[[14ne]], [[this>_media/14ne.pdf| PDF]] \\
Mark Newson
Binding Revisited*
1. Introduction
In this paper I will show how it is possible to adapt the OT analysis of binding
phenomena of Newson (1998) to the Syntax First Alignment (SFA) system
(Newson 2010). The latter, while being based on OT principles, differs
radically from standard OT in its limitation of constraint types to alignments
and its adoption of a late lexical insertion strategy. Effectively, these
assumptions result in a syntactic system that does not make use of constituent
structure nor syntactic units which might be recognized as ‘words’. As the
analysis of Newson (1998) relied on the assumption of both constituent
structure and some syntactic notion of word, it might be expected to be
incompatible with SFA. This turns out not to be the case however, and with
some reworking of the constraints involved, the analysis can be translated
from one system to the other. We will see that there are advantages to this, and
some problems facing the standard OT approach can be better treated under
SFA assumptions.
2. Standard Binding theory and the Reflexivity approach
Before outlining the Newson (1998) analysis, it is worth giving a brief
discussion of previous approaches from which this analysis developed. The
Standard Binding theory of the 1980s (SBT) considered there to be two types
of pronoun, anaphors and pronominals, which were subject to separate
principles. Principle A stated that anaphors need to be c-commanded by its
antecedent within a domain (governing category). The opposite is true for
pronominals in that principle B states that these cannot be c-commanded by
their antecedents within the governing category. These principles can be
demonstrated by the following examples:
(1)
a
b
John1 said [Bill2 likes himself*1, 2, *3]
John1 said [Bill2 likes him1, *2, 3]
The reflexive pronoun is an anaphor and hence subject to principle A. This
means it can only take its antecedent to be the subject of its own clause: its
governing category. The subject of the higher clause lies outside this
governing category and hence cannot be an antecedent. The reflexive cannot
*
My thanks to Csontos Tamás, in discussion with whom these ideas first came to light.
Binding Revisited 32
take its reference from the discourse as then it has no c-commanding
antecedent at all. Taking the indexes to indicate co-reference and disjoint
reference, (1a) shows how the anaphor must be co-referential with its closest
subject and no other reference is possible. In (1b) the only excluded referential
possibility is that of the closest subject as the pronominal cannot have a ccommanding antecedent within its governing category, no other referential
possibility is excluded.
A number of problems hindered this approach, of which we will
mention only one. The theory predicts complementary distribution between
anaphors and pronominals. However, there are many cases where this
complementarity breaks down:
(2)
a
b
c
d
John likes this picture of him/himself
John hid the gun behind him/himself
no one knows Mary better than John and me/myself
as for me/myself, I haven’t got a clue
SBT attempted to cover these data under the assumption that binding
conditions were slightly different for pronominals and anaphors, allowing
them to overlap. This move led to an overly complex theory, especially in the
definition of the governing category.
This particular problem was successfully addressed in the reflexivity
approach of Reinhart and Reuland (1993, R&R). They observed that the
simple complementary distribution of anaphors and pronominals is maintained
only when both pronoun and its antecedent are in argument positions. They
postulated that binding theory is more to do with the requirements of certain
predicates than it is to do with the referential properties of pronouns.
Languages sometimes mark a reflexive predicate with a morpheme which
appears on the predicate itself. R&R’s insight was to view the morpheme on a
reflexive pronoun as performing a similar role. As principle A of SBT
essentially restricts the use of reflexives to reflexive contexts, R&R proposed
that this should be restated as the requirement that if a predicate is marked as
reflexive (i.e. by the use of a reflexive pronoun) then it must be interpreted as
reflexive. Hence the ungrammatical referencing possibilities in (1a) are due to
the fact that in these cases the predicate is not interpreted as reflexive.
Principle B prevents the use of non-reflexive pronouns in reflexive contexts
and therefore R&R’s version of this is that a reflexive predicate must be
reflexive marked.
By limiting its scope to those cases where there is real complementary
distribution between anaphors and pronominals, R&R’s approach to binding
phenomena is much simpler than that of SBT. However, it too faces a number
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Binding Revisited 33
of problems. Their binding theory itself does not fully predict the c-command
relationship that SBT recognises to hold of pronouns and antecedents.
Although arguments of the same predicate are in a c-command relationship to
each other, and hence the standard examples which motivate c-command as
relevant to binding (e.g. * the soldier’s behaviour disgraced themselves1) are
straightforwardly captured, it is not a requirement of the reflexivity approach
that the antecedent be in the c-commanding position. Thus, in the following
both examples involve a reflexive predicate being reflexive marked:
(3)
a
b
John1 likes himself1
* himself1 likes John1
R&R accept this result and claim that the ungrammaticality of (3b) is nothing
to do with the binding theory, but is due to a condition on chain formation. In
order to make this work the notion of a chain, which originally involved a
moved element and its traces, must be extended to all sequences of co-indexed
elements. A general condition on chain formation is then that the contentful
element c-commands all other elements in the chain.
Another problematic issue, which SBT perhaps handled better,
concerns the fact that a reflexive pronoun can appear in the subject position of
non-finite complements of ECM verbs:
(4)
John1 believes [himself1/him*1 to be lucky]
For SBT this was just a matter of the correct definition of the governing
category, so that the non-finite clause does not count as the binding domain for
its subject. For R&R however, the problem is a little more perplexing. That
anaphors and pronominals are in complementary distribution in this situation
shows that the phenomena is a matter for binding theory and cannot be
brushed aside as nothing to do with reflexivity. However, the two positions
involved are not argument positions of the same predicate and so it is difficult
to see how reflexivity could be involved. R&R’s response is to redefine the
notion of a predicate in this case. As it is assumed that it is the governing verb
which assigns Case to the non-finite clause’s subject, they claim that this
relationship is enough to make the subject a ‘syntactic argument’ of this
predicate. Thus, when the non-finite clause subject is co-referential with the
1
The ungrammaticality of the reflexive pronoun here is due to the fact that the coreferential
elements are not the arguments of the same predicate and so there is no reflexive predicate
formed.
