to referentially problematic expressions. Despite varying in modality, language, and type of referential expression, all experiments showed larger gamma-band power for referentially coherent expressions compared to referentially problematic expressions. Beamformer analysis in high-density Experiment 4 localised the gamma-band increase to posterior parietal cortex around 400-600 ms after anaphor-onset and to frontaltemporal cortex around 500-1000 ms. We argue that the observed gamma-band power increases reflect successful referential binding and resolution, which links incoming information to antecedents through an interaction between the brain’s recognition memory networks and frontal-temporal language network. We integrate these findings with previous results from patient and neuroimaging studies, and we outline a nascent cortico-hippocampal theory of reference.
  • Nivard, M. G., Gage, S. H., Hottenga, J. J., van Beijsterveldt, C. E. M., Abdellaoui, A., Bartels, M., Baselmans, B. M. L., Ligthart, L., St Pourcain, B., Boomsma, D. I., Munafò, M. R., & Middeldorp, C. M. (2017). Genetic overlap between schizophrenia and developmental psychopathology: Longitudinal and multivariate polygenic risk prediction of common psychiatric traits during development. Schizophrenia Bulletin, 43(6), 1197-1207. doi:10.1093/schbul/sbx031.

    Abstract

    Background: Several nonpsychotic psychiatric disorders in childhood and adolescence can precede the onset of schizophrenia, but the etiology of this relationship remains unclear. We investigated to what extent the association between schizophrenia and psychiatric disorders in childhood is explained by correlated genetic risk factors. Methods: Polygenic risk scores (PRS), reflecting an individual’s genetic risk for schizophrenia, were constructed for 2588 children from the Netherlands Twin Register (NTR) and 6127 from the Avon Longitudinal Study of Parents And Children (ALSPAC). The associations between schizophrenia PRS and measures of anxiety, depression, attention deficit hyperactivity disorder (ADHD), and oppositional defiant disorder/conduct disorder (ODD/CD) were estimated at age 7, 10, 12/13, and 15 years in the 2 cohorts. Results were then meta-analyzed, and a meta-regression analysis was performed to test differences in effects sizes over, age and disorders. Results: Schizophrenia PRS were associated with childhood and adolescent psychopathology. Meta-regression analysis showed differences in the associations over disorders, with the strongest association with childhood and adolescent depression and a weaker association for ODD/CD at age 7. The associations increased with age and this increase was steepest for ADHD and ODD/CD. Genetic correlations varied between 0.10 and 0.25. Conclusion: By optimally using longitudinal data across diagnoses in a multivariate meta-analysis this study sheds light on the development of childhood disorders into severe adult psychiatric disorders. The results are consistent with a common genetic etiology of schizophrenia and developmental psychopathology as well as with a stronger shared genetic etiology between schizophrenia and adolescent onset psychopathology.
  • Nivard, M. G., Lubke, G. H., Dolan, C. V., Evans, D. M., St Pourcain, B., Munafo, M. R., & Middeldorp, C. M. (2017). Joint developmental trajectories of internalizing and externalizing disorders between childhood and adolescence. Development and Psychopathology, 29(3), 919-928. doi:10.1017/S0954579416000572.

    Abstract

    This study sought to identify trajectories of DSM-IV based internalizing (INT) and externalizing (EXT) problem scores across childhood and adolescence and to provide insight into the comorbidity by modeling the co-occurrence of INT and EXT trajectories. INT and EXT were measured repeatedly between age 7 and age 15 years in over 7,000 children and analyzed using growth mixture models. Five trajectories were identified for both INT and EXT, including very low, low, decreasing, and increasing trajectories. In addition, an adolescent onset trajectory was identified for INT and a stable high trajectory was identified for EXT. Multinomial regression showed that similar EXT and INT trajectories were associated. However, the adolescent onset INT trajectory was independent of high EXT trajectories, and persisting EXT was mainly associated with decreasing INT. Sex and early life environmental risk factors predicted EXT and, to a lesser extent, INT trajectories. The association between trajectories indicates the need to consider comorbidity when a child presents with INT or EXT disorders, particularly when symptoms start early. This is less necessary when INT symptoms start at adolescence. Future studies should investigate the etiology of co-occurring INT and EXT and the specific treatment needs of these severely affected children.
  • Noordenbos, M., Segers, E., Serniclaes, W., Mitterer, H., & Verhoeven, L. (2012). Allophonic mode of speech perception in Dutch children at risk for dyslexia: A longitudinal study. Research in developmental disabilities, 33, 1469-1483. doi:10.1016/j.ridd.2012.03.021.

    Abstract

    There is ample evidence that individuals with dyslexia have a phonological deficit. A growing body of research also suggests that individuals with dyslexia have problems with categorical perception, as evidenced by weaker discrimination of between-category differences and better discrimination of within-category differences compared to average readers. Whether the categorical perception problems of individuals with dyslexia are a result of their reading problems or a cause has yet to be determined. Whether the observed perception deficit relates to a more general auditory deficit or is specific to speech also has yet to be determined. To shed more light on these issues, the categorical perception abilities of children at risk for dyslexia and chronological age controls were investigated before and after the onset of formal reading instruction in a longitudinal study. Both identification and discrimination data were collected using identical paradigms for speech and non-speech stimuli. Results showed the children at risk for dyslexia to shift from an allophonic mode of perception in kindergarten to a phonemic mode of perception in first grade, while the control group showed a phonemic mode already in kindergarten. The children at risk for dyslexia thus showed an allophonic perception deficit in kindergarten, which was later suppressed by phonemic perception as a result of formal reading instruction in first grade; allophonic perception in kindergarten can thus be treated as a clinical marker for the possibility of later reading problems.
  • Noordenbos, M., Segers, E., Serniclaes, W., Mitterer, H., & Verhoeven, L. (2012). Neural evidence of allophonic perception in children at risk for dyslexia. Neuropsychologia, 50, 2010-2017. doi:10.1016/j.neuropsychologia.2012.04.026.

    Abstract

    Learning to read is a complex process that develops normally in the majority of children and requires the mapping of graphemes to their corresponding phonemes. Problems with the mapping process nevertheless occur in about 5% of the population and are typically attributed to poor phonological representations, which are — in turn — attributed to underlying speech processing difficulties. We examined auditory discrimination of speech sounds in 6-year-old beginning readers with a familial risk of dyslexia (n=31) and no such risk (n=30) using the mismatch negativity (MMN). MMNs were recorded for stimuli belonging to either the same phoneme category (acoustic variants of/bə/) or different phoneme categories (/bə/vs./də/). Stimuli from different phoneme categories elicited MMNs in both the control and at-risk children, but the MMN amplitude was clearly lower in the at-risk children. In contrast, the stimuli from the same phoneme category elicited an MMN in only the children at risk for dyslexia. These results show children at risk for dyslexia to be sensitive to acoustic properties that are irrelevant in their language. Our findings thus suggest a possible cause of dyslexia in that they show 6-year-old beginning readers with at least one parent diagnosed with dyslexia to have a neural sensitivity to speech contrasts that are irrelevant in the ambient language. This sensitivity clearly hampers the development of stable phonological representations and thus leads to significant reading impairment later in life.
  • Nora, A., Hultén, A., Karvonen, L., Kim, J.-Y., Lehtonen, M., Yli-Kaitala, H., Service, E., & Salmelin, R. (2012). Long-term phonological learning begins at the level of word form. NeuroImage, 63, 789-799. doi:10.1016/j.neuroimage.2012.07.026.

    Abstract

    Incidental learning of phonological structures through repeated exposure is an important component of native and foreign-language vocabulary acquisition that is not well understood at the neurophysiological level. It is also not settled when this type of learning occurs at the level of word forms as opposed to phoneme sequences. Here, participants listened to and repeated back foreign phonological forms (Korean words) and new native-language word forms (Finnish pseudowords) on two days. Recognition performance was improved, repetition latency became shorter and repetition accuracy increased when phonological forms were encountered multiple times. Cortical magnetoencephalography responses occurred bilaterally but the experimental effects only in the left hemisphere. Superior temporal activity at 300–600 ms, probably reflecting acoustic-phonetic processing, lasted longer for foreign phonology than for native phonology. Formation of longer-term auditory-motor representations was evidenced by a decrease of a spatiotemporally separate left temporal response and correlated increase of left frontal activity at 600–1200 ms on both days. The results point to item-level learning of novel whole-word representations.
  • Nordhoff, S., & Hammarström, H. (2012). Glottolog/Langdoc: Increasing the visibility of grey literature for low-density languages. In N. Calzolari (Ed.), Proceedings of the 8th International Conference on Language Resources and Evaluation [LREC 2012], May 23-25, 2012 (pp. 3289-3294). [Paris]: ELRA.

    Abstract

    Language resources can be divided into structural resources treating phonology, morphosyntax, semantics etc. and resources treating the social, demographic, ethnic, political context. A third type are meta-resources, like bibliographies, which provide access to the resources of the first two kinds. This poster will present the Glottolog/Langdoc project, a comprehensive bibliography providing web access to 180k bibliographical records to (mainly) low visibility resources from low-density languages. The resources are annotated for macro-area, content language, and document type and are available in XHTML and RDF.
  • Nouaouri, N. (2012). The semantics of placement and removal predicates in Moroccan Arabic. In A. Kopecka, & B. Narasimhan (Eds.), Events of putting and taking: A crosslinguistic perspective (pp. 99-122). Amsterdam: Benjamins.

    Abstract

    This article explores the expression of placement and removal events in Moroccan Arabic, particularly the semantic features of ‘putting’ and ‘taking’ verbs, classified in accordance with their combination with Goal and/or Source NPs. Moroccan Arabic verbs encode a variety of components of placement and removal events, including containment, attachment, features of the figure, and trajectory. Furthermore, accidental events are distinguished from deliberate events either by the inherent semantics of predicates or denoted syntactically. The postures of the Figures, in spite of some predicates distinguishing them, are typically not specified as they are in other languages, such as Dutch. Although Ground locations are frequently mentioned in both source-oriented and goal-oriented clauses, they are used more often in goal-oriented clauses.
  • Ocklenburg, S., Schmitz, J., Moinfar, Z., Moser, D., Klose, R., Lor, S., Kunz, G., Tegenthoff, M., Faustmann, P., Francks, C., Epplen, J. T., Kumsta, R., & Güntürkün, O. (2017). Epigenetic regulation of lateralized fetal spinal gene expression underlies hemispheric asymmetries. eLife, 6: e22784. doi:10.7554/eLife.22784.001.

    Abstract

    Lateralization is a fundamental principle of nervous system organization but its molecular determinants are mostly unknown. In humans, asymmetric gene expression in the fetal cortex has been suggested as the molecular basis of handedness. However, human fetuses already show considerable asymmetries in arm movements before the motor cortex is functionally linked to the spinal cord, making it more likely that spinal gene expression asymmetries form the molecular basis of handedness. We analyzed genome-wide mRNA expression and DNA methylation in cervical and anterior thoracal spinal cord segments of five human fetuses and show development-dependent gene expression asymmetries. These gene expression asymmetries were epigenetically regulated by miRNA expression asymmetries in the TGF-β signaling pathway and lateralized methylation of CpG islands. Our findings suggest that molecular mechanisms for epigenetic regulation within the spinal cord constitute the starting point for handedness, implying a fundamental shift in our understanding of the ontogenesis of hemispheric asymmetries in humans
  • O’Connor, L. (2012). Take it up, down, and away: Encoding placement and removal in Lowland Chontal. In A. Kopecka, & B. Narasimhan (Eds.), Events of putting and taking: A crosslinguistic perspective (pp. 297-326). Amsterdam: Benjamins.

    Abstract

    This paper offers a structural and semantic analysis of expressions of caused motion in Lowland Chontal of Oaxaca, an indigenous language of southern Mexico. The data were collected using a video stimulus designed to elicit a wide range of caused motion event descriptions. The most frequent event types in the corpus depict caused motion to and from relations of support and containment, fundamental notions in the de­scription of spatial relations between two entities and critical semantic components of the linguistic encoding of caused motion in this language. Formal features of verbal construction type and argument realization are examined by sorting event descriptions into semantic types of placement and removal, to and from support and to and from containment. Together with typological factors that shape the distribution of spatial semantics and referent expression, separate treatments of support and containment relations serve to clarify notable asymmetries in patterns of predicate type and argument realization.
  • Oliver, G., Gullberg, M., Hellwig, F., Mitterer, H., & Indefrey, P. (2012). Acquiring L2 sentence comprehension: A longitudinal study of word monitoring in noise. Bilingualism: Language and Cognition, 15, 841 -857. doi:10.1017/S1366728912000089.

