scholarly journals Verifying Negative Sentences

Author(s):  
Shenshen Wang ◽  
Chao Sun ◽  
Ye Tian ◽  
Richard Breheny

AbstractIn the long history of psycholinguistic research on verifying negative sentences, an often-reported finding is that participants take longer to correctly judge negative sentences true than false, while being faster to judge their positive counterparts true (e.g. Clark & Chase, Cogn Psychol 3(3):472−517, 1972; Carpenter & Just, Psychol Rev 82(1):45–73, 1975). While many linguists and psycholinguists have strongly advocated the idea that the costs and complexity of negation can be explained by appeal to context, context-based approaches have not been able to provide a satisfying account of this polarity*truth-value interaction. By contrast, the alternative theory of negation processing, which says that negation is processed by separately representing the positive, does provide a plausible account. Our proposals provide a means for reconciliation between the two views since we argue that negation is a strong cue to a positive context. Here we present our account of why and when negation is often apparently processed via the positive. We review many of the factors that are seen to be at play in sentence verification involving negation. We present evidence that participants’ adoption of the positive-first procedure in sentence-picture verification tasks is conditioned by context.

2013 ◽  
Vol 15 (4) ◽  
pp. 399-410 ◽  

Memory is an important capacity needed for survival in a changing environment, and its principles are shared across species. These principles have been studied since the inception of behavioral science, and more recently neuroscience has helped understand brain systems and mechanisms responsible for enabling aspects of memory. Here we outline the history of work on memory and its neural underpinning, and describe the major dimensions of memory processing that have been evaluated by cognitive neuroscience, focusing on episodic memory. We present evidence in healthy populations for sex differences-females outperforming in verbal and face memory, and age effects-slowed memory processes with age. We then describe deficits associated with schizophrenia. Impairment in schizophrenia is more severe in patients with negative symptoms-especially flat affect-who also show deficits in measures of social cognition. This evidence implicates medial temporal and frontal regions in schizophrenia.


2016 ◽  
pp. 79-108 ◽  
Author(s):  
Konrad Matyjaszek

The rules of the reservation. On the book Jewish Poland Revisited by Erica Lehrer The paper offers a review of Erica Lehrer’s Jewish Poland Revisited, a publication presenting outcomes of an anthropological research on Jewish-Polish memory projects in Cracow's former Jewish district of Kazimierz. In a discussion of the book's theses, the author critically analyses Lehrer's postulate of 'ethnography of possibility' and the resultant strategy of approval for contemporary Kazimierz as a 'space of encounter' alongside with its rules of participation, imposed by the Polish proprietors of the district on its visitors.The article focuses on two such rules that condition a visitor’s possibility of participation in shrinking public spaces of Kazimierz. First of these laws is discussed as an imperative of abandoning the immediacy of district's physical space and its histories signified by the surviving built environment. Instead, Lehrer introduces a conceptual division of "social" and "physical" spaces, which leads to silencing of otherwise immediately present evidence of the violent past. The second rule is analyzed as a requirement of accepting the contemporary Polish owners’ role of 'brokers" and "purveyors" of Jewish heritage, consequential with an approval of a doubtful legal and moral title to the appropriated spaces.Through focusing on these rules of participation that determine and perpetuate the conditionality of Jewish presence in the space of Kazimierz, the author argues for a necessity of questioning and re-defining the traditional divisions of disciplines that establish conceptual separations of "social" and "built" spaces, as well as for a necessity of a critical outlook on contemporary Central European understandings of "heritage". Such an inquiry is discussed as conditional for overcoming the largely avoided yet still present "heritages" in the history of Polish-Jewish relations: the traditions of violence and exclusion, either social and spatial. Regulamin rezerwatu. O książce Jewish Poland Revisited Eriki LehrerArtykuł stanowi recenzję książki Jewish Poland Revisited Eriki Lehrer, prezentującej wyniki antropologicznych badań na temat żydowsko-polskich projektów pamięci realizowanych w byłej dzielnicy żydowskiej na krakowskim Kazimierzu. Omawiając tezy pracy, autor poddaje krytycznej analizie proponowany przez Lehrer projekt etnografii możliwości i wynikającą z niego strategię akceptacji współczesnego Kazimierza jako przestrzeni spotkania, za którą idzie akceptacja zasad uczestnictwa narzuconych gościom przez polskich zarządców Kazimierza.W artykule rozpatrywane są dwie takie zasady, warunkujące możliwość uczestnictwa gościa w kurczącej się przestrzeni publicznej Kazimierza. Pierwszą z nich autor opisuje jako nakaz porzucenia bezpośrednio dostępnej, fizycznej przestrzeni dzielnicy i niesionych przez nią historii, których znakiem jest ocalała zabudowa. W to miejsce Lehrer wprowadza podział na przestrzeń społeczną i fizyczną, skutkiem czego stłumione zostają ślady brutalnej przeszłości, w przeciwnym razie bezpośrednio obecne. Drugą zasadę autor odtwarza jako wymóg akceptacji roli współczesnych polskich właścicieli jako brokerów i pośredników żydowskiego dziedzictwa, co w konsekwencji pociąga za sobą akceptację ich wątpliwych prawnie i moralnie roszczeń do zawłaszczonej przestrzeni.Skupienie uwagi na regulaminie uczestnictwa, który ustanawia i utrzymuje warunkowy charakter żydowskiej obecności w przestrzeni Kazimierza, prowadzi autora do wniosku o konieczności rewaluacji i redefinicji tradycyjnego rozdziału dyscyplin, który tworzy konceptualny podział na społeczne przestrzenie i architektoniczne obiekty, oraz do krytycznego namysłu nad obowiązującym obecnie w Europie Środkowo-Wschodniej rozumieniem pojęcia „dziedzictwo”. Tego rodzaju poszukiwanie uznaje autor za warunek przezwyciężenia ignorowanego zwykle, choć mimo wszystko obecnego w polsko-żydowskich stosunkach „dziedzictwa”: tradycji przemocy i wykluczenia, tak społecznego, jak i przestrzennego. 