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Binding Revisited 34
ECM verb’s subject, two of its ‘syntactic arguments’ refer to the same
individual and the verb is reflexive.
This redefinition of such a basic notion is, perhaps, a little drastic and
seems somewhat ad hoc. We will discuss further problems with R&R’s
approach a little later.
3. The ‘Binding goes OT’ approach
Newson (1998 BOT) attempted to provide an Optimality Theoretic account of
binding phenomena based on R&R’s reflexivity approach. It managed an
overall simplification by reducing the binding principles to one, though certain
problems remained.
A first consideration in providing an OT approach to binding concerns
the question of the input. There are two aspects to this: what are the input
conditions for pronoun usage in general and what are they for the specific use
of reflexive pronouns?
A pronoun might be considered as something less than a lexical noun
in that it expresses grammatical nominal features and a reference but lacks the
content that nominals typically carry. In BOT, it was assumed that a nonbound pronoun was the realisation of an abstract referential discourse marker
included in the input:
(5)
input = likes, a=Mary, b=DM
Mary likes him
Following standard OT assumptions, the input encodes the argument structure
of predicates as well as an assignment of argument roles to arguments2. The
discourse marker, DM, picks out an intended referent but has no more content
than this. This is realised in the optimal candidate by the appropriate pronoun
considering relevant features of the selected referent.
For co-referential pronouns, the referent is already given in the input,
and a discourse marker is unnecessary. Thus what is needed is that the input
indicates that two argument slots in the argument structures of predicates be
associated with one argument.
(6)
2
a
b
like, a & b = John
think, b = like, c = Mary, a & d = John
This representation differs slightly from that of Newson (1998) in using letters to denote
argument slots instead of numbers. Numbers were used in the original paper as certain
facts concerning the order of arguments in a structure were calculated on the numerical
value assigned to them in the input. However, this aspect of the system is handled in a
completely different way in SFA and so will be irrelevant for the current paper.
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Binding Revisited 35
Obviously the input in (6a) defines a reflexive situation whereas the one in
(6b) does not.
With these inputs, there are a number of possible realisations for the
arguments. One might put the argument in both argument positions, or just in
one of them, leaving the other unexpressed. Following a suggestion by
Pesetsky (1998), pronouns might also be viewed as the partial pronunciation
of an input element: expressing its reference and grammatical features, but not
its lexical content. Hence a pronoun might be used to realise the argument in
one position. Finally, the reflexive marker may or may not be present in the
input. Thus the set of possible outputs for inputs in (6) include the following
(we ignore word order variations here as they are not relevant to the point at
hand):
(7)
a
b
c
d
e
John likes John
John likes
likes John
John likes him
he likes John
f
g
h
i
John likes himself
himself likes John
John likes self
self likes John
(8)
a
b
c
d
e
John thinks Mary likes John
John thinks Mary likes
thinks Mary likes John
John thinks Mary likes him
he thinks Mary likes John
f
g
h
i
John thinks Mary likes himself
himself thinks Mary likes John
John thinks Mary likes self
self thinks Mary likes John
Following R&R’s assumption that pronoun-antecedent sequences form
a chain and that the head of the chain should carry the greater content, we can
account for the fact that the pronoun sits in the non-head position with some
sort of chain condition. Pesetsky (1998) proposed an OT constraint to the
effect that traces in movement chains are unpronounced:
(9)
SILENT-T
do not pronounce traces
Taking a pronoun to be a pronunciation of a trace, they may be seen as a
partial satisfaction of SILENT-T. To account for why a pronoun is used in nonmovement chains, as opposed to a fully unpronounced trace, a further
condition on chains must be assumed. The way a movement chain differs from
a non-movement chain is that in the former only one link of the chain is in a θposition, invariably the trace. The chains formed in binding situations have all
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Binding Revisited 36
links in θ-positions. Thus a constraint that requires chains with all links
bearing θ-roles to be overt will force traces to be pronounced:
(10)
OVERT-C
* α … α, where each occurrence of α bears a θ-role
The combination of these two constraints will account for why the traces in
non-movement chains are pronounced as a pronoun.
The advantage of this system is that the explanation of why pronouns
are used in non-movement chains extends naturally to an account of why
reflexives are not used in non-reflexive contexts: a reflexive pronoun, given
that it indicates reflexivity as well as reference and grammatical features,
counts as an over pronunciation of a trace. Hence, assuming this situation to
add to the violation of SILENT-T, this constraint will do the job of principle A.
All that is required of binding theory, then, is to account for why simple
pronouns are not used in reflexive contexts (i.e. principle B). Thus the only
binding theory constraint needed is the following:
(11) R-MARKING * α, where α is a reflexive predicate which is not r-marked
To demonstrate how this works we will consider the inputs in (6) and
their output candidate sets in (7) and (8):
(12)
input = (6a)
(7a)
(7b)
(7c)
(7d)
(7e)
(7f)
(7g)
(7h)
(7i)
R-MARKING
*!
*!
*!
*!
*!
OVERT-C
SILENT-T
***
*
*
*!
*!