    Abstract

    This study investigated the development of second language online auditory processing with ab initio German learners of Dutch. We assessed the influence of different levels of background noise and different levels of semantic and syntactic target word predictability on word-monitoring latencies. There was evidence of syntactic, but not lexical-semantic, transfer from the L1 to the L2 from the onset of L2 learning. An initial stronger adverse effect of noise on syntactic compared to phonological processing disappeared after two weeks of learning Dutch suggesting a change towards more robust syntactic processing. At the same time the L2 learners started to exploit semantic constraints predicting upcoming target words. The use of semantic predictability remained less efficient compared to native speakers until the end of the observation period. The improvement and the persistent problems in semantic processing we found were independent of noise and rather seem to reflect the need for more context information to build up online semantic representations in L2 listening.
  • O'Meara, C., & Majid, A. (2017). El léxico olfativo en la lengua seri. In A. L. M. D. Ruiz, & A. Z. Pérez (Eds.), La Dimensión Sensorial de la Cultura: Diez contribuciones al estudio de los sentidos en México. (pp. 101-118). Mexico City: Universidad Autónoma Metropolitana.
  • Ortega, G. (2017). Iconicity and sign lexical acquisition: A review. Frontiers in Psychology, 8: 1280. doi:10.3389/fpsyg.2017.01280.

    Abstract

    The study of iconicity, defined as the direct relationship between a linguistic form and its referent, has gained momentum in recent years across a wide range of disciplines. In the spoken modality, there is abundant evidence showing that iconicity is a key factor that facilitates language acquisition. However, when we look at sign languages, which excel in the prevalence of iconic structures, there is a more mixed picture, with some studies showing a positive effect and others showing a null or negative effect. In an attempt to reconcile the existing evidence the present review presents a critical overview of the literature on the acquisition of a sign language as first (L1) and second (L2) language and points at some factor that may be the source of disagreement. Regarding sign L1 acquisition, the contradicting findings may relate to iconicity being defined in a very broad sense when a more fine-grained operationalisation might reveal an effect in sign learning. Regarding sign L2 acquisition, evidence shows that there is a clear dissociation in the effect of iconicity in that it facilitates conceptual-semantic aspects of sign learning but hinders the acquisition of the exact phonological form of signs. It will be argued that when we consider the gradient nature of iconicity and that signs consist of a phonological form attached to a meaning we can discern how iconicity impacts sign learning in positive and negative ways
  • Ortega, G., Schiefner, A., & Ozyurek, A. (2017). Speakers’ gestures predict the meaning and perception of iconicity in signs. In G. Gunzelmann, A. Howe, & T. Tenbrink (Eds.), Proceedings of the 39th Annual Conference of the Cognitive Science Society (CogSci 2017) (pp. 889-894). Austin, TX: Cognitive Science Society.

    Abstract

    Sign languages stand out in that there is high prevalence of
    conventionalised linguistic forms that map directly to their
    referent (i.e., iconic). Hearing adults show low performance
    when asked to guess the meaning of iconic signs suggesting
    that their iconic features are largely inaccessible to them.
    However, it has not been investigated whether speakers’
    gestures, which also share the property of iconicity, may
    assist non-signers in guessing the meaning of signs. Results
    from a pantomime generation task (Study 1) show that
    speakers’ gestures exhibit a high degree of systematicity, and
    share different degrees of form overlap with signs (full,
    partial, and no overlap). Study 2 shows that signs with full
    and partial overlap are more accurately guessed and are
    assigned higher iconicity ratings than signs with no overlap.
    Deaf and hearing adults converge in their iconic depictions
    for some concepts due to the shared conceptual knowledge
    and manual-visual modality.
  • Ortega, G., Sumer, B., & Ozyurek, A. (2017). Type of iconicity matters in the vocabulary development of signing children. Developmental Psychology, 53(1), 89-99. doi:10.1037/dev0000161.

    Abstract

    Recent research on signed as well as spoken language shows that the iconic features of the target language might play a role in language development. Here, we ask further whether different types of iconic depictions modulate children’s preferences for certain types of sign-referent links during vocabulary development in sign language. Results from a picture description task indicate that lexical signs with 2 possible variants are used in different proportions by deaf signers from different age groups. While preschool and school-age children favored variants representing actions associated with their referent (e.g., a writing hand for the sign PEN), adults preferred variants representing the perceptual features of those objects (e.g., upward index finger representing a thin, elongated object for the sign PEN). Deaf parents interacting with their children, however, used action- and perceptual-based variants in equal proportion and favored action variants more than adults signing to other adults. We propose that when children are confronted with 2 variants for the same concept, they initially prefer action-based variants because they give them the opportunity to link a linguistic label to familiar schemas linked to their action/motor experiences. Our results echo findings showing a bias for action-based depictions in the development of iconic co-speech gestures suggesting a modality bias for such representations during development.
  • Ostarek, M., & Huettig, F. (2017). Spoken words can make the invisible visible – Testing the involvement of low-level visual representations in spoken word processing. Journal of Experimental Psychology: Human Perception and Performance, 43, 499-508. doi:10.1037/xhp0000313.

    Abstract

    The notion that processing spoken (object) words involves activation of category-specific representations in visual cortex is a key prediction of modality-specific theories of representation that contrasts with theories assuming dedicated conceptual representational systems abstracted away from sensorimotor systems. In the present study, we investigated whether participants can detect otherwise invisible pictures of objects when they are presented with the corresponding spoken word shortly before the picture appears. Our results showed facilitated detection for congruent ("bottle" -> picture of a bottle) vs. incongruent ("bottle" -> picture of a banana) trials. A second experiment investigated the time-course of the effect by manipulating the timing of picture presentation relative to word onset and revealed that it arises as soon as 200-400ms after word onset and decays at 600ms after word onset. Together, these data strongly suggest that spoken words can rapidly activate low-level category-specific visual representations that affect the mere detection of a stimulus, i.e. what we see. More generally our findings fit best with the notion that spoken words activate modality-specific visual representations that are low-level enough to provide information related to a given token and at the same time abstract enough to be relevant not only for previously seen tokens but also for generalizing to novel exemplars one has never seen before.
  • Ostarek, M., & Huettig, F. (2017). A task-dependent causal role for low-level visual processes in spoken word comprehension. Journal of Experimental Psychology: Learning, Memory, and Cognition, 43(8), 1215-1224. doi:10.1037/xlm0000375.

    Abstract

    It is well established that the comprehension of spoken words referring to object concepts relies on high-level visual areas in the ventral stream that build increasingly abstract representations. It is much less clear whether basic low-level visual representations are also involved. Here we asked in what task situations low-level visual representations contribute functionally to concrete word comprehension using an interference paradigm. We interfered with basic visual processing while participants performed a concreteness task (Experiment 1), a lexical decision task (Experiment 2), and a word class judgment task (Experiment 3). We found that visual noise interfered more with concrete vs. abstract word processing, but only when the task required visual information to be accessed. This suggests that basic visual processes can be causally involved in language comprehension, but that their recruitment is not automatic and rather depends on the type of information that is required in a given task situation.

    Additional information

    XLM-2016-2822_supp.docx
  • Ostarek, M., & Vigliocco, G. (2017). Reading sky and seeing a cloud: On the relevance of events for perceptual simulation. Journal of Experimental Psychology: Learning, Memory, and Cognition, 43(4), 579-590. doi:10.1037/xlm0000318.

    Abstract

    Previous research has shown that processing words with an up/down association (e.g., bird, foot) can influence the subsequent identification of visual targets in congruent location (at the top/bottom of the screen). However, as facilitation and interference were found under similar conditions, the nature of the underlying mechanisms remained unclear. We propose that word comprehension relies on the perceptual simulation of a prototypical event involving the entity denoted by a word in order to provide a general account of the different findings. In three experiments, participants had to discriminate between two target pictures appearing at the top or the bottom of the screen by pressing the left vs. right button. Immediately before the targets appeared, they saw an up/down word belonging to the target’s event, an up/down word unrelated to the target, or a spatially neutral control word. Prime words belonging to target event facilitated identification of targets at 250ms SOA (experiment 1), but only when presented in the vertical location where they are typically seen, indicating that targets were integrated in the simulations activated by the prime words. Moreover, at the same SOA, there was a robust facilitation effect for targets appearing in their typical location regardless of the prime type. However, when words were presented for 100ms (experiment 2) or 800ms (experiment 3), only a location non-specific priming effect was found, suggesting that the visual system was not activated. Implications for theories of semantic processing are discussed.
  • Ozker, M., Schepers, I., Magnotti, J., Yoshor, D., & Beauchamp, M. (2017). A double dissociation between anterior and posterior superior temporal gyrus for processing audiovisual speech demonstrated by electrocorticography. Journal of Cognitive Neuroscience, 29(6), 1044-1060. doi:10.1162/jocn_a_01110.

    Abstract

    Human speech can be comprehended using only auditory information from the talker's voice. However, comprehension is improved if the talker's face is visible, especially if the auditory information is degraded as occurs in noisy environments or with hearing loss. We explored the neural substrates of audiovisual speech perception using electrocorticography, direct recording of neural activity using electrodes implanted on the cortical surface. We observed a double dissociation in the responses to audiovisual speech with clear and noisy auditory component within the superior temporal gyrus (STG), a region long known to be important for speech perception. Anterior STG showed greater neural activity to audiovisual speech with clear auditory component, whereas posterior STG showed similar or greater neural activity to audiovisual speech in which the speech was replaced with speech-like noise. A distinct border between the two response patterns was observed, demarcated by a landmark corresponding to the posterior margin of Heschl's gyrus. To further investigate the computational roles of both regions, we considered Bayesian models of multisensory integration, which predict that combining the independent sources of information available from different modalities should reduce variability in the neural responses. We tested this prediction by measuring the variability of the neural responses to single audiovisual words. Posterior STG showed smaller variability than anterior STG during presentation of audiovisual speech with noisy auditory component. Taken together, these results suggest that posterior STG but not anterior STG is important for multisensory integration of noisy auditory and visual speech.
  • Ozyurek, A. (2017). Function and processing of gesture in the context of language. In R. B. Church, M. W. Alibali, & S. D. Kelly (Eds.), Why gesture? How the hands function in speaking, thinking and communicating (pp. 39-58). Amsterdam: John Benjamins Publishing. doi:10.1075/gs.7.03ozy.

    Abstract

    Most research focuses function of gesture independent of its link to the speech it accompanies and the coexpressive functions it has together with speech. This chapter instead approaches gesture in relation to its communicative function in relation to speech, and demonstrates how it is shaped by the linguistic encoding of a speaker’s message. Drawing on crosslinguistic research with adults and children as well as bilinguals on iconic/pointing gesture production it shows that the specific language speakers use modulates the rate and the shape of the iconic gesture production of the same events. The findings challenge the claims aiming to understand gesture’s function for “thinking only” in adults and during development.
  • Ozyurek, A. (2012). Gesture. In R. Pfau, M. Steinbach, & B. Woll (Eds.), Sign language: An international handbook (pp. 626-646). Berlin: Mouton.

    Abstract

    Gestures are meaningful movements of the body, the hands, and the face during communication,
    which accompany the production of both spoken and signed utterances. Recent
    research has shown that gestures are an integral part of language and that they contribute
    semantic, syntactic, and pragmatic information to the linguistic utterance. Furthermore,
    they reveal internal representations of the language user during communication in ways
    that might not be encoded in the verbal part of the utterance. Firstly, this chapter summarizes
    research on the role of gesture in spoken languages. Subsequently, it gives an overview
    of how gestural components might manifest themselves in sign languages, that is,
    in a situation in which both gesture and sign are expressed by the same articulators.
    Current studies are discussed that address the question of whether gestural components are the same or different in the two language modalities from a semiotic as well as from a cognitive and processing viewpoint. Understanding the role of gesture in both sign and
    spoken language contributes to our knowledge of the human language faculty as a multimodal communication system.
  • Paternoster, L., Zhurov, A., Toma, A., Kemp, J., St Pourcain, B., Timpson, N., McMahon, G., McArdle, W., Ring, S., Smith, G., Richmond, S., & Evans, D. (2012). Genome-wide Association Study of Three-Dimensional Facial Morphology Identifies a Variant in PAX3 Associated with Nasion Position. The American Journal of Human Genetics, 90(3), 478-485. doi:10.1016/j.ajhg.2011.12.021.

    Abstract

    Craniofacial morphology is highly heritable, but little is known about which genetic variants influence normal facial variation in the general population. We aimed to identify genetic variants associated with normal facial variation in a population-based cohort of 15-year-olds from the Avon Longitudinal Study of Parents and Children. 3D high-resolution images were obtained with two laser scanners, these were merged and aligned, and 22 landmarks were identified and their x, y, and z coordinates used to generate 54 3D distances reflecting facial features. 14 principal components (PCs) were also generated from the landmark locations. We carried out genome-wide association analyses of these distances and PCs in 2,185 adolescents and attempted to replicate any significant associations in a further 1,622 participants. In the discovery analysis no associations were observed with the PCs, but we identified four associations with the distances, and one of these, the association between rs7559271 in PAX3 and the nasion to midendocanthion distance (n-men), was replicated (p = 4 × 10−7). In a combined analysis, each G allele of rs7559271 was associated with an increase in n-men distance of 0.39 mm (p = 4 × 10−16), explaining 1.3% of the variance. Independent associations were observed in both the z (nasion prominence) and y (nasion height) dimensions (p = 9 × 10−9 and p = 9 × 10−10, respectively), suggesting that the locus primarily influences growth in the yz plane. Rare variants in PAX3 are known to cause Waardenburg syndrome, which involves deafness, pigmentary abnormalities, and facial characteristics including a broad nasal bridge. Our findings show that common variants within this gene also influence normal craniofacial development.
  • Peeters, D., Vanlangendonck, F., & Willems, R. M. (2012). Bestaat er een talenknobbel? Over taal in ons brein. In M. Boogaard, & M. Jansen (Eds.), Alles wat je altijd al had willen weten over taal: De taalcanon (pp. 41-43). Amsterdam: Meulenhoff.