2017 ◽  
Vol 21 (2) ◽  
pp. 227-250 ◽  
Author(s):  
PETER PETRÉ

This article combines methodologies from corpus linguistics with an experimental-like setup more affiliated to psycholinguistic research. The resulting methodology allows us to gain more insight into cognitive motivations of language use in speakers from the past, and consequently to better assess their similarity to present-day speakers (the Uniformitarian Principle). One such cognitive motivation thought to be relevant in the early stages of grammatical constructionalization (grammaticalization) is covered by the evasive concept of ‘extravagance’ (i.e. the desire to talk in such a way that one is noticed). The methodology is tested on the Early Modern English extension of the [be Ving]-construction to progressive uses in present-tense main clauses. It is argued, on the basis of recurrent contextual clues, that [be Ving] in this novel use is motivated by extravagance. Interestingly, a comparison of two speaker/writer generations that are among the earliest to use this innovation with some frequency suggests that the encoding of extravagance shifted between them. At first, extravagance was signalled by coercion of the still stative semantics of [be Ving] into a progressive reading. In the second generation it had become an entrenched characteristic of the construction itself.


1990 ◽  
Vol 21 (2) ◽  
pp. 251-256
Author(s):  
Paul Newman

Internal factors involving phonotactic asymmetries and irregular morphological alternations suggest that final */uu/ in Hausa historically lowered to /oo/ when the preceding syllable contained /aa/, e.g. *kwaacfoo 'frog' < *kwaacfuu. (Note: L tone is indicated by a grave accent, H tone is left unmarked. Long vowels are indicated by double letters.) The aim of this paper is to present evidence supporting this proposal and to suggest implications of the historical vowel change for one of Hausa's many plural formations, the ablaut plural. (For background studies on the history of vowels in Hausa and Chadic, see Barreteau [1987], Frajzyngier [1986], Newman [l979b], Parsons [1970], Schuh [1984], and Wolff [1983].)


2012 ◽  
Vol 19 (3) ◽  
pp. 164 ◽  
Author(s):  
Bernardo Batiz Lazo ◽  
J. Julián Hernández Borreguero ◽  
J. Carles Maixé Altés ◽  
Miriam Nuñez Torrado

<span lang="EN-US" style="line-height: 150%; font-family: &quot;Times New Roman&quot;,&quot;serif&quot;; font-size: 12pt; mso-fareast-font-family: &quot;Times New Roman&quot;; mso-fareast-language: ES; mso-bidi-font-size: 10.0pt; mso-ansi-language: EN-US; mso-bidi-language: AR-SA;">There are conflicting and even contradictory claims as to when exactly double entry bookkeeping arrived to New Spain as well as its diffusion during the colonial era. Although we fail to present evidence from Mexican private enterprise, we address the apparent contradictions while putting forward the idea that the history of “modern” accounting practice in Latin America should be framed by developments in its former colonial power. Our conclusion is that the history of Latin American accounting should be wary of extrapolating everyday practice by interpreting bibliographic material and proceed to pay greater attention to the appropriation of accounting technology through the examination of surviving company documents as well as informal educational practices amongst organizations based in Spain and its colonies.</span>


Author(s):  
John Granger Cook

Abstract Many logicians and exegetes have read Titus 1,12 as an example of the Liar’s Paradox without paying sufficient attention to the nature of ancient oracular utterance. Instead of reading the verse as a logical puzzle, it should be read from its ancient context in the history of religions—a context of which ancient Christian scholars were aware. The Syriac scholars preserved a shocking Cretan tradition about Zeus’s death that probably goes back to Theodore of Mopsuestia. The god responsible for Epimenides’ oracle presumably rejected the Cretan tradition of Zeus’s death and tomb. The truth value of 1,12 consequently depends on the oracle and not the human being (i. e., Epimenides) who delivers the oracle. A reading sensitive to the history of religions preserves the Pauline author’s perspective in Titus 1,13: ἡ μαρτυρία αὕτη ἐστὶν ἀληθής. There is, consequently, a strong analogy between Caiaphas’s words in John 11:49–50 and those of Epimenides in Titus 1,12.