***
*
***
**
***!
***
The input (6a) represents a reflexive situation with one argument associated
with both argument positions of a single predicate. Therefore the first five
candidates in (12) are ruled out for not marking the predicate as reflexive. The
last two candidates violate OVERT-C as no realisation is given to one argument
in each chain. This leaves (7f) and (g), the latter of which fully pronounces the
trace and so fares worse than the reflexive pronoun.
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Binding Revisited 37
(13)
input = (6b)
(8a)
(8b)
(8c)
(8d)
(8e)
(8f)
(8g)
(8h)
(8i)
R-MARKING
OVERT-C
SILENT-T
***!
*!
*!
*!
*!
***
*
***!
**!
***!
***
For input (6b), as there is no reflexive predicate, the R-MARKING constraint is
vacuously satisfied by all candidates in (13). OVERT-C rules out (8b), (c), (h)
and (i), where one argument is not realised at all. The remaining candidates,
(8d) - (g), are evaluated by SILENT-T and (8d) is deemed optimal, as the simple
pronoun is the least realisation of the trace. Note that we assume that a full
pronunciation of the argument is the worse violation of this constraint (three
stars) whereas the reflexive is less of a violation, as it does not ‘pronounce’ the
full content of the argument. However, reflexives still pronounce more
material than do simple pronouns and hence they are awarded two violation
marks.
While this system is successful in reducing the binding theory down to
a single principle, it does not improve on the R&R’s analysis in all respects.
By maintaining the notion of a chain, and therefore the corresponding notion
of a trace, the system is still dependent on structural notions, such as ccommand, to determine which elements the constraint SILENT-T applies to.
From a Syntax First Alignment approach, this is disappointing as R&R’s
reflexivity theory had already succeeded in eliminating the structural notion of
a governing category. Moreover, there is no solution to the problematic case of
ECM verbs, which in BOT still have to be seen as taking the argument that
they Case mark to be their own ‘syntactic’ argument.
4. SFA
The SFA system differs radically from standard OT in a number of ways. First
the types of constraints it admits are severely restricted to those which
evaluate the relative orders and proximities of input elements. A second major
difference is that input elements are taken to be sublexical abstract
syntactic/semantic elements, called Conceptual Units (CUs). Given that GEN
can only impose linear orders on these, it follows that no ‘words’ are formed
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Binding Revisited 38
in the syntax. The division of the syntactic string into words is a function of
‘Lexical Insertion’, which takes place after the optimal string is determined.
4.1.
Constraints
All constraints consist of three elements: a target, a relation and a host. Targets
and hosts may be individual CUs or sets of CUs, called Domains, which share
a common input property (e.g. the set of argument CUs associated with a
single predicate). Relations are either orderings or adjacency requirements of
targets with respect to hosts. The following are examples of possible
constraints:
(14)
xPy
xFDy
xAy
CU of type x precedes CU of type y
CU of type x follows Domain of type y
CU of type x is adjacent to CU of type y
Constraints are properly defined in terms of their violation conditions, as
follows:
(15)
precedence (P)
subsequence (F)
adjacency (A)
violated by every member of host which follows
target
violated by every member of host which precedes
target
violated by every element between target and host
Anti-alignment constraints, indicated as *R, where R is one of the relations,
are defined by the following violation condition:
(16)
x*Ry
violated by the best satisfaction of xRy
Constraints of these types evaluate all the possible orderings of the
input CUs, their ranking determining which is adhered to in cases of conflict.
The candidate which best satisfies the constraint set, respecting constraint
ranking, is deemed grammatical.
4.2.
Late Lexical Insertion
Once the optimal linear string has been determined by the constraints, lexical
insertion can take place. This is done in accordance to a number of principles,
of which contiguity, root centricity and minimal vocabulary access are the
most important for present purposes. Contiguity requires that only contiguous
CUs can be replaced by lexical items. If this were not the case, there would be
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Binding Revisited 39
little use for the linearization process and it would be very difficult to account
for word order. Root Centricity requires insertion to start with roots. Any
contiguous functional CUs may be spelled out with the root, providing the
existence of an appropriate lexical item (i.e. one marked for the relevant CU in
its lexical entry). Remaining functional CUs will need to be spelled out
separately3. Finally, Minimal Lexical Access requires that the maximum
number of CUs possible be spelled out by a single lexical item. Thus, given
the choice between spelling out each CU with its own lexical item or spelling
out a string of contiguous CUs by one lexical item, the latter will be selected.
To give an example, consider the case of English tense. Typically the
tense CU is situated immediately behind the verbal root, making them
contiguous. In the case of the regular verb, there is no lexically marked past
tense form and so only the root CU will be spelled out by the verb. The tense
will be spelled out separately by the tense morpheme. With an irregular verb,
however, as there is a past tense item listed in the lexicon, this can spell out
both the root and the tense. The option of the root verb plus the separate tense
morpheme is ruled out by Minimal Lexical Access:
(17)
a ... √smile [past] ...
smile ed
b ... √see [past] ...
saw
c ... √see [past] ...
*
see ed
In other contexts, such as those involving negation and inversion, the tense
surfaces in front of the root and is not contiguous with it. Therefore the two
cannot be spelled out together. In this case the bare verb will be used to spell
out the root but the tense morpheme is restricted to post root contexts and so
cannot be used in this case. Therefore another verb is used to realise the tense
(see Newson and Szécsényi (2012), (2014) for details):
(18)
... [past] ... √see ...
did
3
see
Certain CU may be marked as being possible to remain unrealised if absolutely necessary
(see Newson forthcoming).
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Binding Revisited 40
5. Binding in SFA
5.1.
