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The manuscript revisits the dependency vs. phrase structure debate that occurred in 1980–1 between Richard Hudson on the one hand and Östen Dahl and Pertti Hietaranta on the other. The debate is taken up first in the area of adjective scope. Dahl’s argument in favor of phrase structure based on adjective scope (e.g. ordinary French house) can be convincingly countered in terms of the component unit of dependency syntax. The component and two additional units of dependency syntax – the full component and the full catena – are presented and developed here. The claim is that the motivation for the layered trees of many phrase structure grammars disappears if the much flatter Dependency Grammar analyses acknowledge these units of dependency syntax. The overarching message, then, is that barring the analysis of coordinate structures, the theory of syntax does not need the higher nodes associated with phrase structure, in line with Hudson’s original message back in 1980.
The Introduction makes the case for why it is important and timely to return afresh to ancient greek epic, despite or even because of the huge amount of scholarship that already exists on this genre. After a brief overview of the current state of the field, it outlines the main points of innovation and interventions of the volume, focusing on its thematic structure, its emphasis on the lesser-known authors or dimensions of Greek epic, and its integration of ancient material and modern responses to it. It ends with a brief overview of the sections of the volume and draws out the connections between the chapters within them.
The role of the coroner is to investigate violent, unnatural or unexplained deaths, as set out in the Coroners and Justice Act of 2009. The coroner is a creature of statute; the oldest judicial office confirmed in 1194, but in existence before that time, to assist the Crown with the valuable and inevitable business of death. This chapter outlines the duties and responsibilities of a coroner.
Aoun and Li (2003) argued that whether the head of Chinese relative clauses can reconstruct at Logical Form is determined by its phrasal category. When the head is a noun phrase, it can reconstruct; but when it is a quantifier phrase, it cannot. This paper uses a sentence-picture matching experiment to investigate this claim. The results showed that a quantifier phrase can reconstruct. Thus, we do not need to stipulate a noun phrase/quantifier phrase distinction for the reconstruction of heads in Chinese relative clauses. Both types of phrases can reconstruct, predicted by the head-raising analysis of relative clauses.
This paper investigates nga-marked numerals in Albanian. They qualify as distributive numerals, since the presence of nga on the numeral yields a distributive reading of the sentences they belong to. Beyond their differences, most of the previous accounts rely on the hypothesis that distributive numerals introduce some kind of semantic feature, e.g. a covariation feature; an evaluation plurality requirement, also called a post-suppositional plurality requirement; or a distributivity force. Our main claim goes against this trend of thinking. We propose that distributive numerals do not carry any semantic feature but only a formal syntactic feature that needs to enter a syntactic dependency relation with a distributivity feature. The analysis is implemented in terms of Zeijlstra’s (2004) upward agree.
Chapter 3 describes how the Constitution created a system for control of factions. But when those factions more and more polarized around the issue of slavery, the Northern and Western national majority was unable to rule and eventually had suppress the Southern minority in the Civil War. In recent decades, much Black migration out of the South and some White migration into the Republican Party have again polarized voter sentiment into red and blue states, or two tribes. This gridlock in the national government has again created a national majority which cannot rule (see the Senate cloture procedure), in which case a new political crisis plagues the country.
This chapter outlines and discusses different approaches to social ontology and locates Heidegger within a range of contemporary debates. I first discuss various accounts of the scope and method of social ontology by suggesting that social ontology has a restricted scope if it takes the social world to be a distinct domain among others and that, in contrast, has an unrestricted scope if it takes sociality to be an irreducible dimension of what there is. Discussing his general conception of fundamental ontology as well as the development of his early work, I then show that Heidegger’s social ontology is non-reductive and has an unrestricted scope. I then qualify this claim by arguing that Heidegger’s social ontological method can rightly be called transcendental in the sense that he argues that the irreducible social dimension of what there is depends not on empirical social formations but on transcendental relations to others.
Chapter 6 covers some of the fundamental building blocks of a licensing agreement, namely the license grant and scope (Spindelfabrik v. Schubert & Salzer): how are licensed rights identified -- by enumeration or through portfolio definitions? How are corporate affiliates treated by the licensor and the licensee? What is know-how licensing? How to deal with licenses of future rights? How should the licensed territory be defined? How can the field of use be limited? How do have-made and “foundry” rights work (Cyrix v. Intel)? How do technological changes affect the field of use (Boosey & Hawkes v. DIsney)? How should sublicensing be addressed (Rhone-Poulenc v. DeKalb)?