    Abstract

    Wanneer iemand goed is in het spreken van meerdere talen, wordt wel gezegd dat zo iemand een talenknobbel heeft. Iedereen weet dat dat niet letterlijk bedoeld is: iemand met een talenknobbel herkennen we niet aan een grote bult op zijn hoofd. Toch dacht men vroeger wel degelijk dat mensen een letterlijke talenknobbel konden ontwikkelen. Een goed ontwikkeld taalvermogen zou gepaard gaan met het groeien van het hersengebied dat hiervoor verantwoordelijk was. Dit deel van het brein zou zelfs zo groot kunnen worden dat het van binnenuit tegen de schedel drukte, met name rond de ogen. Nu weten we wel beter. Maar waar in het brein bevindt de taal zich dan wel precies?
  • Peeters, D., Snijders, T. M., Hagoort, P., & Ozyurek, A. (2017). Linking language to the visual world: Neural correlates of comprehending verbal reference to objects through pointing and visual cues. Neuropsychologia, 95, 21-29. doi:10.1016/j.neuropsychologia.2016.12.004.

    Abstract

    In everyday communication speakers often refer in speech and/or gesture to objects in their immediate environment, thereby shifting their addressee's attention to an intended referent. The neurobiological infrastructure involved in the comprehension of such basic multimodal communicative acts remains unclear. In an event-related fMRI study, we presented participants with pictures of a speaker and two objects while they concurrently listened to her speech. In each picture, one of the objects was singled out, either through the speaker's index-finger pointing gesture or through a visual cue that made the object perceptually more salient in the absence of gesture. A mismatch (compared to a match) between speech and the object singled out by the speaker's pointing gesture led to enhanced activation in left IFG and bilateral pMTG, showing the importance of these areas in conceptual matching between speech and referent. Moreover, a match (compared to a mismatch) between speech and the object made salient through a visual cue led to enhanced activation in the mentalizing system, arguably reflecting an attempt to converge on a jointly attended referent in the absence of pointing. These findings shed new light on the neurobiological underpinnings of the core communicative process of comprehending a speaker's multimodal referential act and stress the power of pointing as an important natural device to link speech to objects.
  • Perlman, M. (2017). Debunking two myths against vocal origins of language: Language is iconic and multimodal to the core. Interaction studies, 18(3), 376-401. doi:10.1075/is.18.3.05per.

    Abstract

    Gesture-first theories of language origins often raise two unsubstantiated arguments against vocal origins. First, they argue that great ape vocal behavior is highly constrained, limited to a fixed, species-typical repertoire of reflexive calls. Second, they argue that vocalizations lack any significant potential to ground meaning through iconicity, or resemblance between form and meaning. This paper reviews the considerable evidence that debunks these two “myths”. Accumulating evidence shows that the great apes exercise voluntary control over their vocal behavior, including their breathing, larynx, and supralaryngeal articulators. They are also able to learn new vocal behaviors, and even show some rudimentary ability for vocal imitation. In addition, an abundance of research demonstrates that the vocal modality affords rich potential for iconicity. People can understand iconicity in sound symbolism, and they can produce iconic vocalizations to communicate a diverse range of meanings. Thus, two of the primary arguments against vocal origins theories are not tenable. As an alternative, the paper concludes that the origins of language – going as far back as our last common ancestor with great apes – are rooted in iconicity in both gesture and vocalization.

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  • Perlman, M., & Salmi, R. (2017). Gorillas may use their laryngeal air sacs for whinny-type vocalizations and male display. Journal of Language Evolution, 2(2), 126-140. doi:10.1093/jole/lzx012.

    Abstract

    Great apes and siamangs—but not humans—possess laryngeal air sacs, suggesting that they were lost over hominin evolution. The absence of air sacs in humans may hold clues to speech evolution, but little is known about their functions in extant apes. We investigated whether gorillas use their air sacs to produce the staccato ‘growling’ of the silverback chest beat display. This hypothesis was formulated after viewing a nature documentary showing a display by a silverback western gorilla (Kingo). As Kingo growls, the video shows distinctive vibrations in his chest and throat under which the air sacs extend. We also investigated whether other similarly staccato vocalizations—the whinny, sex whinny, and copulation grunt—might also involve the air sacs. To examine these hypotheses, we collected an opportunistic sample of video and audio evidence from research records and another documentary of Kingo’s group, and from videos of other gorillas found on YouTube. Analysis shows that the four vocalizations are each emitted in rapid pulses of a similar frequency (8–16 pulses per second), and limited visual evidence indicates that they may all occur with upper torso vibrations. Future research should determine how consistently the vibrations co-occur with the vocalizations, whether they are synchronized, and their precise location and timing. Our findings fit with the hypothesis that apes—especially, but not exclusively males—use their air sacs for vocalizations and displays related to size exaggeration for sex and territory. Thus changes in social structure, mating, and sexual dimorphism might have led to the obsolescence of the air sacs and their loss in hominin evolution.
  • Perlman, M., Fusaroli, R., Fein, D., & Naigles, L. (2017). The use of iconic words in early child-parent interactions. In G. Gunzelmann, A. Howes, T. Tenbrink, & E. Davelaar (Eds.), Proceedings of the 39th Annual Conference of the Cognitive Science Society (CogSci 2017) (pp. 913-918). Austin, TX: Cognitive Science Society.

    Abstract

    This paper examines the use of iconic words in early conversations between children and caregivers. The longitudinal data include a span of six observations of 35 children-parent dyads in the same semi-structured activity. Our findings show that children’s speech initially has a high proportion of iconic words, and over time, these words become diluted by an increase of arbitrary words. Parents’ speech is also initially high in iconic words, with a decrease in the proportion of iconic words over time – in this case driven by the use of fewer iconic words. The level and development of iconicity are related to individual differences in the children’s cognitive skills. Our findings fit with the hypothesis that iconicity facilitates early word learning and may play an important role in learning to produce new words.
  • Perniss, P. M., Vinson, D., Seifart, F., & Vigliocco, G. (2012). Speaking of shape: The effects of language-specific encoding on semantic representations. Language and Cognition, 4, 223-242. doi:10.1515/langcog-2012-0012.

    Abstract

    The question of whether different linguistic patterns differentially influence semantic and conceptual representations is of central interest in cognitive science. In this paper, we investigate whether the regular encoding of shape within a nominal classification system leads to an increased salience of shape in speakers' semantic representations by comparing English, (Amazonian) Spanish, and Bora, a shape-based classifier language spoken in the Amazonian regions of Columbia and Peru. Crucially, in displaying obligatory use, pervasiveness in grammar, high discourse frequency, and phonological variability of forms corresponding to particular shape features, the Bora classifier system differs in important ways from those in previous studies investigating effects of nominal classification, thereby allowing better control of factors that may have influenced previous findings. In addition, the inclusion of Spanish monolinguals living in the Bora village allowed control for the possibility that differences found between English and Bora speakers may be attributed to their very different living environments. We found that shape is more salient in the semantic representation of objects for speakers of Bora, which systematically encodes shape, than for speakers of English and Spanish, which do not. Our results are consistent with assumptions that semantic representations are shaped and modulated by our specific linguistic experiences.
  • Perniss, P. M. (2012). Use of sign space. In R. Pfau, M. Steinbach, & B. Woll (Eds.), Sign Language: an International Handbook (pp. 412-431). Berlin: Mouton de Gruyter.

    Abstract

    This chapter focuses on the semantic and pragmatic uses of space. The questions addressed concern how sign space (i.e. the area of space in front of the signer’s body) is used for meaning construction, how locations in sign space are associated with discourse referents, and how signers choose to structure sign space for their communicative intents. The chapter gives an overview of linguistic analyses of the use of space, starting with the distinction between syntactic and topographic uses of space and the different types of signs that function to establish referent-location associations, and moving to analyses based on mental spaces and conceptual blending theories. Semantic-pragmatic conventions for organizing sign space are discussed, as well as spatial devices notable in the visual-spatial modality (particularly, classifier predicates and signing perspective), which influence and determine the way meaning is created in sign space. Finally, the special role of simultaneity in sign languages is discussed, focusing on the semantic and discourse-pragmatic functions of simultaneous constructions.
  • Petersen, J. H. (2012). How to put and take in Kalasha. In A. Kopecka, & B. Narasimhan (Eds.), Events of putting and taking: A crosslinguistic perspective (pp. 349-366). Amsterdam: Benjamins.

    Abstract

    In Kalasha, an Indo-Aryan language spoken in Northwest Pakistan, the linguistic encoding of ‘put’ and ‘take’ events reveals a symmetry between lexical ‘put’ and ‘take’ verbs that implies ‘placement on’ and ‘removal from’ a supporting surface. As regards ‘placement in’ and ‘removal from’ an enclosure, the data reveal a lexical asymmetry as ‘take’ verbs display a larger degree of linguistic elaboration of the Figure-Ground relation and the type of caused motion than ‘put’ verbs. When considering syntactic patterns, more instances of asymmetry between these two event types show up. The analysis presented here supports the proposal that an asymmetry exists in the encoding of goals versus sources as suggested in Nam (2004) and Ikegami (1987), but it calls into question the statement put forward by Regier and Zheng (2007) that endpoints (goals) are more finely differentiated semantically than starting points (sources).
  • Petersson, K. M., & Hagoort, P. (2012). The neurobiology of syntax: Beyond string-sets [Review article]. Philosophical Transactions of the Royal Society of London. Series B, Biological Sciences, 367, 1971-1883. doi:10.1098/rstb.2012.0101.

    Abstract

    The human capacity to acquire language is an outstanding scientific challenge to understand. Somehow our language capacities arise from the way the human brain processes, develops and learns in interaction with its environment. To set the stage, we begin with a summary of what is known about the neural organization of language and what our artificial grammar learning (AGL) studies have revealed. We then review the Chomsky hierarchy in the context of the theory of computation and formal learning theory. Finally, we outline a neurobiological model of language acquisition and processing based on an adaptive, recurrent, spiking network architecture. This architecture implements an asynchronous, event-driven, parallel system for recursive processing. We conclude that the brain represents grammars (or more precisely, the parser/generator) in its connectivity, and its ability for syntax is based on neurobiological infrastructure for structured sequence processing. The acquisition of this ability is accounted for in an adaptive dynamical systems framework. Artificial language learning (ALL) paradigms might be used to study the acquisition process within such a framework, as well as the processing properties of the underlying neurobiological infrastructure. However, it is necessary to combine and constrain the interpretation of ALL results by theoretical models and empirical studies on natural language processing. Given that the faculty of language is captured by classical computational models to a significant extent, and that these can be embedded in dynamic network architectures, there is hope that significant progress can be made in understanding the neurobiology of the language faculty.
  • Petersson, K. M., Folia, V., & Hagoort, P. (2012). What artificial grammar learning reveals about the neurobiology of syntax. Brain and Language, 120, 83-95. doi:10.1016/j.bandl.2010.08.003.

    Abstract

    In this paper we examine the neurobiological correlates of syntax, the processing of structured sequences, by comparing FMRI results on artificial and natural language syntax. We discuss these and similar findings in the context of formal language and computability theory. We used a simple right-linear unification grammar in an implicit artificial grammar learning paradigm in 32 healthy Dutch university students (natural language FMRI data were already acquired for these participants). We predicted that artificial syntax processing would engage the left inferior frontal region (BA 44/45) and that this activation would overlap with syntax-related variability observed in the natural language experiment. The main findings of this study show that the left inferior frontal region centered on BA 44/45 is active during artificial syntax processing of well-formed (grammatical) sequence independent of local subsequence familiarity. The same region is engaged to a greater extent when a syntactic violation is present and structural unification becomes difficult or impossible. The effects related to artificial syntax in the left inferior frontal region (BA 44/45) were essentially identical when we masked these with activity related to natural syntax in the same subjects. Finally, the medial temporal lobe was deactivated during this operation, consistent with the view that implicit processing does not rely on declarative memory mechanisms that engage the medial temporal lobe. In the context of recent FMRI findings, we raise the question whether Broca’s region (or subregions) is specifically related to syntactic movement operations or the processing of hierarchically nested non-adjacent dependencies in the discussion section. We conclude that this is not the case. Instead, we argue that the left inferior frontal region is a generic on-line sequence processor that unifies information from various sources in an incremental and recursive manner, independent of whether there are any processing requirements related to syntactic movement or hierarchically nested structures. In addition, we argue that the Chomsky hierarchy is not directly relevant for neurobiological systems.
  • Pettenati, P., Sekine, K., Congestrì, E., & Volterra, V. (2012). A comparative study on representational gestures in Italian and Japanese children. Journal of Nonverbal Behavior, 36(2), 149-164. doi:10.1007/s10919-011-0127-0.