Structure and binding
Any attempt to capture binding facts within a linear approach such as SFA
must address the issue of how to deal with the structure based notions which
appear to permeate the data. Adopting the reflexivity approach goes part of the
way, as this avoids the concept of a binding domain. Viewing binding as a
property of the predicate simply requires the presence or absence of
reflexivising morpheme associated with predicates with the relevant
properties. This is perfectly compatible with the non-constituent structure
approach of alignment syntax.
Not all structural notions are done away with in R&R’s approach
however, and the notion of a chain, which was also part of the BOT analysis,
standardly involves c-command to distinguish between the head of the chain
and its traces. However, there has been an increasingly popular idea since
Kayne (1994) that structures are organised on a strictly right branching basis,
meaning that c-command equates to a leftness condition. Kayne’s intentions
were to account for linear order in terms of structural position. However, if it
is true that structurally superior elements precede inferior ones, it is equally
possible that one can derive structural notions such as c-command from linear
relations without reference to structure as such.
For English, at least, it is almost invariably the case that antecedents
precede reflexive pronouns. The few exceptions to this invariably involve nonreflexive uses of reflexive pronouns:
(19)
a which picture of himself does John prefer
b as for myself, I’m going to bed
Neither of the cases in (19) involve a reflexive predicate and therefore the
‘reflexive’ pronouns are not reflexive markers. The fact that these pronouns
alternate grammatically with non-reflexives demonstrates this to be so4:
(20)
a which picture of him does John prefer
b as for me, I’m going to bed
I conclude therefore that it is possible to account for real binding facts
on the basis of linear order rather than structural notions such as c-command.
4
R&R claim that these uses of reflexive pronouns are for logophoric purposes and hence
irrelevant for binding theory.
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Binding Revisited 41
We will see that we can also dispense with the notions of trace and chain and
hence that all structural conditions can be eliminated from an account of
binding phenomena.
5.2.
Input
As with our review of BOT, we start with a consideration of the input
conditions which result in pronoun usage. Here there is an improvement made
possible by the late lexical insertion approach. Recall that in the BOT account
a special input element, a discourse marker, was introduced as the basis of
pronoun usage. There is already a hint of late insertion here, necessitated by
the idea that pronouns are only partial pronunciations (read ‘realisations’) of
input elements. From a true late insertion perspective we can simplify system
and assume that pronouns are the realisation of something which is present in
all inputs, not just those involving pronouns.
Nagy (2013) argued that resumptive pronouns which appear in cases of
Left Dislocation are the realisation of an ‘argument’ CU which serves to link a
nominal root to an argument slot of a predicate. Normally this CU is realised
with the nominal root itself, all such roots being marked in the lexicon as
possible arguments. But in cases of Left Dislocation, the nominal root and its
argument marker are separated and hence have to be realised separately: the
root is realised by the relevant nominal lexical element and the argument
marker is realised by the resumptive pronoun:
(21)
...
√
...
arg ...
John
him
e.g. John, I hate him
This approach might be extended to other instances of pronoun usage.
This would entail that inputs contain at least a predicate root, a set of argument
markers relevant for the predicate and a set of argument roots associated with
the argument markers. The sentence John loves Mary is therefore related to an
input which contains at least the following elements:
(22)
√LOVE, arg1 = JOHN, arg2 = √MARY
We might suppose that the sentence John loves her has a similar input, only
the second argument marker is not associated with any root.
(23)
√LOVE, arg1 = JOHN, arg2 =
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Binding Revisited 42
Presumably the semantics will deal with such an input by using discourse
contextual information to interpret it by assigning the relevant referent to the
second argument. As this argument marker is not associated with a root, it will
not be able to be spelled out by a nominal element but instead must be spelled
out on its own as a pronoun5.
Now consider the case of a reflexive predicate. Such a predicate must
be marked as such in the input and hence a reflexive marking CU will also be
included. The semantics of the reflexive marker licences the association of two
of the argument markers with a single root argument and so there will be
fewer roots than there are argument markers. The sentence John loves himself
will have the following input:
(24)
√LOVE , refl, arg1 = arg2 = JOHN
Failure to include the reflexive marker in the input will result in its
interpretation as involving a discourse determined pronoun, hence the
necessity of the marker is due to a semantic condition on the input.
Alignment constraints determine where the reflexive marking CU
appears: next to the verbal root or next to an argument root, thus providing a
distinction between languages which mark reflexive predicates in terms of a
morpheme on the verb and those which mark it on arguments. As the binding
facts concern only those languages where reflexive marking appears on an
argument, we will concentrate on this type.
Before looking at the alignment constraints, however, let us just briefly
attend to the issue of the nature of a reflexive pronoun from the current point
of view. As we have said, pronouns are in general the realisation of an
argument marker not realised along with the argument root. A reflexive
pronoun results when an argument marker and the reflexive marking CU are
realised together. Most reflexive pronouns are formed from a pronoun plus a
reflexive morpheme, such as self, which suggests that the two CUs have
independent realisations and moreover that the reflexive marker is positioned
behind the argument marker:
5
The fact that the interpretation given to the missing argument in the semantics has an
effect on the choice on pronoun (he, she, me, etc.) means that the lexical selection
procedure has access to semantic representations. Such an assumption is also necessary for
the account of idiomatic language uses, in the sense of Marantz (1997).
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Binding Revisited 43
(25)
... arg refl ...
him self
There are morphologically simplex anaphors (for example Dutch zich,
Icelandic sig and Chinese ziji), but these tend not to be true reflexives, in that
they do not appear in the context of a reflexive predicate. Instead they concern
long distance anaphora, where the arguments involved are not related to the
same predicate. We will not consider these elements further.
5.3.
Constraints
To account for binding phenomena there are two independent ordering
conditions which need to be addressed. The first is the general antecedent –
pronoun order and the second concerns the fact that the reflexive marker is
situated with the argument expressed as a pronoun and not with the
antecedent.
