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One major issue in the accomplishment of contrasts in conversation is lexical choice of items which carry the semantic Ioad of the two states of affair which are represented as being opposed to one another. These items or expressions are co-selected to be understood as being contrastively related to each other. In this paper, it is argued that the activity of contrasting itself provides them with a specific local opposite meaning which they would not obtain in other contexts. Practices of contrastingare thus seen as an example of conversational activities which creatively and systematically affect situated meanings. Basedon data from various genres, such as meetings, mediation sessions and conversations, the paper discusses two practices of contrasting, their sequential construction and their interpretative effects. It is concluded that the interpretative effects of conversational contrasting rest on the sequential deployment oflinguistic resources and on the cognitive procedures of frame-based interpretation and constructing a maximally contrastive interpretation for the co-selected expressions.
In this paper, I argue against the analyses of the there-construction by Moro (1997) and Hoekstra & Mulder (1990) and for an analysis in the frame of Williams (1994), Hazout (2004) from two angles. First of all, Moro and Hoekstra & Mulder do not correctly predict the behaviour of the there-construction under wh-movement; second, from a semantic point of view, the predicate in the small clause structure is the postverbal DP and not there. Alternatively, I follow the proposal by Williams (1994) in which there is the subject of predication and I will point out a direction to analyse the problematic wh-movement data within this framework.
An approach to the unification of XML (Extensible Markup Language) documents with identical textual content and concurrent markup in the framework of XML-based multi-layer annotation is introduced. A Prolog program allows the possible relationships between element instances on two annotation layers that share PCDATA to be explored and also the computing of a target node hierarchy for a well-formed, merged XML document. Special attention is paid to identity conflicts between element instances, for which a default solution that takes into account metarelations that hold between element types on the different annotation layers is provided. In addition, rules can be specified by a user to prescribe how identity conflicts should be solved for certain element types.
HMMs are the dominating technique used in speech recognition today since they perform well in overall phone recognition. In this paper, we show the comparison of HMM methods and machine learning techniques, such as neural networks, decision trees and ensemble classifiers with boosting and bagging in the task of articulatory-acoustic feature classification. The experimental results show that HMM methods work well for the classification of such features as vocalic. However, decision tree and bagging outperform HMMs for the fricative classification task since the data skewness is much higher than for the feature vocalic classification task. This demonstrates that HMMs do not perform as well as decision trees and bagging in highly skewed data settings.
This paper is concerned with a novel methodology for generating phonetic questions used in tree-based state tying for speech recognition. In order to implement a speech recognition system, language-dependent knowledge which goes beyond annotated material is usually required. The approach presented here generates phonetic questions for decision trees are based on a feature table that summarizes the articulatory characteristics of each sound. On the one hand, this method allows better language-specific triphone models to be defined given only a feature-table as linguistic input. On the other hand, the feature-table approach facilitates efficient definition of triphone models for other languages since again only a feature table for this language is required. The approach is exemplified with speech recognition systems for English and Thai.
The establishment of Scottish Parliament: What difference does it make for the Gaelic language?
(2004)
After the Labour government takeover in Westminster in 1997, followed by the referendum on establishing a Scottish Parliament, hopes for more support for the Gaelic language in Scotland were nourished. In the election campaign to the Scottish Parliament in 1999, all parties which were elected to Parliament had mentioned Gaelic, and all parties except the Conservatives had promised an increase in support for Gaelic (cf. Scottish parties’ election manifestoes, obtainable from the parties or via their web sites). Now that the new Scottish Executive, formed by Labour and the Liberal Democrats, has been in power for some time, it is interesting to see if these hopes have been fulfilled.
The two core questions of this paper will thus be:
1. What is the status of Scottish Gaelic after the devolution process?
2. What difference does the existence of the Scottish Parliament make for the status of Gaelic?
It is important to note that this paper refers to language status and Gaelic’s position from a mere language policy perspective. The results are mostly based on an analysis of Parliament documents, the method of investigation being strictly philological. Empirical research has not yet been undertaken. The reference time of my paper will be the first year of Scottish Parliament and the new executive. Even though this is an arbitrary time break, the first year is a symbolic point of time. As the first legislation period as a possibly more natural reference point is not over yet, this choice seems legitimate.