    Abstract

    This study compares words and gestures produced in a controlled experimental setting by children raised in different linguistic/cultural environments to examine the robustness of gesture use at an early stage of lexical development. Twenty-two Italian and twenty-two Japanese toddlers (age range 25–37 months) performed the same picture-naming task. Italians produced more spoken correct labels than Japanese but a similar amount of representational gestures temporally matched with words. However, Japanese gestures reproduced more closely the action represented in the picture. Results confirm that gestures are linked to motor actions similarly for all children, suggesting a common developmental stage, only minimally influenced by culture.
  • Piai, V., Roelofs, A., & Schriefers, H. (2012). Distractor strength and selective attention in picture-naming performance. Memory and cognition, 40, 614-627. doi:10.3758/s13421-011-0171-3.

    Abstract

    Whereas it has long been assumed that competition plays a role in lexical selection in word production (e.g., Levelt, Roelofs, & Meyer, 1999), recently Finkbeiner and Caramazza (2006) argued against the competition assumption on the basis of their observation that visible distractors yield semantic interference in picture naming, whereas masked distractors yield semantic facilitation. We examined an alternative account of these findings that preserves the competition assumption. According to this account, the interference and facilitation effects of distractor words reflect whether or not distractors are strong enough to exceed a threshold for entering the competition process. We report two experiments in which distractor strength was manipulated by means of coactivation and visibility. Naming performance was assessed in terms of mean response time (RT) and RT distributions. In Experiment 1, with low coactivation, semantic facilitation was obtained from clearly visible distractors, whereas poorly visible distractors yielded no semantic effect. In Experiment 2, with high coactivation, semantic interference was obtained from both clearly and poorly visible distractors. These findings support the competition threshold account of the polarity of semantic effects in naming.
  • Piai, V., Roelofs, A., & van der Meij, R. (2012). Event-related potentials and oscillatory brain responses associated with semantic and Stroop-like interference effects in overt naming. Brain Research, 1450, 87-101. doi:10.1016/j.brainres.2012.02.050.

    Abstract

    Picture–word interference is a widely employed paradigm to investigate lexical access in word production: Speakers name pictures while trying to ignore superimposed distractor words. The distractor can be congruent to the picture (pictured cat, word cat), categorically related (pictured cat, word dog), or unrelated (pictured cat, word pen). Categorically related distractors slow down picture naming relative to unrelated distractors, the so-called semantic interference. Categorically related distractors slow down picture naming relative to congruent distractors, analogous to findings in the colour–word Stroop task. The locus of semantic interference and Stroop-like effects in naming performance has recently become a topic of debate. Whereas some researchers argue for a pre-lexical locus of semantic interference and a lexical locus of Stroop-like effects, others localise both effects at the lexical selection stage. We investigated the time course of semantic and Stroop-like interference effects in overt picture naming by means of event-related potentials (ERP) and time–frequency analyses. Moreover, we employed cluster-based permutation for statistical analyses. Naming latencies showed semantic and Stroop-like interference effects. The ERP waveforms for congruent stimuli started diverging statistically from categorically related stimuli around 250 ms. Deflections for the categorically related condition were more negative-going than for the congruent condition (the Stroop-like effect). The time–frequency analysis revealed a power increase in the beta band (12–30 Hz) for categorically related relative to unrelated stimuli roughly between 250 and 370 ms (the semantic effect). The common time window of these effects suggests that both semantic interference and Stroop-like effects emerged during lexical selection.
  • Poellmann, K., McQueen, J. M., & Mitterer, H. (2012). How talker-adaptation helps listeners recognize reduced word-forms [Abstract]. Program abstracts from the 164th Meeting of the Acoustical Society of America published in the Journal of the Acoustical Society of America, 132(3), 2053.

    Abstract

    Two eye-tracking experiments tested whether native listeners can adapt
    to reductions in casual Dutch speech. Listeners were exposed to segmental
    ([b] > [m]), syllabic (full-vowel-deletion), or no reductions. In a subsequent
    test phase, all three listener groups were tested on how efficiently they could
    recognize both types of reduced words. In the first Experiment’s exposure
    phase, the (un)reduced target words were predictable. The segmental reductions
    were completely consistent (i.e., involved the same input sequences).
    Learning about them was found to be pattern-specific and generalized in the
    test phase to new reduced /b/-words. The syllabic reductions were not consistent
    (i.e., involved variable input sequences). Learning about them was
    weak and not pattern-specific. Experiment 2 examined effects of word repetition
    and predictability. The (un-)reduced test words appeared in the exposure
    phase and were not predictable. There was no evidence of learning for
    the segmental reductions, probably because they were not predictable during
    exposure. But there was word-specific learning for the vowel-deleted words.
    The results suggest that learning about reductions is pattern-specific and
    generalizes to new words if the input is consistent and predictable. With
    variable input, there is more likely to be adaptation to a general speaking
    style and word-specific learning.
  • Poletiek, F. H., & Lai, J. (2012). How semantic biases in simple adjacencies affect learning a complex structure with non-adjacencies in AGL: A statistical account. Philosophical Transactions of the Royal Society of London. Series B, Biological Sciences, 367, 2046 -2054. doi:10.1098/rstb.2012.0100.

    Abstract

    A major theoretical debate in language acquisition research regards the learnability of hierarchical structures. The artificial grammar learning methodology is increasingly influential in approaching this question. Studies using an artificial centre-embedded AnBn grammar without semantics draw conflicting conclusions. This study investigates the facilitating effect of distributional biases in simple AB adjacencies in the input sample—caused in natural languages, among others, by semantic biases—on learning a centre-embedded structure. A mathematical simulation of the linguistic input and the learning, comparing various distributional biases in AB pairs, suggests that strong distributional biases might help us to grasp the complex AnBn hierarchical structure in a later stage. This theoretical investigation might contribute to our understanding of how distributional features of the input—including those caused by semantic variation—help learning complex structures in natural languages.
  • Poort, E. D., & Rodd, J. M. (2017). The cognate facilitation effect in bilingual lexical decision is influenced by stimulus list composition. Acta Psychologica, 180, 52-63. doi:10.1016/j.actpsy.2017.08.008.

    Abstract

    Cognates share their form and meaning across languages: “winter” in English means the same as “winter” in Dutch. Research has shown that bilinguals process cognates more quickly than words that exist in one language only (e.g. “ant” in English). This finding is taken as strong evidence for the claim that bilinguals have one integrated lexicon and that lexical access is language non-selective. Two English lexical decision experiments with Dutch–English bilinguals investigated whether the cognate facilitation effect is influenced by stimulus list composition. In Experiment 1, the ‘standard’ version, which included only cognates, English control words and regular non-words, showed significant cognate facilitation (31 ms). In contrast, the ‘mixed’ version, which also included interlingual homographs, pseudohomophones (instead of regular non-words) and Dutch-only words, showed a significantly different profile: a non-significant disadvantage for the cognates (8 ms). Experiment 2 examined the specific impact of these three additional stimuli types and found that only the inclusion of Dutch words significantly reduced the cognate facilitation effect. Additional exploratory analyses revealed that, when the preceding trial was a Dutch word, cognates were recognised up to 50 ms more slowly than English controls. We suggest that when participants must respond ‘no’ to non-target language words, competition arises between the ‘yes’- and ‘no’-responses associated with the two interpretations of a cognate, which (partially) cancels out the facilitation that is a result of the cognate's shared form and meaning. We conclude that the cognate facilitation effect is a real effect that originates in the lexicon, but that cognates can be subject to competition effects outside the lexicon.

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    supplementary materials
  • Popov, V., Ostarek, M., & Tenison, C. (2017). Inferential Pitfalls in Decoding Neural Representations. In G. Gunzelmann, A. Howes, T. Tenbrink, & E. Davelaar (Eds.), Proceedings of the 39th Annual Conference of the Cognitive Science Society (CogSci 2017) (pp. 961-966). Austin, TX: Cognitive Science Society.

    Abstract

    A key challenge for cognitive neuroscience is to decipher the representational schemes of the brain. A recent class of decoding algorithms for fMRI data, stimulus-feature-based encoding models, is becoming increasingly popular for inferring the dimensions of neural representational spaces from stimulus-feature spaces. We argue that such inferences are not always valid, because decoding can occur even if the neural representational space and the stimulus-feature space use different representational schemes. This can happen when there is a systematic mapping between them. In a simulation, we successfully decoded the binary representation of numbers from their decimal features. Since binary and decimal number systems use different representations, we cannot conclude that the binary representation encodes decimal features. The same argument applies to the decoding of neural patterns from stimulus-feature spaces and we urge caution in inferring the nature of the neural code from such methods. We discuss ways to overcome these inferential limitations.
  • Pouw, W., van Gog, T., Zwaan, R. A., & Paas, F. (2017). Are gesture and speech mismatches produced by an integrated gesture-speech system? A more dynamically embodied perspective is needed for understanding gesture-related learning. Behavioral and Brain Sciences, 40: e68. doi:10.1017/S0140525X15003039.

    Abstract

    We observe a tension in the target article as it stresses an integrated gesture-speech system that can nevertheless consist of contradictory representational states, which are reflected by mismatches in gesture and speech or sign. Beyond problems of coherence, this prevents furthering our understanding of gesture-related learning. As a possible antidote, we invite a more dynamically embodied perspective to the stage.
  • Pouw, W., Aslanidou, A., Kamermans, K. L., & Paas, F. (2017). Is ambiguity detection in haptic imagery possible? Evidence for Enactive imaginings. In G. Gunzelmann, A. Howes, T. Tenbrink, & E. Davelaar (Eds.), Proceedings of the 39th Annual Conference of the Cognitive Science Society (CogSci 2017) (pp. 2925-2930). Austin, TX: Cognitive Science Society.

    Abstract

    A classic discussion about visual imagery is whether it affords reinterpretation, like discovering two interpretations in the duck/rabbit illustration. Recent findings converge on reinterpretation being possible in visual imagery, suggesting functional equivalence with pictorial representations. However, it is unclear whether such reinterpretations are necessarily a visual-pictorial achievement. To assess this, 68 participants were briefly presented 2-d ambiguous figures. One figure was presented visually, the other via manual touch alone. Afterwards participants mentally rotated the memorized figures as to discover a novel interpretation. A portion (20.6%) of the participants detected a novel interpretation in visual imagery, replicating previous research. Strikingly, 23.6% of participants were able to reinterpret figures they had only felt. That reinterpretation truly involved haptic processes was further supported, as some participants performed co-thought gestures on an imagined figure during retrieval. These results are promising for further development of an Enactivist approach to imagination.
  • Puccini, D., & Liszkowski, U. (2012). 15-month-old infants fast map words but not representational gestures of multimodal labels. Frontiers in Psychology, 3: 101, pp. 101. doi:10.3389/fpsyg.2012.00101.

    Abstract

    This study investigated whether 15-month-old infants fast map multimodal labels, and, when given the choice of two modalities, whether they preferentially fast map one better than the other. Sixty 15-month-old infants watched films where an actress repeatedly and ostensively labeled two novel objects using a spoken word along with a representational gesture. In the test phase, infants were assigned to one of three conditions: Word, Word + Gesture, or Gesture. The objects appeared in a shelf next to the experimenter and, depending on the condition, infants were prompted with either a word, a gesture, or a multimodal word-gesture combination. Using an infant eye tracker, we determined whether infants made the correct mappings. Results revealed that only infants in the Word condition had learned the novel object labels. When the representational gesture was presented alone or when the verbal label was accompanied by a representational gesture, infants did not succeed in making the correct mappings. Results reveal that 15-month-old infants do not benefit from multimodal labeling and that they prefer words over representational gestures as object labels in multimodal utterances. Findings put into question the role of multimodal labeling in early language development.
  • Puccini, D., Hassemer, M., Salomo, D., & Liszkowski, U. (2012). The type of shared activity shapes caregiver and infant communication [Reprint]. In J.-M. Colletta, & M. Guidetti (Eds.), Gesture and multimodal development (pp. 157-174). Amsterdam: John Benjamins.

    Abstract

    For the beginning language learner, communicative input is not based on linguistic codes alone. This study investigated two extralinguistic factors which are important for infants’ language development: the type of ongoing shared activity and non-verbal, deictic gestures. The natural interactions of 39 caregivers and their 12-month-old infants were recorded in two semi-natural contexts: a free play situation based on action and manipulation of objects, and a situation based on regard of objects, broadly analogous to an exhibit. Results show that the type of shared activity structures both caregivers’ language usage and caregivers’ and infants’ gesture usage. Further, there is a specific pattern with regard to how caregivers integrate speech with particular deictic gesture types. The findings demonstrate a pervasive influence of shared activities on human communication, even before language has emerged. The type of shared activity and caregivers’ systematic integration of specific forms of deictic gestures with language provide infants with a multimodal scaffold for a usage-based acquisition of language.
  • Pyykkönen, P., & Järvikivi, J. (2012). Children and situation models of multiple events. Developmental Psychology, 48, 521-529. doi:10.1037/a0025526.