Difficult times are when leaders need to rise up. There is no more important or impactful time for you to demonstrate your character and mettle, no time your group needs you more. Leaders cannot shrink from this responsibility, or they should be replaced. It does not take tremendous intelligence to strive in a crisis, but it does require character, fortitude, and courage. This chapter outlines some principles that may be of use in the event of a crisis. It begins with understanding the scope of the problem and how it will affect your group. It goes into how to stay ahead of the curve, predicting the potential outcomes and implications of the crisis before they occur. It talks about the importance of clear, concise, and effective communication to your group. It goes into the importance of aligning your actions with not only your group but the groups above you, such as the hospital and medical school. It covers the concepts of surveying your constituents, learning from them, and adapting your responses based on their needs. We talk about the importance of addressing mental health issues that develop in response to a crisis, not only for your group but also for yourself. It concludes with how to come out on the other side of the crisis as a strong and functional group.
The concluding Chapter 7 answers the research questions and provides a comparative analysis of unfolding low-carbon transitions in the three focal systems. It also inductively draws conclusions about cross-cutting topics with salient differences and similarities between the three systems, including: the roles of incumbent firms, governance style and politics, users, wider publics and civil society organisations, and exogenous ‘landscape’ developments and shocks. Chapter 7 ends by discussing future low-carbon transitions, articulating policy recommendations, and offering suggestions for future research.
Negation is marked by individual words (such as ‘not’, ‘no’, ‘never’) in a variety of functions (including adjunct, determiner, and head of VP) or by affixes within a word (the suffix ‘·n’t’ or prefixes like ‘un·’ or ‘non·’). Very often there is an effect on the whole clause, and negation is usefully divided into clausal and subclausal negation. There are a number of syntactic tests for clausal negation, including the ‘not even’ test and confirmation tags. Within clausal negation a further distinction exists between verb and non-verb negation.
The grammatical system in which positive and negative contrast is called polarity, and it can be absolute (e.g., ‘no’ & ‘never’) – or approximate (e.g., ‘few’ & ‘rarely’). A number of words or larger expressions have the property of being polarity-sensitive, in the sense that they occur readily in clauses of one polarity but not of the other. Some of these occur equally well in negative and interrogative clauses. We call these non-affirmative items.
The scope of negation is the part of the sentence that the negative applies to semantically.
This chapter elaborates on the relationship between digital services and the GATS. First, the characteristics of the GATS are explained, including the recognised four modes to supply services, the specific commitments WTO Members have included in their Services Schedules and how this impacts the Members’ obligations under this agreement. Digital services are not explicitly referred to in the GATS, but through an analysis of the scope of the GATS, this chapter explains why measures that affect digital services trade are covered by the GATS. Moreover, electronic delivery of services fits within the four modes of supply as recognised within the GATS. The chapter also elaborates on the principle of technological neutrality and how it applies to the GATS. Finally, the chapter discusses the work that has been undertaken by WTO Members in the context of the Work Programme on Electronic Commerce, which was established in 1998. The lack of substantive progress in the context of this Work Programme illustrates the divergent positions of WTO Members on digital issues.
This chapter is concerned with what we know about the status and the history of discourse markers. The chapter provides a detailed discussion of the various hypotheses that have been proposed to account for the rise of discourse markers. It is argued that none of those hypotheses is entirely satisfactory, pointing out a number of shortcomings characterizing such earlier approaches. The conclusion reached in the chapter is that discourse markers exhibit a catalog of grammatical properties that are hard to explain on the basis of those approaches.
Discourse markers constitute an important part of linguistic communication, and research on this phenomenon has been a thriving field of study over the past three decades. However, a problem that has plagued this research is that these markers exhibit a number of structural characteristics that are hard to interpret based on existing methodologies, such as grammaticalization. This study argues that it is possible to explain such characteristics in a meaningful way. It presents a cross-linguistic survey of the development of discourse markers, their important role in communication, and their relation to the wider context of sociocultural behaviour, with the goal of explaining their similarities and differences across a typologically wide range of languages. By giving a clear definition of discourse markers, it aims to provide a guide for future research, making it essential reading for students and researchers in linguistics, and anyone interested in exploring this fascinating linguistic phenomenon.
Negation is a complex linguistic phenomenon present in all human languages. It can be seen as an operator that transforms an expression into another expression whose meaning is in some way opposed to the original expression. In this article, we survey previous work on negation with an emphasis on computational approaches. We start defining negation and two important concepts: scope and focus of negation. Then, we survey work in natural language processing that considers negation primarily as a means to improve the results in some task. We also provide information about corpora containing negation annotations in English and other languages, which usually include a combination of annotations of negation cues, scopes, foci, and negated events. We continue the survey with a description of automated approaches to process negation, ranging from early rule-based systems to systems built with traditional machine learning and neural networks. Finally, we conclude with some reflections on current progress and future directions.
An arbitration agreement is an agreement between parties to a legal relationship to submit an existing or any future disputes to arbitration. It follows that an agreement of the parties to arbitrate is the cornerstone of arbitration, as it contains the consent of the parties to submit their dispute to arbitration. There are two basic types of arbitration agreements. The first one is a submission agreement, which consists in an agreement to submit an existing dispute to arbitration. The second is an arbitration clause, which consists in an agreement to submit a future dispute to arbitration.1