In order to determine priorities for the improvement of timing in synthetic speech this study looks at the role of segmental duration prediction and the role of phonological symbolic representation in the perceptual quality of a text-to-speech system. In perception experiments using German speech synthesis, two standard duration models (Klatt rules and CART) were tested. The input to these models consisted of a symbolic representation which was either derived from a database or a text-to-speech system. Results of the perception experiments show that different duration models can only be distinguished when the symbolic representation is appropriate. Considering the relative importance of the symbolic representation, post-lexical segmental rules were investigated with the outcome that listeners differ in their preferences regarding the degree of segmental reduction. As a conclusion, before fine-tuning the duration prediction, it is important to derive an appropriate phonological symbolic representation in order to improve timing in synthetic speech.
The analysis which we present in this paper is part of an ethnographically based sociolinguistic study of various immigrant youth groups and their social style of communication. The study describes the wide variety of migrant groups and their socio-cultural orientation in relation to different migrant worlds as well as to different social worlds of the dominant German society. The development of a social style of communication is grounded in the groups’ socio-cultural orientation as well as in the perception of themselves in relation to relevant others. The main purpose of our study is to analyse the construction of the groups’ social identity in terms of their social style of communication.
In the context of the HyTex project, our goal is to convert a corpus into a hypertext, basing conversion strategies on annotations which explicitly mark up the text-grammatical structures and relations between text segments. Domain-specific knowledge is represented in the form of a knowledge net, using topic maps. We use XML as an interchange format. In this paper, we focus on a declarative rule language designed to express conversion strategies in terms of text-grammatical structures and hypertext results. The strategies can be formulated in a concise formal syntax which is independend of the markup, and which can be transformed automatically into executable program code.
In this chapter, emotions are not regarded primarily as internal-psychological phenomena, but as socially proscribed and formed entities, which are constituted in accordance with social rules of emotionality and which are manifested, interpreted, and processed together communicatively in the interaction for definite purposes by the persons involved. In the elaboration of such an interactive conception of emotionality, the following aspects are treated: the value of emotionality in linguistic theories; emotions as a specific form of experiencing; the rules of emotionality; communication of emotions as transmission of evaluations; practices of manifestation, interpretation and processing of emotions in the communication process; fundamental interrelations between emotions and communication behavior; and methodology of the analysis of emotions and emotionality in specific conversation types. Finally, the developed theoretical apparatus in the analysis of two short conversation sections is elucidated.
The main point of this chapter is to demonstrate how a speaker’s concept of his/her professional role can be inferred from his/her perspectival work (perspective setting and relating different perspectives to one another) in professional encounters. Thereby some risks of complex perspectival work in discourse will become manifest which result - at one point in the talk - in perspectival inconsistency, revealing a deeply grounded social problem for the speaker. This will be examined in the framework of a rhetorical conversation analysis.
Analyses of jaw movement(obtained by Electromagnetic Articulography) and acoustics show that loud speech is an intricate phenomenon. Besides involving higher intensity and subglottal pressure it affects jaw movements as well as fundamental frequency and especially first formants. It is argued that all these effects serve the purpose of enhancing perceptual salience.
When a noise verb is used to indicate verbal communication, factors from both the source domain of the verb (perception) and the target domain (communication) play a role in determining the argument structure of the sentence. While the target domain supplies a syntactic structure, the source domain’s semantics constrain the degree to which that syntactic structure can be exploited. This can be determined by comparing noise verbs in this use with manner-of-communication verbs, which are superficially similar, but native to communication. Data for these two classes of verbs were drawn from the British National Corpus. The data were annotated with frame-semantic markup, as described in the Berkeley FrameNet Project. We compared the presence, type of syntactic realization, and position of the semantically annotated arguments for both classes of verbs. We found that noise and manner verbs show statistically significant differences in these three areas. For instance, noise verbs are more focused on the form of the message than manner verbs: noise verbs appear more frequently with a quoted message. In addition, there are differences other than the complementation patterns: certain noise verbs are biased with respect to speakers’ genders, message types, and even orthography in quoted messages
This paper deals with different views of lexical semantics. The focus is on the relationship between lexical expressions and conceptual components. First the assumptions about lexicalization and decompositionality of concepts shared by the most semanticists are presented, followed by a discussion of the differences between two-level-semantics and one-level-semantics. The final part is concentrated on the interpretation of conceptual components in situations of communication.