    Abstract

    The present study demonstrates that children experience difficulties reaching the correct situation model of multiple events described in temporal sentences if the sentences encode language-external events in reverse chronological order. Importantly, the timing of the cue of how to organize these events is crucial: When temporal subordinate conjunctions (before/after) or converb constructions that carry information of how to organize the events were given sentence-medially, children experienced severe difficulties in arriving at the correct interpretation of event order. When this information was provided sentence-initially, children were better able to arrive at the correct situation model, even if it required them to decode the linguistic information reversely with respect to the actual language external events. This indicates that children even aged 8–12 still experience difficulties in arriving at the correct interpretation of the event structure, if the cue of how to order the events is not given immediately when they start building the representation of the situation. This suggests that children's difficulties in comprehending sequential temporal events are caused by their inability to revise the representation of the current event structure at the level of the situation model
  • Rakoczy, H., & Haun, D. B. M. (2012). Vor- und nichtsprachliche Kognition. In W. Schneider, & U. Lindenberger (Eds.), Entwicklungspsychologie. 7. vollständig überarbeitete Auflage (pp. 337-362). Weinheim: Beltz Verlag.
  • Rapold, C. J. (2012). The encoding of placement and removal events in ǂAkhoe Haiǁom. In A. Kopecka, & B. Narasimhan (Eds.), Events of putting and taking: A crosslinguistic perspective (pp. 79-98). Amsterdam: Benjamins.

    Abstract

    This paper explores the semantics of placement and removal verbs in Ākhoe Hai om based on event descriptions elicited with a set of video stimuli. After a brief sketch of the morphosyntax of placement/removal constructions in Ākhoe Haiom, four situation types are identified semantically that cover both placement and removal events. The language exhibits a clear tendency to make more fine-grained semantic distinctions in placement verbs, as opposed to semantically more general removal verbs.
  • Ravignani, A., & Thompson, B. (2017). A note on ‘Noam Chomsky – What kind of creatures are we? Language in Society, 46(3), 446-447. doi:10.1017/S0047404517000288.
  • Ravignani, A., Honing, H., & Kotz, S. A. (2017). Editorial: The evolution of rhythm cognition: Timing in music and speech. Frontiers in Human Neuroscience, 11: 303. doi:10.3389/fnhum.2017.00303.

    Abstract

    This editorial serves a number of purposes. First, it aims at summarizing and discussing 33 accepted contributions to the special issue “The evolution of rhythm cognition: Timing in music and speech.” The major focus of the issue is the cognitive neuroscience of rhythm, intended as a neurobehavioral trait undergoing an evolutionary process. Second, this editorial provides the interested reader with a guide to navigate the interdisciplinary contributions to this special issue. For this purpose, we have compiled Table 1, where methods, topics, and study species are summarized and related across contributions. Third, we also briefly highlight research relevant to the evolution of rhythm that has appeared in other journals while this special issue was compiled. Altogether, this editorial constitutes a summary of rhythm research in music and speech spanning two years, from mid-2015 until mid-2017
  • Ravignani, A., & Sonnweber, R. (2017). Chimpanzees process structural isomorphisms across sensory modalities. Cognition, 161, 74-79. doi:10.1016/j.cognition.2017.01.005.
  • Ravignani, A., Gross, S., Garcia, M., Rubio-Garcia, A., & De Boer, B. (2017). How small could a pup sound? The physical bases of signaling body size in harbor seals. Current Zoology, 63(4), 457-465. doi:10.1093/cz/zox026.

    Abstract

    Vocal communication is a crucial aspect of animal behavior. The mechanism which most mammals use to vocalize relies on three anatomical components. First, air overpressure is generated inside the lower vocal tract. Second, as the airstream goes through the glottis, sound is produced via vocal fold vibration. Third, this sound is further filtered by the geometry and length of the upper vocal tract. Evidence from mammalian anatomy and bioacoustics suggests that some of these three components may covary with an animal’s body size. The framework provided by acoustic allometry suggests that, because vocal tract length (VTL) is more strongly constrained by the growth of the body than vocal fold length (VFL), VTL generates more reliable acoustic cues to an animal’s size. This hypothesis is often tested acoustically but rarely anatomically, especially in pinnipeds. Here, we test the anatomical bases of the acoustic allometry hypothesis in harbor seal pups Phoca vitulina. We dissected and measured vocal tract, vocal folds, and other anatomical features of 15 harbor seals post-mortem. We found that, while VTL correlates with body size, VFL does not. This suggests that, while body growth puts anatomical constraints on how vocalizations are filtered by harbor seals’ vocal tract, no such constraints appear to exist on vocal folds, at least during puppyhood. It is particularly interesting to find anatomical constraints on harbor seals’ vocal tracts, the same anatomical region partially enabling pups to produce individually distinctive vocalizations.
  • Ravignani, A., & Norton, P. (2017). Measuring rhythmic complexity: A primer to quantify and compare temporal structure in speech, movement, and animal vocalizations. Journal of Language Evolution, 2(1), 4-19. doi:10.1093/jole/lzx002.

    Abstract

    Research on the evolution of human speech and phonology benefits from the comparative approach: structural, spectral, and temporal features can be extracted and compared across species in an attempt to reconstruct the evolutionary history of human speech. Here we focus on analytical tools to measure and compare temporal structure in human speech and animal vocalizations. We introduce the reader to a range of statistical methods usable, on the one hand, to quantify rhythmic complexity in single vocalizations, and on the other hand, to compare rhythmic structure between multiple vocalizations. These methods include: time series analysis, distributional measures, variability metrics, Fourier transform, auto- and cross-correlation, phase portraits, and circular statistics. Using computer-generated data, we apply a range of techniques, walking the reader through the necessary software and its functions. We describe which techniques are most appropriate to test particular hypotheses on rhythmic structure, and provide possible interpretations of the tests. These techniques can be equally well applied to find rhythmic structure in gesture, movement, and any other behavior developing over time, when the research focus lies on its temporal structure. This introduction to quantitative techniques for rhythm and timing analysis will hopefully spur additional comparative research, and will produce comparable results across all disciplines working on the evolution of speech, ultimately advancing the field.

    Additional information

    lzx002_Supp.docx
  • Ravignani, A. (2017). Interdisciplinary debate: Agree on definitions of synchrony [Correspondence]. Nature, 545, 158. doi:10.1038/545158c.
  • Ravignani, A., & Fitch, W. T. (2012). Sonification of experimental parameters as a new method for efficient coding of behavior. In A. Spink, F. Grieco, O. E. Krips, L. W. S. Loijens, L. P. P. J. Noldus, & P. H. Zimmerman (Eds.), Measuring Behavior 2012, 8th International Conference on Methods and Techniques in Behavioral Research (pp. 376-379).

    Abstract

    Cognitive research is often focused on experimental condition-driven reactions. Ethological studies frequently
    rely on the observation of naturally occurring specific behaviors. In both cases, subjects are filmed during the
    study, so that afterwards behaviors can be coded on video. Coding should typically be blind to experimental
    conditions, but often requires more information than that present on video. We introduce a method for blindcoding
    of behavioral videos that takes care of both issues via three main innovations. First, of particular
    significance for playback studies, it allows creation of a “soundtrack” of the study, that is, a track composed of
    synthesized sounds representing different aspects of the experimental conditions, or other events, over time.
    Second, it facilitates coding behavior using this audio track, together with the possibly muted original video.
    This enables coding blindly to conditions as required, but not ignoring other relevant events. Third, our method
    makes use of freely available, multi-platform software, including scripts we developed.
  • Ravignani, A., & Madison, G. (2017). The paradox of isochrony in the evolution of human rhythm. Frontiers in Psychology, 8: 1820. doi:10.3389/fpsyg.2017.01820.

    Abstract

    Isochrony is crucial to the rhythm of human music. Some neural, behavioral and anatomical traits underlying rhythm perception and production are shared with a broad range of species. These may either have a common evolutionary origin, or have evolved into similar traits under different evolutionary pressures. Other traits underlying rhythm are rare across species, only found in humans and few other animals. Isochrony, or stable periodicity, is common to most human music, but isochronous behaviors are also found in many species. It appears paradoxical that humans are particularly good at producing and perceiving isochronous patterns, although this ability does not conceivably confer any evolutionary advantage to modern humans. This article will attempt to solve this conundrum. To this end, we define the concept of isochrony from the present functional perspective of physiology, cognitive neuroscience, signal processing, and interactive behavior, and review available evidence on isochrony in the signals of humans and other animals. We then attempt to resolve the paradox of isochrony by expanding an evolutionary hypothesis about the function that isochronous behavior may have had in early hominids. Finally, we propose avenues for empirical research to examine this hypothesis and to understand the evolutionary origin of isochrony in general.
  • Ravignani, A. (2017). Visualizing and interpreting rhythmic patterns using phase space plots. Music Perception, 34(5), 557-568. doi:10.1525/MP.2017.34.5.557.

    Abstract

    STRUCTURE IN MUSICAL RHYTHM CAN BE MEASURED using a number of analytical techniques. While some techniques—like circular statistics or grammar induction—rely on strong top-down assumptions, assumption-free techniques can only provide limited insights on higher-order rhythmic structure. I suggest that research in music perception and performance can benefit from systematically adopting phase space plots, a visualization technique originally developed in mathematical physics that overcomes the aforementioned limitations. By jointly plotting adjacent interonset intervals (IOI), the motivic rhythmic structure of musical phrases, if present, is visualized geometrically without making any a priori assumptions concerning isochrony, beat induction, or metrical hierarchies. I provide visual examples and describe how particular features of rhythmic patterns correspond to geometrical shapes in phase space plots. I argue that research on music perception and systematic musicology stands to benefit from this descriptive tool, particularly in comparative analyses of rhythm production. Phase space plots can be employed as an initial assumption-free diagnostic to find higher order structures (i.e., beyond distributional regularities) before proceeding to more specific, theory-driven analyses.
  • Reddy, T. E., Gertz, J., Pauli, F., Kucera, K. S., Varley, K. E., Newberry, K. M., Marinov, G. K., Mortazavi, A., Williams, B. A., Song, L., Crawford, G. E., Wold, B., Willard, H. F., & Myers, R. M. (2012). Effects of sequence variation on differential allelic transcription factor occupancy and gene expression. Genome Research, 22, 860-869. doi:10.1101/gr.131201.111.

    Abstract

    A complex interplay between transcription factors (TFs) and the genome regulates transcription. However, connecting variation in genome sequence with variation in TF binding and gene expression is challenging due to environmental differences between individuals and cell types. To address this problem, we measured genome-wide differential allelic occupancy of 24 TFs and EP300 in a human lymphoblastoid cell line GM12878. Overall, 5% of human TF binding sites have an allelic imbalance in occupancy. At many sites, TFs clustered in TF-binding hubs on the same homolog in especially open chromatin. While genetic variation in core TF binding motifs generally resulted in large allelic differences in TF occupancy, most allelic differences in occupancy were subtle and associated with disruption of weak or noncanonical motifs. We also measured genome-wide differential allelic expression of genes with and without heterozygous exonic variants in the same cells. We found that genes with differential allelic expression were overall less expressed both in GM12878 cells and in unrelated human cell lines. Comparing TF occupancy with expression, we found strong association between allelic occupancy and expression within 100 bp of transcription start sites (TSSs), and weak association up to 100 kb from TSSs. Sites of differential allelic occupancy were significantly enriched for variants associated with disease, particularly autoimmune disease, suggesting that allelic differences in TF occupancy give functional insights into intergenic variants associated with disease. Our results have the potential to increase the power and interpretability of association studies by targeting functional intergenic variants in addition to protein coding sequences.
  • Reesink, G., & Dunn, M. (2012). Systematic typological comparison as a tool for investigating language history. Language Documentation and Conservation, (5), 34-71. Retrieved from http://hdl.handle.net/10125/4560.
  • Reifegerste, J., Meyer, A. S., & Zwitserlood, P. (2017). Inflectional complexity and experience affect plural processing in younger and older readers of Dutch and German. Language, Cognition and Neuroscience, 32(4), 471-487. doi:10.1080/23273798.2016.1247213.

    Abstract

    According to dual-route models of morphological processing, regular inflected words can be retrieved as whole-word forms or decomposed into morphemes. Baayen, Dijkstra, and Schreuder [(1997). Singulars and plurals in Dutch: Evidence for a parallel dual-route model. Journal of AQ2 Memory and Language, 37, 94–117. doi:10.1006/jmla.1997.2509] proposed a ¶ dual-route model according to which plurals of singular-dominant words (e.g. “brides”) are decomposed, while plurals of plural-dominant words (e.g. “peas”) are accessed as whole-word units. We report two lexical-decision experiments investigating how plural processing is influenced by participants’ age (a proxy for experience with word forms) and morphological complexity of the language (German versus Dutch). For both Dutch participant groups and older German participants, we replicated the interaction between number and dominance reported by Baayen and colleagues. Younger German participants showed a main effect of number, indicating access of all plurals via decomposition. Access to stored forms seems to depend on morphological richness and experience with word forms. The data pattern fits neither full-decomposition nor full-storage models, but is compatible with dual-route models

    Additional information

    plcp_a_1247213_sm6144.pdf
  • Reinisch, E., & Weber, A. (2012). Adapting to suprasegmental lexical stress errors in foreign-accented speech. Journal of the Acoustical Society of America, 132, 1165-1176. doi:10.1121/1.4730884.