Consider the non-reflexive situation first, where two argument markers
of different predicates are associated with the same argument in an input:
(26)
√THINK arg1 =
arg2 = √LIKE arg1 = √MARY
arg2 =
JOHN
With an input like this the issue is where to position the argument root. The
two argument markers will be positioned as per usual, with arg1 of both
predicates preceding the relevant arg2 and the verbal root being placed in the
second position of its argument domain (see Newson 2013 for details). This
provides the basic ordering6:
(27)
arg1T √THINK arg1L √LIKE arg2T arg2L
The root √MARY will be aligned with its associated argument marker (arg1L)
but the important issues is: which argument marker will the root JOHN be
aligned with? If it is aligned with arg1T, arg2L will be spelled out
independently as a pronoun. If it is aligned with arg2L, arg1T will be spelled
out as a pronoun. Clearly it is the former solution that obtains:
6
The indexes ‘T’ and ‘L’ are provided to disambiguate which predicate the argument
markers are associated with.
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Binding Revisited 44
(28)
a
JOHN arg1 √THINK √MARY arg1L √LIKE arg2T arg2L
b
John
thinks
Mary
likes
him
arg1 √THINK √MARY arg1L √LIKE arg2T JOHN arg2L
* he
thinks
Mary
likes
John
To capture the general situation that antecedents precede pronouns we
need to define a domain made up of those argument markers associated with a
single root and align the root to the front of it. Thus we define a referential
domain (DR) to be made up of all the argument markers associated with a
particular argument root and propose the following constraint:
(29)
√PDR violated by every member of DR that precedes the relevant root
While this constraint captures certain binding facts, note that it is more
general than this, and so is not to be taken as a specific binding constraint
equivalent to principle A or B of SBT. The constraint is applicable even when
the reference domain consists of just a single argument marker, i.e. in
conditions in which no pronoun will be used. In this case, the root is still
positioned in front of the reference domain (the argument marker it is
associated with in the input) as a result of (29).
There are cases in which the pronoun precedes the argument root:
(30)
a his mother denounced John
b What do you mean John loves no one? He loves John.
There are two ways we might approach examples such as these. Perhaps both
are applicable to the different cases. One would be to claim that there is
something interfering with the operation of the constraint (29), causing it to be
violated. One known thing which affects binding phenomena in a number of
ways is focus (Zribi-Hertz 1989, Reinhart and Reuland 1993). Note that (30a)
is only marginally acceptable out of context and certainly contrasts with the
more neutral (31a). Moreover it is made more acceptable with added markers
of focus, as in (31b):
(31)
a John’s mother denounced him
b even his own mother denounced John
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Binding Revisited 45
The second possibility is that such cases do not derive from the kinds
of inputs we are considering here, such as (26). Instead it may be that one
argument marker is associated with the root while the other is not associated
with anything. In this case its realisation as a pronoun is predicted. We would
then have to consider the co-reference between the root and pronoun to be
semantically rather than input determined: the two elements are only
‘accidentally’ coreferential. This would be more in line with the analysis of
Evans (1980), from which example (30b) was taken.
Turning now to reflexive contexts, involving inputs such as in (24),
what we need to account for is the position of the reflexive marker. This
appears at the opposite end of the reference domain to the root, i.e. following
the argument marker which is realised as a pronoun. We might think therefore
that the opposite constraint to (29) is required:
(32)
reflFDR violated by every member of DR that follows the reflexive
marker
This constraint is clearly binding specific, and just like the BOT account it is
equivalent to R&R’s principle B7.
While the constraint in (32) deals with most of the data, there are some
observations which challenge its correctness. When there are more than two
argument positions of a predicate associated with one argument root, both
argument markers which are not spelled out with the root appear as reflexive
marked pronouns and not just the last one:
(33)
a John introduced himself to himself
b * John introduced him to himself
However, the fact that there are two reflexive markers in (33a) indicates that
reflexivity is not simply a matter of a predicate having two or more of its
argument interpreted with the same referent, but that it has exactly two
arguments referring to the same entity. Thus a case such as (33a) has the status
of a double reflexive and hence must be doubly reflexive marked, with each
reflexive marker licensing exactly two argument markers being associated
7
Strictly speaking, the necessity of the reflexive marker in reflexive contexts is a matter of
input interpretation rather than the requirement of this constraint, so principle B is actually
divided between the input condition and this constraint.
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Binding Revisited 46
with one root in the input8. The reflexive marker is then positioned after the
last argument marker of each pair that it licenses as coreferential.
We might attempt to utilise the constraint in (32) in multiple reflexive
situations through the idea that there are distinct reference domains in such
cases. This has the potential to interfere with the positioning of the root with
respect to these domains by the constraint in (29). However, this turns out not
to be a problem due to the way that domain based constraints operate. There
are three ways of forming two reference domains with three argument
markers, as demonstrated below:
(34)
a
b
c
DR1 = arg1 + arg2 & DR2 = arg1 + arg3
DR1 = arg1 + arg2 & DR2 = arg2 + arg3
DR1 = arg1 + arg3 & DR2 = arg2 + arg3
Suppose that any of these pairings is possible. Under each of these cases the
root must be situated before arg1 (assuming the ordering of the argument
domain to be arg1 > arg2 > arg3). This is straightforward in the case of (34a)
as both domains have arg1 as their first member. For (34b) and (c), however,
arg1 only fronts one of the domains, so constraint (29) only requires the root
to be in front of arg1 for one domain and in front of arg2 for the other. But
given that arg1 precedes arg2, the optimal solution is to place the root in front
of arg1:
(35)
√ arg1 arg2 arg3
arg1 √ arg2 arg3
arg1 arg2 √ arg3
arg1 arg2 arg3√
√PDR1 (= arg1 + arg2)
√PDR2 (= arg2 + arg3)
*
**
**9
*
**
Table (35) represents the case of (34b), though it is easy to see that (34c) will
work in exactly the same way. Moreover, the constraint √PDR is split here to
demonstrate its working for both reference domains. In actual fact, there is just
one constraint and its violation is the sum of violations demonstrated in (35).