We provide a unified account of semantic effects observable in attested examples of the German applicative (‘be-’) construction, e.g. Rollstuhlfahrer Poul Sehachsen aus Kopenhagen will den 1997 erschienenen Wegweiser Handiguide Europa fortführen und zusammen mit Movado Berlin berollen (‘Wheelchair user Poul Schacksen from Copenhagen wants to continue the guide ‘Handiguide Europe’, which came out in 1997, and roll Berlin together with Movado.’). We argue that these effects do not come from lexico-semantic operations on ‘input’ verbs, but are instead the products of a reconciliation procedure in which the meaning of the verb is integrated into the event-structure schema denoted by the applicative construction. We analyze the applicative pattern as an argument-structure construction, in terms of Goldberg (1995). We contrast this approach with that of Brinkmann (1997), in which properties associated with the applicative pattern (e.g. omissibility of the theme argument, holistic interpretation of the goal argument, and planar construal of the location argument) are attributed to general semantico-pragmatic principles. We undermine the generality of the principles as stated, and assert that these properties are instead construction-particular. We further argue that the constructional account provides an elegant model of the valence-creation and valence-augmentation functions of the prefix. We describe the constructional semantics as prototype-based: diverse implications of fee-predications, including iteration, transfer, affectedness, intensity and saturation, derive via regular patterns of semantic extension from the topological concept of coverage.
MRI data of German vowels and consonants was acquired for 9 speakers. In this paper tongue contours for the vowels were analyzed using the three-mode factor analysis technique PARAFAC. After some difficulties, probably related to what constitutes an adequate speaker sample for this three-mode technique to work, a stable two-factor solution was extracted that explained about 90% of the variance. Factor 1 roughly captured the dimension low back to high front; Factor 2 that from mid front to high back. These factors are compared with earlier models based on PARAFAC. These analyses were based on midsagittal contours; the paper concludes by illustrating from coronal and axial sections how non-midline information could be incorporated into this approach.
The vowel quality in some diphthongs of Swabian (an upper german dialect) was determined by measurement of first and second formant values. A minimal contrast could be shown between two different diphthong qualities […], where for Standard German only one is assumed, viz. /ai/. The two diphthong qualities differ only slightly in onset and offset vowel quality, so a better understanding of their relationship was expected from an examination of their dynamic aspects. Our preliminary results suggest that there is indeed a difference in the temporal structure of the two diphthongs.
This paper deals with the distribution of word length in short native mythological and historical Eskimo narrative texts. To my knowledge, no Eskimo‐Aleut data have been the object of quantitative linguistic investigation so far. Due to the strong linguistic and Stylistic homogeneity of the examined texts it was assumed that these texts can be subsumed under a single law of word length distribution, if word length distribution of a text is considered as a function of certain of its properties, such as author, language, and genre. So far, word length distribution in texts of a wide variety of languages and genres has been demonstrated to follow distributions of the compound Poisson family of discrete probability distributions. In view of the morphological idiosyncrasies of the Eskimo language in general, which are responsible for an unusually high mean word length of about 4.5 to 5.2 syllables per word in the texts, it is interesting to see whether Eskimo texts show a significantly different behaviour with respect to word length. The results demonstrate that the Eskimo data employed in this study can be fitted well by the Hyperpoisson distribution. Two further discrete probability distributions will be deduced from certain morphology‐based assumptions about Eskimo. It turns out that most of the Eskimo data can be fitted by these two distributions. The question to what extent these results point to a more grammar‐oriented theory of word length is also discussed.
This paper deals with multiword lexemes (MWLs), focussing on two types of verbal MWLs: verbal idioms and support verb constructions. We discuss the characteristic properties of MWLs, namely nonstandard compositionality, restricted substitutability of components, and restricted morpho-syntactic flexibility, and we show how these properties may cause serious problems during the analysis, generation, and transfer steps of machine translation systems. In order to cope with these problems, MT lexicons need to provide detailed descriptions of MWL properties. We list the types of information which we consider the necessary minimum for a successful processing of MWLs, and report on some feasibility studies aimed at the automatic extraction of German verbal multiword lexemes from text corpora and machine-readable dictionaries.