    Abstract

    Can native listeners rapidly adapt to suprasegmental mispronunciations in foreign-accented speech? To address this question, an exposure-test paradigm was used to test whether Dutch listeners can improve their understanding of non-canonical lexical stress in Hungarian-accented Dutch. During exposure, one group of listeners heard a Dutch story with only initially stressed words, whereas another group also heard 28 words with canonical second-syllable stress (e.g., EEKhorn, "squirrel" was replaced by koNIJN "rabbit"; capitals indicate stress). The 28 words, however, were non-canonically marked by the Hungarian speaker with high pitch and amplitude on the initial syllable, both of which are stress cues in Dutch. After exposure, listeners' eye movements were tracked to Dutch target-competitor pairs with segmental overlap but different stress patterns, while they listened to new words from the same Hungarian speaker (e.g., HERsens, herSTEL, "brain," "recovery"). Listeners who had previously heard non-canonically produced words distinguished target-competitor pairs better than listeners who had only been exposed to Hungarian accent with canonical forms of lexical stress. Even a short exposure thus allows listeners to tune into speaker-specific realizations of words' suprasegmental make-up, and use this information for word recognition.
  • Relton, C. L., Groom, A., St Pourcain, B., Sayers, A. E., Swan, D. C., Embleton, N. D., Pearce, M. S., Ring, S. M., Northstone, K., Tobias, J. H., Trakalo, J., Ness, A. R., Shaheen, S. O., & Davey Smith, G. (2012). DNA Methylation Patterns in Cord Blood DNA and Body Size in Childhood. PLoS ONE, 7(3): e31821. doi:10.1371/journal.pone.0031821.

    Abstract

    BACKGROUND: Epigenetic markings acquired in early life may have phenotypic consequences later in development through their role in transcriptional regulation with relevance to the developmental origins of diseases including obesity. The goal of this study was to investigate whether DNA methylation levels at birth are associated with body size later in childhood. PRINCIPAL FINDINGS: A study design involving two birth cohorts was used to conduct transcription profiling followed by DNA methylation analysis in peripheral blood. Gene expression analysis was undertaken in 24 individuals whose biological samples and clinical data were collected at a mean ± standard deviation (SD) age of 12.35 (0.95) years, the upper and lower tertiles of body mass index (BMI) were compared with a mean (SD) BMI difference of 9.86 (2.37) kg/m(2). This generated a panel of differentially expressed genes for DNA methylation analysis which was then undertaken in cord blood DNA in 178 individuals with body composition data prospectively collected at a mean (SD) age of 9.83 (0.23) years. Twenty-nine differentially expressed genes (>}1.2-fold and p{<10(-4)) were analysed to determine DNA methylation levels at 1-3 sites per gene. Five genes were unmethylated and DNA methylation in the remaining 24 genes was analysed using linear regression with bootstrapping. Methylation in 9 of the 24 (37.5%) genes studied was associated with at least one index of body composition (BMI, fat mass, lean mass, height) at age 9 years, although only one of these associations remained after correction for multiple testing (ALPL with height, p(Corrected) = 0.017). CONCLUSIONS: DNA methylation patterns in cord blood show some association with altered gene expression, body size and composition in childhood. The observed relationship is correlative and despite suggestion of a mechanistic epigenetic link between in utero life and later phenotype, further investigation is required to establish causality.
  • Roberson, D., Kikutani, M., Döge, P., Whitaker, L., & Majid, A. (2012). Shades of emotion: What the addition of sunglasses or masks to faces reveals about the development of facial expression processing. Cognition, 125, 195-206. doi:10.1016/j.cognition.2012.06.018.

    Abstract

    Three studies investigated developmental changes in facial expression processing, between 3years-of-age and adulthood. For adults and older children, the addition of sunglasses to upright faces caused an equivalent decrement in performance to face inversion. However, younger children showed better classification of expressions of faces wearing sunglasses than children who saw the same faces un-occluded. When the mouth area was occluded with a mask, children under nine years showed no impairment in expression classification, relative to un-occluded faces. An early selective focus of attention on the eyes may be optimal for socialization, but mediate against accurate expression classification. The data support a model in which a threshold level of attentional control must be reached before children can develop adult-like configural processing skills and be flexible in their use of face- processing strategies.
  • Roberts, S. G., & Levinson, S. C. (2017). Conversation, cognition and cultural evolution: A model of the cultural evolution of word order through pressures imposed from turn taking in conversation. Interaction studies, 18(3), 402-429. doi:10.1075/is.18.3.06rob.

    Abstract

    This paper outlines a first attempt to model the special constraints that arise in language processing in conversation, and to explore the implications such functional considerations may have on language typology and language change. In particular, we focus on processing pressures imposed by conversational turn-taking and their consequences for the cultural evolution of the structural properties of language. We present an agent-based model of cultural evolution where agents take turns at talk in conversation. When the start of planning for the next turn is constrained by the position of the verb, the stable distribution of dominant word orders across languages evolves to match the actual distribution reasonably well. We suggest that the interface of cognition and interaction should be a more central part of the story of language evolution.
  • Roberts, L., & Meyer, A. S. (Eds.). (2012). Individual differences in second language acquisition [Special Issue]. Language Learning, 62(Supplement S2).
  • Roberts, L., & Meyer, A. S. (2012). Individual differences in second language learning: Introduction. Language Learning, 62(Supplement S2), 1-4. doi:10.1111/j.1467-9922.2012.00703.x.

    Abstract

    First paragraph: The topic of the workshop from which this volume comes, “Individual Differences in Second Language Learning,” is timely and important for both practical and theoretical reasons. The practical reasons are obvious: While many people have some knowledge of a second or further language, there is enormous variability in how well they know these languages. Much of this variability is, of course, likely to be due to differences in the time spent studying or being immersed in the language, but even in similar learning environments learners differ greatly in how quickly they pick up a language and in their ultimate level of proficiency.
  • Roberts, L. (2012). Individual differences in second language sentence processing. Language Learning, 62(Supplement S2), 172-188. doi:10.1111/j.1467-9922.2012.00711.x.

    Abstract

    As is the case in traditional second language (L2) acquisition research, a major question in the field of L2 real-time sentence processing is the extent to which L2 learners process the input like native speakers. Where differences are observed, the underlying causes could be the influence of the learner's first language and/or differences (fundamental or not) in the use of processing strategies between learners and native speakers. Another factor that may account for L1–L2 differences, perhaps in combination with others, is individual variability in general levels of proficiency or in learners’ general cognitive capacities, such as working memory and processing speed. However, systematic research into the effects of such individual differences on L2 real-time sentence processing has yet to be done because researchers in the main attempt to control for individual differences in general cognitive capacities rather than to investigate them in their own right: nevertheless, a review of the current work on L2 sentence and discourse processing raises some interesting findings. An overview of this research is presented in this paper, highlighting what appear to be the circumstances under which individual differences in factors such as working memory capacity and proficiency do or do not affect L2 sentence processing. Taken together, the data suggest that it is only under certain experimental circumstances—specifically, when participants are asked to perform a metalinguistic task directing their attention to the manipulation at the same time as comprehending the input—that individual differences in such factors as insufficient L2 proficiency and/or cognitive processing limitations, like speed and working memory influence L2 learners’ real-time processing of the target input. Under these circumstances, L2 learners of for instance, a higher working memory capacity or greater proficiency are more likely to process the input like native speakers. Otherwise, learners appear to shallow process the input, irrespective of individual variability.
  • Roberts, L. (2012). Sentence and discourse processing in second language comprehension. In C. A. Chapelle (Ed.), Encyclopedia of Applied Linguistics. Chicester: Wiley-Blackwell. doi:10.1002/9781405198431.wbeal1063.

    Abstract

    n applied linguistics (AL), researchers have always been concerned with second language (L2) learners' knowledge of the target language (TL), investigating the development of TL grammar, vocabulary, and phonology, for instance.
  • Roberts, S. G., & Winters, J. (2012). Social structure and language structure: The new nomothetic approach. Psychology of Language and Communication, 16, 89-112. doi:10.2478/v10057-012-0008-6.

    Abstract

    Recent studies have taken advantage of newly available, large-scale, cross-linguistic data and new statistical techniques to look at the relationship between language structure and social structure. These ‘nomothetic’ approaches contrast with more traditional approaches and a tension is observed between proponents of each method. We review some nomothetic studies and point out some challenges that must be overcome. However, we argue that nomothetic approaches can contribute to our understanding of the links between social structure and language structure if they address these challenges and are taken as part of a body of mutually supporting evidence. Nomothetic studies are a powerful tool for generating hypotheses that can go on to be corroborated and tested with experimental and theoretical approaches. These studies are highlighting the effect of interaction on language.
  • Roberts, L. (2012). Review article: Psycholinguistic techniques and resources in second language acquisition research. Second Language Research, 28, 113-127. doi:10.1177/0267658311418416.

    Abstract

    In this article, a survey of current psycholinguistic techniques relevant to second language acquisition (SLA) research is presented. I summarize many of the available methods and discuss their use with particular reference to two critical questions in current SLA research: (1) What does a learner’s current knowledge of the second language (L2) look like?; (2) How do learners process the L2 in real time? The aim is to show how psycholinguistic techniques that capture real-time (online) processing can elucidate such questions; to suggest methods best suited to particular research topics, and types of participants; and to offer practical information on the setting up of a psycholinguistics laboratory.
  • De Roeck, A., Van den Bossche, T., Van der Zee, J., Verheijen, J., De Coster, W., Van Dongen, J., Dillen, L., Baradaran-Heravi, Y., Heeman, B., Sanchez-Valle, R., Lladó, A., Nacmias, B., Sorbi, S., Gelpi, E., Grau-Rivera, O., Gómez-Tortosa, E., Pastor, P., Ortega-Cubero, S., Pastor, M. A., Graff, C. and 25 moreDe Roeck, A., Van den Bossche, T., Van der Zee, J., Verheijen, J., De Coster, W., Van Dongen, J., Dillen, L., Baradaran-Heravi, Y., Heeman, B., Sanchez-Valle, R., Lladó, A., Nacmias, B., Sorbi, S., Gelpi, E., Grau-Rivera, O., Gómez-Tortosa, E., Pastor, P., Ortega-Cubero, S., Pastor, M. A., Graff, C., Thonberg, H., Benussi, L., Ghidoni, R., Binetti, G., de Mendonça, A., Martins, M., Borroni, B., Padovani, A., Almeida, M. R., Santana, I., Diehl-Schmid, J., Alexopoulos, P., Clarimon, J., Lleó, A., Fortea, J., Tsolaki, M., Koutroumani, M., Matěj, R., Rohan, Z., De Deyn, P., Engelborghs, S., Cras, P., Van Broeckhoven, C., Sleegers, K., & European Early-Onset Dementia (EU EOD) consortium (2017). Deleterious ABCA7 mutations and transcript rescue mechanisms in early onset Alzheimer’s disease. Acta Neuropathologica, 134, 475-487. doi:10.1007/s00401-017-1714-x.

    Abstract

    Premature termination codon (PTC) mutations in the ATP-Binding Cassette, Sub-Family A, Member 7 gene (ABCA7) have recently been identified as intermediate-to-high penetrant risk factor for late-onset Alzheimer’s disease (LOAD). High variability, however, is observed in downstream ABCA7 mRNA and protein expression, disease penetrance, and onset age, indicative of unknown modifying factors. Here, we investigated the prevalence and disease penetrance of ABCA7 PTC mutations in a large early onset AD (EOAD)—control cohort, and examined the effect on transcript level with comprehensive third-generation long-read sequencing. We characterized the ABCA7 coding sequence with next-generation sequencing in 928 EOAD patients and 980 matched control individuals. With MetaSKAT rare variant association analysis, we observed a fivefold enrichment (p = 0.0004) of PTC mutations in EOAD patients (3%) versus controls (0.6%). Ten novel PTC mutations were only observed in patients, and PTC mutation carriers in general had an increased familial AD load. In addition, we observed nominal risk reducing trends for three common coding variants. Seven PTC mutations were further analyzed using targeted long-read cDNA sequencing on an Oxford Nanopore MinION platform. PTC-containing transcripts for each investigated PTC mutation were observed at varying proportion (5–41% of the total read count), implying incomplete nonsense-mediated mRNA decay (NMD). Furthermore, we distinguished and phased several previously unknown alternative splicing events (up to 30% of transcripts). In conjunction with PTC mutations, several of these novel ABCA7 isoforms have the potential to rescue deleterious PTC effects. In conclusion, ABCA7 PTC mutations play a substantial role in EOAD, warranting genetic screening of ABCA7 in genetically unexplained patients. Long-read cDNA sequencing revealed both varying degrees of NMD and transcript-modifying events, which may influence ABCA7 dosage, disease severity, and may create opportunities for therapeutic interventions in AD. © 2017, The Author(s).

    Additional information

    Supplementary material
  • Roelofs, A., & Shitova, N. (2017). Importance of response time in assessing the cerebral dynamics of spoken word production: Comment on Munding et al. Language, Cognition and Neuroscience, 32(8), 1064-1067. doi:10.1080/23273798.2016.1274415.
  • Rohrer, J. D., Sauter, D., Scott, S. K., Rossor, M. N., & Warren, J. D. (2012). Receptive prosody in nonfluent primary progressive aphasias. Cortex, 48, 308-316. doi:10.1016/j.cortex.2010.09.004.