8
9
Semantically one might think of the reflexive marker being an operator which takes and n
place predicate and turns it into an n-1 place predicate. Thus for a three place predicate to
become a one place predicate, as in the case of (33a), there must be two such operators.33
There are only two violation marks here as DR1 consists of only two members: arg3 is not
in the domain and so is not counted in evaluating the candidate with respect to this
constraint.
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Binding Revisited 47
Only when the root precedes all the argument markers is the constraint
best satisfied. When the root is between the first two argument markers, then
one element of the first domain precedes it and hence one violation is incurred.
When it is between the second and third argument markers, then both the
elements of the fist domain and one of the elements of the second domain
precede it and hence altogether three violations are incurred.
An actual problem is faced by this system with regards to the
positioning of the reflexive markers in cases of multiply reflexive predicates.
Unlike the case of the root, there are two reflexive markers to be positioned –
one each after the last two argument markers. For the domains defined in (34a)
and (b) no problem arises as in each case arg2 and arg3 are the last elements of
the defined domains. With (34c) however, arg3 is the last element of both
domains and if the reflexive marker follows the last member of the domain,
this predicts that both reflexive markers will follow arg3:
(36)
√ arg1 arg2 arg3 refl refl
(* John introduced him to himself self)
There are at least two ways to approach this problem. One would be to
impose limits on the input to prevent the domains in (34c) from being formed.
Given that both of these domains are possible independently, as shown in (37),
the restriction would need to be conditional, as in (38):
(37)
a John1 introduced Bill to himself1 (DR = arg1 + arg3)
b John introduced Bill1 to himself1 (DR = arg2 + arg3)
(38)
DR1 = arg1 + arg3 ~ DR2 = arg2 + arg3
However, it is not entirely clear what the status of such a restriction would be,
nor indeed how it could apply to the input, given that these are otherwise
freely formed.
The other way to approach the problem would be to rule out the
problematic order in the evaluation. To do this we might impose a constraint
on the position of the reflexive marker that it must be adjacent to an argument
marker. If this constraint were higher ranked than (32), this would rule out the
problematic arrangement (36). The effect of (32) in this case would be to
ensure that the reflexive markers were placed as near to the back of the
reference domains as possible, hence achieving the desired order:
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Binding Revisited 48
(39)
reflAarg
arg1 arg2 arg3 refl refl
*!
arg1 arg2 refl arg3 refl
arg1 refl arg2 arg3 refl
reflFDR1
(= arg1 + arg3)
reflFDR2
(= arg2 + arg3)
*
*
*
**!
Again, for ease of explication, we represent the reflFDR constraint separately
for each domain, though really it is a single constraint. In the first candidate
ordering, both reflexive markers are behind both domains, hence reflFDR is
perfectly satisfied. However, one of them is necessarily non-adjacent to an
argument marker and so reflAarg is violated. In the third candidate, although
both reflexive markers are adjacent to argument markers, satisfying reflAarg,
one of them is followed by one member of one domain and both members of
the other. Hence rflFDR is violated three times. In comparison, the second
candidate, as it places the reflexive markers further to the back, only violates
rflFDR twice: once for each domain.
The above discussion concentrates on rather marginal data. In the vast
majority of cases however, where there is just one reflexive marker and so one
reference domain, the system works in a very straightforward way. Of course,
there are cases where reflexive pronouns are used where either the reflexive
precedes its antecedent, as discussed in section 5.1, or it has no antecedent at
all. But in these cases there is no reflexive context and no reflexive marker and
so the constraints discussed here will have no role in the analysis of such
phenomena. The investigation of such things will be left for future work.
6. Non-finite contexts
So far in this paper we have achieved pretty much what was done in the BOT
analysis, demonstrating that a non-structure based account of binding
phenomena is possible. Like the previous system, there is only one specific
binding constraint, though given the current system’s limitation to alignments,
certain aspects of binding, such as the obligatory appearance of a reflexive
marker in reflexive contexts, have been displaced to input conditions rather
than being handled by constraints.
The issue of ECM verbs has not been addressed as yet. Recall that this
is problematic for the definition of a reflexive predicate, calling for an
argument of one predicate to be counted as a ‘syntactic argument’ of another.
In this section, an analysis that is made possible by the late lexical insertion
assumption of the SFA system will be discussed.
Recent ideas concerning the decomposition of verbal predicates into a
root element and a number of ‘little vs’, whose function is to add the bits and
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Binding Revisited 49
pieces of event and argument structure associated with the root, raise questions
about the definition of the predicate: what makes a single notion of a predicate
out of all the bits and pieces? Although this issue is not much discussed in the
literature, there are at least two ways it can be answered under current
assumptions. One, which I suspect is tacitly assumed by most, is that there is
some sort of semantic coherence to all these elements based on the meaning of
the root. The meaning of the root therefore determines what initial verbal
components are grouped together into a single predicate. Let us refer to this
notion as a semantic predicate. A second view, which may be realised in
various ways under different theoretical assumptions, is that the predicate is
what bits and pieces are collected together into one unit. For example, it is
assumed in standard structural accounts that the root undergoes movements to
attach to the various little vs and forms a single word level element with them.