2020 ◽  
pp. 44-72
Author(s):  
Benjamin Ask Popp-Madsen

The chapter reconstructs the intellectual history of council democracy from early anarchist interpretations of the Paris Commune over Karl Marx famous analysis of the Commune in The Civil War in France and Vladimir Lenin’s writings on the Russian Soviets to the Interwar council communists’ engagement with the German workers’ councils. The chapter argues, firstly, that Marx’ interpretation of the Commune sets the parameter for many subsequent theories of council democracy, and secondly, that Lenin’s analysis of the Russian soviets delivers an alternative theory of council democracy, insofar as he subordinates the councils to the Bolshevik party. The chapter ends with a preliminary discussion of the relation between the historical councils, theories of council democracy and the concept of the constituent power.


2021 ◽  
pp. 55-66
Author(s):  
Michael Frede

This chapter focuses on the historian of philosophy. There is a certain amount of historical evidence in the case of philosophy, mainly in the form of texts, or rather copies thereof, but also of inscriptions or even of archaeological remains. The historian has to collect this evidence, evaluate it, and reconstruct, on its basis, a history which is sufficiently supported by it to make it difficult, if not impossible, to think of an equally plausible, or even more plausible, account that fits the evidence as well. The difficulty is not only that it has become a matter of considerable controversy whether there actually is one characteristic way in which historians ought to go about their business and which way this may be. It also should give one pause for thought that, in fact, general historians do not write history of philosophy. This suggests that the historiography of philosophy is not just a matter of applying the historical method to a particular history. Clearly, the most important point here is that it takes some special competence to write the history of a discipline. Having the competence of a contemporary philosopher allows one to tell which arguments are acceptable and which are not.


1960 ◽  
Vol 80 ◽  
pp. 127-159 ◽  
Author(s):  
Hugh Plommer

The literature on the Acropolis seems to me as untidy as the site itself. Every discovery that could, on the present evidence, be made about its history, every truth that could be pertinently stated has already appeared, I should imagine, in one or other of the books or articles devoted to it since the Greek excavations of the eighties. I am merely attempting the humble but, I think, necessary task of sifting out what seem to me the more interesting discoveries, the more significant conclusions. Before we form any more theories, we must try to discover what under present circumstances we can reasonably know.In this paper I shall have space only to consider the history of the main buildings, one or perhaps two large temples and perhaps a large propylon, up to the Persian destruction of the archaic Acropolis in 480 and 479. The minor buildings of poros, with triglyphs barely 1 foot or 15 inches wide, and walls or columns consequently less than 15 feet high, will interest me only incidentally. I have found no clear evidence for the sites of any of these, not even Wiegand's ‘Building B’, considered by J. A. Bundgaard (pp. 55 ff.) to be the precursor of the north-west wing in the Periclean Propylaea. Moreover I can isolate the problem of the large buildings more conveniently and with a clearer conscience, because it has already been isolated by C. J. Herington in his stimulating book,Athena Parthenos and Athena Polias(Manchester, 1955). His thesis is an interesting one, that from far back in the archaic period two important temples stood on the Acropolis. The more southerly, dedicated to Athena the Warrior Maiden (Parthenos), occupied a site somewhere within the limits of the present Parthenon. The more northerly and the more important in state ritual was dedicated to Athena as the City Goddess, and occupied the site between the present Parthenon and Erechtheum, generally known as the ‘Doerpfeld Foundation’. Every visitor to Athens will know this series of old broken walls just south of the Caryatid Porch. Wiegand's is still, I think, the most workmanlike plan of it (Wiegand, figs. 72 and 117—my Fig. 1). Herington's thesis, then, enables me to arrange my questions as follows. How many successive temples occupied the Doerpfeld Foundation, what did they look like and how were they related to one another? And again, was there any important temple on the site of the present Parthenon before the decade 490–480, generally considered the date when a marble Parthenon was first attempted ? Because of its possible scale, I shall also have to consider the date and form of the archaic Propylon. If it were a large building, it could be the source of various large fragments hitherto assigned to temples; and Heberdey, the latest American books, and now Bundgaard all make it rather large, between 15 and 20 metres square. (For the actual dimensions they give, see below, pp. 146 ff.)


2010 ◽  
Vol 365 (1558) ◽  
pp. 3645-3653 ◽  
Author(s):  
Ann M. Womack ◽  
Brendan J. M. Bohannan ◽  
Jessica L. Green

The variation of life has predominantly been studied on land and in water, but this focus is changing. There is a resurging interest in the distribution of life in the atmosphere and the processes that underlie patterns in this distribution. Here, we review our current state of knowledge about the biodiversity and biogeography of the atmosphere, with an emphasis on micro-organisms, the numerically dominant forms of aerial life. We present evidence to suggest that the atmosphere is a habitat for micro-organisms, and not purely a conduit for terrestrial and aquatic life. Building on a rich history of research in terrestrial and aquatic systems, we explore biodiversity patterns that are likely to play an important role in the emerging field of air biogeography. We discuss the possibility of a more unified understanding of the biosphere, one that links knowledge about biodiversity and biogeography in the lithosphere, hydrosphere and atmosphere.


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