    Abstract

    Introduction: Prosody has been little studied in the primary progressive aphasias (PPA), a group of neurodegenerative disorders presenting with progressive language impairment. Methods: Here we conducted a systematic investigation of different dimensions of prosody processing (acoustic, linguistic and emotional) in a cohort of 19 patients with nonfluent PPA syndromes (eleven with progressive nonfluent aphasia, PNFA; five with progressive logopenic/phonological aphasia, LPA; three with progranulinassociated aphasia, GRN-PPA) compared with a group of healthy older controls. Voxel based morphometry (VBM) was used to identify neuroanatomical associations of prosodic functions. Results: Broadly comparable receptive prosodic deficits were exhibited by the PNFA, LPA and GRN-PPA subgroups, for acoustic, linguistic and affective dimensions of prosodic analysis. Discrimination of prosodic contours was significantly more impaired than discrimination of simple acoustic cues, and discrimination of intonation was significantly more impaired than discrimination of stress at phrasal level. Recognition of vocal emotions was more impaired than recognition of facial expressions for the PPA cohort, and recognition of certain emotions (in particular, disgust and fear) was relatively more impaired than others (sadness, surprise). VBM revealed atrophy associated with acoustic and linguistic prosody impairments in a distributed cortical network including areas likely to be involved in perceptual analysis of vocalisations (posterior temporal and inferior parietal cortices) and working memory (fronto-parietal circuitry). Grey matter associations of emotional prosody processing were identified for negative emotions (disgust, fear, sadness) in a broadly overlapping network of frontal, temporal, limbic and parietal areas. Conclusions: Taken together, the findings show that receptive prosody is impaired in nonfluent PPA syndromes, and suggest a generic early perceptual deficit of prosodic signal analysis with additional relatively specific deficits (recognition of particular vocal emotions).
  • Rojas-Berscia, L. M., & Shi, J. A. (2017). Hakka as spoken in Suriname. In K. Yakpo, & P. C. Muysken (Eds.), Boundaries and bridges: Language contact in multilingual ecologies (pp. 179-196). Berlin: De Gruyter.
  • Rojas-Berscia, L. M., & Bourdeau, C. (2017). Optional or syntactic ergativity in Shawi? Distribution and possible origins. Linguistic discovery, 15(1), 50-65. doi:10.1349/PS1.1537-0852.A.481.

    Abstract

    In this article we provide a preliminary description and analysis of the most common ergative
    constructions in Shawi, a Kawapanan language spoken in Northwestern Amazonia. We offer a
    comparison with its sister language, Shiwilu, for which an optional ergativity-marking pattern has
    been claimed (Valenzuela, 2008, 2011). There is not enough evidence, however, to claim the exact
    same for Shawi. Ergativity in the language is driven by mere syntactic motivations. One of the
    most common constituent orders in the language where the ergative marker is obligatory is OAV.
    We close the article with a tentative proposal on the passive origins of OAV ergative constructions
    in the language, via a by-phrase-like incorporation, and eventual grammaticalisation, resorting
    to the formal syntactic theory known as Semantic Syntax (Seuren, 1996).
  • Romeo, G., Gialluisi, A., & Pippucci, T. (2012). Consanguinity studies and genome research in Mediterranean developing countries. Middle East Journal of Medical Genetics, 1(1), 1-4. doi:10.1097/01.MXE.0000407743.00299.0f.

    Abstract

    Purpose: Classical studies of consanguinity have taken advantage of the relationship between the gene frequency for a rare autosomal recessive disorder (q) and the proportion of offspring of consanguineous couples who are affected with the same disorder. The Swedish geneticist Gunnar Dahlberg provided the first theoretical formulation of the inverse correlation between q and the increase in frequency of consanguineous marriages among parents of affected children with respect to marriages of the same degree in the general population. Today it is possible to develop a new approach for estimating q using mutation analysis of affected offspring of consanguineous couples. The rationale of this new approach is based on the possibility that the child born of consanguineous parents carries the same mutation in double copy (true homozygosity) or alternatively carries two different mutations in the same gene (compound heterozygosity). In the latter case the two mutations must have been inherited through two different ancestors of the consanguineous parents (in this case the two mutated alleles are not ‘identical by descent’). Patients and methods: Data from the offspring of consanguineous marriages affected with different autosomal recessive disorders were collected by different molecular diagnostic laboratories in Mediterranean countries and in particular in Arab countries, where the frequencies of consanguineous marriages is high, show the validity of this approach. Results: The proportion of compound heterozygotes among children affected with a given autosomal recessive disorder, born of consanguineous parents, can be taken as an indirect indicator of the frequency of the same disorder in the general population. Identification of the responsible gene (and mutations) is the necessary condition to apply this method. Conclusion: The following paper from our group relevant for the present review is being published: Alessandro Gialluisi, Tommaso Pippucci, Yair Anikster, Ugur Ozbek, Myrna Medlej-Hashim, Andre Megarbane and Giovanni Romeo: Estimating the allele frequency of autosomal recessive disorders through mutational records and consanguinity: the homozygosity index (HI) annals of human genetics (in press; acceptance date 1 November 2011) In addition, our experimental data show that the causative mutation for a rare autosomal recessive disorder can be identified by whole exome sequencing of only two affected children of first cousins parents, as described in the following recent paper: Pippucci T, Benelli M, Magi A, Martelli PL, Magini P, Torricelli F, Casadio R, Seri M, Romeo G EX-HOM (EXome HOMozygosity): A Proof of Principle. Hum Hered 2011; 72:45-53.
  • Rommers, J., Dickson, D. S., Norton, J. J. S., Wlotko, E. W., & Federmeier, K. D. (2017). Alpha and theta band dynamics related to sentential constraint and word expectancy. Language, Cognition and Neuroscience, 32(5), 576-589. doi:10.1080/23273798.2016.1183799.

    Abstract

    Despite strong evidence for prediction during language comprehension, the underlying
    mechanisms, and the extent to which they are specific to language, remain unclear. Re-analysing
    an event-related potentials study, we examined responses in the time-frequency domain to
    expected and unexpected (but plausible) words in strongly and weakly constraining sentences,
    and found results similar to those reported in nonverbal domains. Relative to expected words,
    unexpected words elicited an increase in the theta band (4–7 Hz) in strongly constraining
    contexts, suggesting the involvement of control processes to deal with the consequences of
    having a prediction disconfirmed. Prior to critical word onset, strongly constraining sentences
    exhibited a decrease in the alpha band (8–12 Hz) relative to weakly constraining sentences,
    suggesting that comprehenders can take advantage of predictive sentence contexts to prepare
    for the input. The results suggest that the brain recruits domain-general preparation and control
    mechanisms when making and assessing predictions during sentence comprehension
  • Rommers, J., Meyer, A. S., & Praamstra, P. (2017). Lateralized electrical brain activity reveals covert attention allocation during speaking. Neuropsychologia, 95, 101-110. doi:10.1016/j.neuropsychologia.2016.12.013.

    Abstract

    Speakers usually begin to speak while only part of the utterance has been planned. Earlier work has shown that speech planning processes are reflected in speakers’ eye movements as they describe visually presented objects. However, to-be-named objects can be processed to some extent before they have been fixated upon, presumably because attention can be allocated to objects covertly, without moving the eyes. The present study investigated whether EEG could track speakers’ covert attention allocation as they produced short utterances to describe pairs of objects (e.g., “dog and chair”). The processing difficulty of each object was varied by presenting it in upright orientation (easy) or in upside down orientation (difficult). Background squares flickered at different frequencies in order to elicit steady-state visual evoked potentials (SSVEPs). The N2pc component, associated with the focusing of attention on an item, was detectable not only prior to speech onset, but also during speaking. The time course of the N2pc showed that attention shifted to each object in the order of mention prior to speech onset. Furthermore, greater processing difficulty increased the time speakers spent attending to each object. This demonstrates that the N2pc can track covert attention allocation in a naming task. In addition, an effect of processing difficulty at around 200–350 ms after stimulus onset revealed early attention allocation to the second to-be-named object. The flickering backgrounds elicited SSVEPs, but SSVEP amplitude was not influenced by processing difficulty. These results help complete the picture of the coordination of visual information uptake and motor output during speaking.
  • Rose, M. L., Mok, Z., & Sekine, K. (2017). Communicative effectiveness of pantomime gesture in people with aphasia. International Journal of Language & Communication disorders, 52(2), 227-237. doi:10.1111/1460-6984.12268.

    Abstract

    Background: Human communication occurs through both verbal and visual/motoric modalities. Simultaneous
    conversational speech and gesture occurs across all cultures and age groups. When verbal communication is
    compromised, more of the communicative load can be transferred to the gesture modality. Although people with
    aphasia produce meaning-laden gestures, the communicative value of these has not been adequately investigated.
    Aims: To investigate the communicative effectiveness of pantomime gesture produced spontaneously by individuals
    with aphasia during conversational discourse.
    Methods & Procedures: Sixty-seven undergraduate students wrote down the messages conveyed by 11 people with
    aphasia that produced pantomime while engaged in conversational discourse. Students were presented with a
    speech-only, a gesture-only and a combined speech and gesture condition and guessed messages in both a free
    description and a multiple-choice task.
    Outcomes & Results: As hypothesized, listener comprehension was more accurate in the combined pantomime
    gesture and speech condition as compared with the gesture- or speech-only conditions. Participants achieved
    greater accuracy in the multiple-choice task as compared with the free-description task, but only in the gestureonly
    condition. The communicative effectiveness of the pantomime gestures increased as the fluency of the
    participants with aphasia decreased.
    Conclusions&Implications: These results indicate that when pantomime gesture was presented with aphasic speech,
    the combination had strong communicative effectiveness. Future studies could investigate how pantomimes can
    be integrated into interventions for people with aphasia, particularly emphasizing elicitation of pantomimes in as
    natural a context as possible and highlighting the opportunity for efficient message repair.
  • Rossano, F. (2012). Gaze behavior in face-to-face interaction. PhD Thesis, Radboud University Nijmegen, Nijmegen.

    Abstract

    Wat doen onze ogen als we met andere mensen praten? In zijn proefschrift beschrijft Federico Rossano hoe mensen hun ogen gebruiken tijdens face-to-face interacties. Onze oogbewegingen blijken opvallend geordend en voorspelbaar: zo is het bijvoorbeeld mogelijk om met uitsluitend de ogen een reactie uit te lokken als de gesprekspartner niet direct reageert. Ook wanneer bijvoorbeeld een vraag-antwoordreeks ten einde loopt, coördineren gespreksdeelnemers hun oogbewegingen op een specifieke manier. Daarnaast heeft luisteren naar een verhaal of luisteren naar een vraag verschillende implicaties voor oogbewegingen. Dit proefschrift bevat daarom belangrijke informatie voor experts op het gebied van kunstmatige intelligentie en computerwetenschappers: de voorspelbaarheid en reproduceerbaarheid van natuurlijke oogbewegingen kan onder andere gebruikt worden bij de ontwikkeling van robots of avatars.

    Additional information

    full text via Radboud Repository
  • Rossi, G. (2012). Bilateral and unilateral requests: The use of imperatives and Mi X? interrogatives in Italian. Discourse Processes, 49(5), 426-458. doi:10.1080/0163853X.2012.684136.

    Abstract

    When making requests, speakers need to select from a range of alternative forms available to them. In a corpus of naturally-occurring Italian interaction, the two most common formats chosen are imperatives and an interrogative construction that includes a turn-initial dative pronoun mi “to/for me”, which I refer to as the Mi X? format. In informal contexts, both forms are used to request low-cost actions for here-and-now purposes. Building on this premise, this paper argues for a functional distinction between them. The imperative format is selected to implement bilateral requests, that is, to request actions that are integral to an already established joint project between requester and recipient. On the other hand, the Mi X? format is a vehicle for unilateral requests, which means that it is used for enlisting help in new, self-contained projects that are launched in the interest of the speaker as an individual.
  • Rossi, G., & Zinken, J. (2017). Social agency and grammar. In N. J. Enfield, & P. Kockelman (Eds.), Distributed agency: The sharing of intention, cause, and accountability (pp. 79-86). New York: Oxford University Press.

    Abstract

    One of the most conspicuous ways in which people distribute agency among each other is by asking another for help. Natural languages give people a range of forms to do this, the distinctions among which have consequences for how agency is distributed. Forms such as imperatives (e.g. ‘pass the salt’) and recurrent types of interrogatives (e.g. ‘can you pass the salt?’) designate another person as the doer of the action. In contrast to this, impersonal deontic statements (e.g. ‘it is necessary to get the salt’) express the need for an action without tying it to any particular individual. This can generate interactions in which the identity of the doer must be sorted out among participants, allowing us to observe the distribution of agency in vivo. The case of impersonal deontic statements demonstrates the importance of grammar as a resource for managing human action and sociality.
  • Rossi, G. (2017). Secondary and deviant uses of the imperative for requesting in Italian. In M.-L. Sorjonen, L. Raevaara, & E. Couper-Kuhlen (Eds.), Imperative turns at talk: The design of directives in action (pp. 103-137). Amsterdam: John Benjamins.