Let us refer to this as the morphological predicate.
From earlier assumptions, under which verbs were not decomposed
and were stored as a complete unit in the lexicon, these two notions of
predicate were not distinct. This is a complication therefore which arises from
the decompositional approach. However, there are empirical advantages of the
decompositional approach which make it worth the extra complication. The
fact is that semantic and morphological predicates do not always coincide, as
the non-decompositional approach would predict. An obvious case where a
single semantic predicate is realised by more than one morphological
predicates is the periphrastic causative (40a):
(40)
a the sun made the ice melt
b the sun melted the ice
The causative verb plus the process verb together express a single causative
predicate, which is often expressed as a single morphological predicate (40b),
but in the periphrastic construction is spelled out by distinct morphological
predicates. The opposite may also occur, where two distinct semantic
predicates are expressed as a single morphological unit. For example, in what
Aikhenvald (2006) refers to as symmetrical serial verb constructions, two
independent semantic predicates are expressed as an inseparable concatenation
of the two morphological predicates apparently occupying a single predicate
position in a single clause and sharing arguments, as in the following from
Alamblak, a Sepik language from Papua New Guinea:
(41)
miyt ritm muh -hambray -an -m
tree insects climb-search:for-1sg-3pl
‘I climbed the tree searching for insects’
Aikhenvald (2006:11)
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Binding Revisited 50
To these notions of predicate R&R add a third in order to account for
binding facts concerning ECM verbs: the syntactic predicate. This, they claim,
consists of one predicate (semantic/morphological) plus the argument of
another which it is grammatically associated with through Case assignment10.
The fact that this notion is introduced solely to account for why ECM verbs
are ‘reflexive’ when reflexively marked by the subject argument of their nonfinite complement raises cause for concern.
Here I will argue that there is no need for R&R’s extra notion and that
we can produce a simple theory based on semantic and morphological
predicates alone, both of which are relevant for the definition of a reflexive
predicate. First I will outline the general idea behind these claims and then
show in detail how they can be achieved.
The basic idea is made possible by the assumption that predicates are
decomposed into input CUs which are arranged (in the straightforward case)
by the alignment system in such a way that they can be spelled out by their
related root:
(42)
... v √ v v ...
verb
If the components are not contiguous with the root they cannot be spelled out
with it, which is what happens in the case of the periphrastic causative:
(43)
... v ... v √ v ...
make ... verb
My claim is that ECM verbs spell out the leftmost component of their
complement predicate and hence the argument associate with this component
is taken to be a (syntactic) argument of this (morphological) predicate:
10
It seems that Reinhart and Reuland are freely mixing two separate notions of predicate in
this definition. Until now we have been taking the notion of predicate (lexical, semantic
and morphological) to refer to the element which is assumed to take arguments, as in the
logical tradition. However, here they invoke an idea which is more like the traditional
grammar term, which stands in opposition to ‘subject’ as this is defined as the verb along
with its internal arguments. The term ‘reflexive predicate’, however, more readily refers to
the former rather than the latter.
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Binding Revisited 51
(44)
sem
pred
sem
pred
... v √ECM v ... √ v ...
verb
verb
Note that these assumptions do not require us to invent a new
definition for predicate other than those which seem necessary otherwise. The
ECM verb is reflexive if the subject of its complement verb reflexive marks it
because it forms a morphological predicate with the verb component which
introduces this argument. This verb component is still interpreted as part of the
semantic predicate with the complement verb, however.
Let us now consider the details which will enable us to realise this
basic idea. First, as described in Newson (2013), we assume that the clause
comprises a number of independent domains and that the root is positioned
with respect to these. One of these domains is made up of the argument
markers, which for English are arranged as follows:
(45)
arg1 > arg2 > arg3
This is simply achieved by a set of constraints which favour an initial position
of each marker in the domain made up of all the markers associated with a
single verbal root:
(46)
arg1PDA
arg2PDA
arg3PDA
violated by every element of DA which precedes arg1
violated by every element of DA which precedes arg2
violated by every element of DA which precedes arg3
With these constraint ranked in the order presented in (46) we achieve the
ordering in (45).
The verbal root is positioned in the second position of the argument
domain by a combination of an anti-precedence constraint and a precedence
constraint:
(47)
√*PDA
√PDA
violated under the best satisfaction of √PDA
violated by every element of DA which precedes √
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Again, ranked in the order presented, these constraints will ensure that the root
is not at the front of the argument domain, but as close to the front as it can
otherwise be: i.e. in second position.
We can assume that the little v components are also organised in a
similar fashion. We identify each component in the same way as the argument
markers that they are associated with (v1, v2, etc.) and assume the following
constraints concerning the domain formed by all the verbal components
related to a single verbal root (DV):
(48)
v1PDV violated by every member of DV which precedes v1
v2PDV violated by every member of DV which precedes v2
v3PDV violated by every member of DV which precedes v3
Again, we can fix the verbal root in the second position of this domain with
corresponding constraints:
(49)
√*PDA
√PDA
violated under the best satisfaction of √PDV
violated by every element of DV which precedes √
Finally we want the verbal components to be adjacent to the root so
that they can be spelled out with it. Thus the overall ordering of both argument
and verbal domains with the root in second position of both will be as follows:
(50)
arg1 v1 √ v2 v3 arg2 arg3
To achieve this we need an adjacency constraint:
(51)
vA√
violated by every element which is between v and its root
Of course, this can only be fully satisfied if there are two or less verbal
components, but the best satisfaction of the constraint when there are more
little vs is when no other elements intervene between the root and its verbal
components.