    Abstract

    The use of the imperative for requesting has been mostly explained on the basis of estimations of social distance, relative power, and entitlement. More recent research, however, has identified other selection factors to do with the functional and sequential relation of the action requested to the trajectory of the ongoing interaction. In everyday activities among family and friends, the imperative is typically warranted by an earlier commitment of the requestee to a joint project or shared goal which the action requested contributes to. The chapter argues this to be the primary use of the imperative for requesting in Italian informal interaction, and distinguishes it from other uses of the imperative that do not conform to the predominant pattern. These other uses are of two kinds: (i) secondary, that is, less frequent and formally marked imperatives that still orient to social-interactional conditions supporting an expectation of compliance, and (ii) deviant, where the imperative is selected in deliberate violation of the social-interactional conditions that normally support it, attracting special attention and accomplishing more than just requesting. This study extends prior findings on the functional distribution of imperative requests and makes a point of relating and classifying distinct uses of a same form of action, offering new insights into more general aspects of language use such as markedness and normativity.
  • Rougier​, N. P., Hinsen, K., Alexandre, F., Arildsen, T., Barba, L. A., Benureau, F. C. Y., Brown, C. T., De Buyl, P., Caglayan, O., Davison, A. P., Delsuc, M.-A., Detorakis, G., Diem, A. K., Drix, D., Enel, P., Girard, B., Guest, O., Hall, M. G., Henriques, R. N., Hinaut, X. and 25 moreRougier​, N. P., Hinsen, K., Alexandre, F., Arildsen, T., Barba, L. A., Benureau, F. C. Y., Brown, C. T., De Buyl, P., Caglayan, O., Davison, A. P., Delsuc, M.-A., Detorakis, G., Diem, A. K., Drix, D., Enel, P., Girard, B., Guest, O., Hall, M. G., Henriques, R. N., Hinaut, X., Jaron, K. S., Khamassi, M., Klein, A., Manninen, T., Marchesi, P., McGlinn, D., Metzner, C., Petchey, O., Plesser, H. E., Poisot, T., Ram, K., Ram, Y., Roesch, E., Rossant, C., Rostami, V., Shifman, A., Stachelek, J., Stimberg, M., Stollmeier, F., Vaggi, F., Viejo, G., Vitay, J., Vostinar, A. E., Yurchak, R., & Zito, T. (2017). Sustainable computational science. PeerJ Computer Science, 3: e142. doi:10.7717/peerj-cs.142.

    Abstract

    Computer science offers a large set of tools for prototyping, writing, running, testing, validating, sharing and reproducing results; however, computational science lags behind. In the best case, authors may provide their source code as a compressed archive and they may feel confident their research is reproducible. But this is not exactly true. James Buckheit and David Donoho proposed more than two decades ago that an article about computational results is advertising, not scholarship. The actual scholarship is the full software environment, code, and data that produced the result. This implies new workflows, in particular in peer-reviews. Existing journals have been slow to adapt: source codes are rarely requested and are hardly ever actually executed to check that they produce the results advertised in the article. ReScience is a peer-reviewed journal that targets computational research and encourages the explicit replication of already published research, promoting new and open-source implementations in order to ensure that the original research can be replicated from its description. To achieve this goal, the whole publishing chain is radically different from other traditional scientific journals. ReScience resides on GitHub where each new implementation of a computational study is made available together with comments, explanations, and software tests.
  • Rowbotham, S., Holler, J., Lloyd, D., & Wearden, A. (2012). How do we communicate about pain? A systematic analysis of the semantic contribution of co-speech gestures in pain-focused conversations. Journal of Nonverbal Behavior, 36, 1-21. doi:10.1007/s10919-011-0122-5.

    Abstract

    The purpose of the present study was to investigate co-speech gesture use during communication about pain. Speakers described a recent pain experience and the data were analyzed using a ‘semantic feature approach’ to determine the distribution of information across gesture and speech. This analysis revealed that a considerable proportion of pain-focused talk was accompanied by gestures, and that these gestures often contained more information about pain than speech itself. Further, some gestures represented information that was hardly represented in speech at all. Overall, these results suggest that gestures are integral to the communication of pain and need to be attended to if recipients are to obtain a fuller understanding of the pain experience and provide help and support to pain sufferers.
  • Rowland, C. F., & Monaghan, P. (2017). Developmental psycholinguistics teaches us that we need multi-method, not single-method, approaches to the study of linguistic representation. Commentary on Branigan and Pickering "An experimental approach to linguistic representation". Behavioral and Brain Sciences, 40: e308. doi:10.1017/S0140525X17000565.

    Abstract

    In developmental psycholinguistics, we have, for many years,
    been generating and testing theories that propose both descriptions of
    adult representations and explanations of how those representations
    develop. We have learnt that restricting ourselves to any one
    methodology yields only incomplete data about the nature of linguistic
    representations. We argue that we need a multi-method approach to the
    study of representation.
  • Rowland, C. F., Chang, F., Ambridge, B., Pine, J. M., & Lieven, E. V. (2012). The development of abstract syntax: Evidence from structural priming and the lexical boost. Cognition, 125(1), 49-63. doi:10.1016/j.cognition.2012.06.008.

    Abstract

    Structural priming paradigms have been influential in shaping theories of adult sentence processing and theories of syntactic development. However, until recently there have been few attempts to provide an integrated account that explains both adult and developmental data. The aim of the present paper was to begin the process of integration by taking a developmental approach to structural priming. Using a dialog comprehension-to-production paradigm, we primed participants (3–4 year olds, 5–6 year olds and adults) with double object datives (Wendy gave Bob a dog) and prepositional datives (Wendy gave a dog to Bob). Half the participants heard the same verb in prime and target (e.g. gave–gave) and half heard a different verb (e.g. sent–gave). The results revealed substantial differences in the magnitude of priming across development. First, there was a small but significant abstract structural priming effect across all age groups, but this effect was larger in younger children than in older children and adults. Second, adding verb overlap between prime and target prompted a large, significant increase in the priming effect in adults (a lexical boost), a small, marginally significant increase in the older children and no increase in the youngest children. The results support the idea that abstract syntactic knowledge can develop independently of verb-specific frames. They also support the idea that different mechanisms may be needed to explain abstract structural priming and lexical priming, as predicted by the implicit learning account (Bock, K., & Griffin, Z. M. (2000). The persistence of structural priming: Transient activation or implicit learning? Journal of Experimental Psychology – General, 129(2), 177–192). Finally, the results illustrate the value of an integrative developmental approach to both theories of adult sentence processing and theories of syntax acquisition.
  • Rubio-Fernández, P. (2017). Can we forget what we know in a false‐belief task? An investigation of the true‐belief default. Cognitive Science: a multidisciplinary journal, 41, 218-241. doi:10.1111/cogs.12331.

    Abstract

    It has been generally assumed in the Theory of Mind literature of the past 30 years that young children fail standard false-belief tasks because they attribute their own knowledge to the protagonist (what Leslie and colleagues called a “true-belief default”). Contrary to the traditional view, we have recently proposed that the children's bias is task induced. This alternative view was supported by studies showing that 3 year olds are able to pass a false-belief task that allows them to focus on the protagonist, without drawing their attention to the target object in the test phase. For a more accurate comparison of these two accounts, the present study tested the true-belief default with adults. Four experiments measuring eye movements and response inhibition revealed that (a) adults do not have an automatic tendency to respond to the false-belief question according to their own knowledge and (b) the true-belief response need not be inhibited in order to correctly predict the protagonist's actions. The positive results observed in the control conditions confirm the accuracy of the various measures used. I conclude that the results of this study undermine the true-belief default view and those models that posit mechanisms of response inhibition in false-belief reasoning. Alternatively, the present study with adults and recent studies with children suggest that participants' focus of attention in false-belief tasks may be key to their performance.
  • Rubio-Fernández, P. (2017). Why are bilinguals better than monolinguals at false-belief tasks? Psychonomic Bulletin & Review, 24, 987-998. doi:10.3758/s13423-016-1143-1.

    Abstract

    In standard Theory of Mind tasks, such as the Sally-Anne, children have to predict the behaviour of a mistaken character, which requires attributing the character a false belief. Hundreds of developmental studies in the last 30 years have shown that children under 4 fail standard false-belief tasks. However, recent studies have revealed that bilingual children and adults outperform their monolingual peers in this type of tasks. Bilinguals’ better performance in false-belief tasks has generally been interpreted as a result of their better inhibitory control; that is, bilinguals are allegedly better than monolinguals at inhibiting the erroneous response to the false-belief question. In this review, I challenge the received view and argue instead that bilinguals’ better false-belief performance results from more effective attention management. This challenge ties in with two independent lines of research: on the one hand, recent studies on the role of attentional processes in false-belief tasks with monolingual children and adults; and on the other, current research on bilinguals’ performance in different Executive Function tasks. The review closes with an exploratory discussion of further benefits of bilingual cognition to Theory of Mind development and pragmatics, which may be independent from Executive Function.
  • Rubio-Fernández, P., Geurts, B., & Cummins, C. (2017). Is an apple like a fruit? A study on comparison and categorisation statements. Review of Philosophy and Psychology, 8, 367-390. doi:10.1007/s13164-016-0305-4.

    Abstract

    Categorisation models of metaphor interpretation are based on the premiss that categorisation statements (e.g., ‘Wilma is a nurse’) and comparison statements (e.g., ‘Betty is like a nurse’) are fundamentally different types of assertion. Against this assumption, we argue that the difference is merely a quantitative one: ‘x is a y’ unilaterally entails ‘x is like a y’, and therefore the latter is merely weaker than the former. Moreover, if ‘x is like a y’ licenses the inference that x is not a y, then that inference is a scalar implicature. We defend these claims partly on theoretical grounds and partly on the basis of experimental evidence. A suite of experiments indicates both that ‘x is a y’ unilaterally entails that x is like a y, and that in several respects the non-y inference behaves exactly as one should expect from a scalar implicature. We discuss the implications of our view of categorisation and comparison statements for categorisation models of metaphor interpretation.
  • Rubio-Fernández, P. (2017). The director task: A test of Theory-of-Mind use or selective attention? Psychonomic Bulletin & Review, 24, 1121-1128. doi:10.3758/s13423-016-1190-7.

    Abstract

    Over two decades, the director task has increasingly been employed as a test of the use of Theory of Mind in communication, first in psycholinguistics and more recently in social cognition research. A new version of this task was designed to test two independent hypotheses. First, optimal performance in the director task, as established by the standard metrics of interference, is possible by using selective attention alone, and not necessarily Theory of Mind. Second, pragmatic measures of Theory-of-Mind use can reveal that people actively represent the director’s mental states, contrary to recent claims that they only use domain-general cognitive processes to perform this task. The results of this study support both hypotheses and provide a new interactive paradigm to reliably test Theory-of-Mind use in referential communication.
  • Rubio-Fernández, P., Jara-Ettinger, J., & Gibson, E. (2017). Can processing demands explain toddlers’ performance in false-belief tasks? [Response to Setoh et al. (2016, PNAS)]. Proceedings of the National Academy of Sciences of the United States of America, 114(19): E3750. doi:10.1073/pnas.1701286114.
  • Rubio-Fernández, P., & Glucksberg, S. (2012). Reasoning about other people's beliefs: Bilinguals have an advantage. Journal of Experimental Psychology: Learning, Memory, and Cognition, 38(1), 211-217. doi:10.1037/a0025162.

    Abstract

    Bilingualism can have widespread cognitive effects. In this article we investigate whether bilingualism might have an effect on adults' abilities to reason about other people's beliefs. In particular, we tested whether bilingual adults might have an advantage over monolingual adults in false-belief reasoning analogous to the advantage that has been observed with bilingual children. Using a traditional false-belief task coupled with an eye-tracking technique, we found that adults in general suffer interference from their own perspective when reasoning about other people's beliefs. However, bilinguals are reliably less susceptible to this egocentric bias than are monolinguals. Moreover, performance on the false-belief task significantly correlated with performance on an executive control task. We argue that bilinguals' early sociolinguistic sensitivity and enhanced executive control may account for their advantage in false-belief reasoning.
  • De Ruiter, J. P., Noordzij, M. L., Newman-Norlund, S., Newman-Norlund, R., Hagoort, P., Levinson, S. C., & Toni, I. (2012). Exploring the cognitive infrastructure of communication. In B. Galantucci, & S. Garrod (Eds.), Experimental Semiotics: Studies on the emergence and evolution of human communication (pp. 51-78). Amsterdam: Benjamins.

    Abstract

    Human communication is often thought about in terms of transmitted messages in a conventional code like a language. But communication requires a specialized interactive intelligence. Senders have to be able to perform recipient design, while receivers need to be able to do intention recognition, knowing that recipient design has taken place. To study this interactive intelligence in the lab, we developed a new task that taps directly into the underlying abilities to communicate in the absence of a conventional code. We show that subjects are remarkably successful communicators under these conditions, especially when senders get feedback from receivers. Signaling is accomplished by the manner in which an instrumental action is performed, such that instrumentally dysfunctional components of an action are used to convey communicative intentions. The findings have important implications for the nature of the human communicative infrastructure, and the task opens up a line of experimentation on human communication.

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