Note that the majority of the argument markers follow their associated
verbal components, with the exception of the subject. We can assume that vN
precedes argN, where N stands for the number determining the prominence of
the argument, is the normal state of affairs, obeying a straightforward
precedence constraint:
(52)
vParg violated if v follows its associated arg
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Binding Revisited 53
That the subject argument marker exceptionally precedes its verbal component
is the result of the adjacency constraint in (51): if the subject argument marker
were to follow its verbal component, it would intercede between that
component and the root. Thus (51) is higher ranked than (52).
(50) demonstrates the situation in the standard case. However, for the
non-finite complement of an ECM verb we want the order of elements to be
slightly different. Specifically, we want v1 to be at the front of the clause, so
that it can be spelled out with the ECM root:
(53)
... √ECM v1 arg1 √ v2 arg2 ...
Note that, in this case, v1 is adjacent to a root – the ECM root – and
furthermore, the preferred ordering of v1 and arg1 is achieved. If the
adjacency between v1 and the ECM root can be taken to satisfy vA√, then this
would be the preferential ordering as then there is no conflict with the vParg
constraint. So, the question is: what prevents this ordering for non-ECM
verbs11?
It is a view as old as the recognition of ECM phenomena that the
difference between an ECM construction and a non-ECM construction has to
do with the presence or absence of the complementiser. The complementiser,
appearing at the front of the domain consisting of all the elements related to
the verbal predicate, necessarily will stand between a verbal root and all of the
elements related to its propositional argument. We can suppose a constraint
(complementiser precedes predicate domain = cPDP) to account for this fact.
Therefore when the complementiser is present, the situation in (53) cannot
hold12. In this case, the leftmost component of the complement predicate will
be adjacent to its own root and hence no ECM configuration will/can be
formed. The situation is demonstrated in the following tables:
11
12
Other elements of the clause which are positioned between the subject and the verbal root,
such as auxiliaries and the infinitival marker, are irrelevant for the present discussion as
they are not members of the domains in question. Domain based constraints only see the
elements of the relevant domains and non-domain members have no effect on violation
profiles.
We follow the standard assumption that the finite complement of an ECM verb is fronted
by a phonologically unpronounced complementiser, so the adjacency between the ECM
root and the left most verbal element of its complement will only be achieved with nonfinite complements.
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Binding Revisited 54
(54)
... √ C arg1 v1 √ v2 arg2 ...
... √ C v1 arg1 √ v2 arg2 ...
... √ v1 C arg1 √ v2 arg2 ...
(55)
cPDP
vParg
*
*!
*!
cPDP
... √ECM arg1 v1 √ v2 arg2 ...
... √ECM v1 arg1 √ v2 arg2 ...
vA√
vA√
vParg
*!
In (54), as v1 cannot satisfy vA√ by being adjacent to the ECM root which
violates the high ranking ‘complementiser first’ constraint, it will satisfy it by
being adjacent to its own root. In this case it will be spelled out with its own
root and there will be no mismatch between semantic and morphological
predicates. In (55), however, with the complementiser absent, v1 can satisfy
vA√ by being adjacent to the ECM root, and as this also allows vParg to be
satisfied, this will be the optimal ordering. In this case, v1 will be spelled out
with the ECM root and there will be a discrepancy between the semantic and
morphological predicates.
One point that requires some discussion is the suggestion that the
notion of a reflexive predicate can be defined in terms of a morphological
predicate. Although reflexive predicates are identified on input conditions (a
predicate with two argument positions associated with one argument), it is a
semantic requirement that such predicates be reflexively marked. But if a
predicate is not defined as such until lexical insertion takes place, this means
that the semantic component must have direct access to information about
which underlying CUs are spelled out as a morphological unit. However, we
mentioned that this assumption is necessary in the above discussion of how
semantic interpretation effects the selection of pronoun that is inserted to spell
out an argument marker that is not associated with an argument root. In fact,
most current theories which incorporate a late insertion assumption seem to
have come to the same conclusion from a number of different angles (see
Marantz (1997) for a discussion of this issue in Distributed Morphology and
Starke (2009) for a similar conclusion within the Nanosyntax framework).
Perhaps a more urgent point for discussion is how the adjacency
between the ECM root and the component of its complement satisfy vA√.
Most constraints require alignment relations between targets and hosts which
are related in the input, otherwise locality relations between related elements
would be difficult to account for. However, the behaviour of this verb
component indicates that either there is some input relationship between it and
the ECM root or that this constraint is indifferent as to which root it takes as
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Binding Revisited 55
the host. As inputs encode semantic relations, it is difficult to see what
relationship could exist between the ECM root and this verbal component and
so we conclude that the constraint must not be root specific. This then raises
the question of why verb components are not just scattered throughout a
sentence, adjacent to any root they can be. The answer to this is wholly given
by the constraints we have proposed so far. Elements of the verbal domain are
ordered with respect to each other and the root related to these verbal
components is placed in the second position within each domain. Finally the
complementiser has to precede every element of the domain made up of all
those CUs which are associated with a root. The satisfaction of all these
conditions will ensure that no verbal component can wander too far from its
own root. Indeed, it is only in the absence of a complementiser that there will
be any freedom granted to which root a verbal component can be adjacent to
and this is exactly the case of ECM constructions. We can therefore allow this
constraint to be defined more generally with no negative empirical
consequences.
7. Conclusion
In this paper we have demonstrated that it is possible to recreate an analysis of
binding phenomena which was based on certain constituent structural notions
in purely non-constituent structural terms. Moreover, the late insertion
approach we have adopted has allowed us to improve on previous accounts of
binding in ECM contexts by making it possible to operate with just the notions
of semantic and morphological predicates instead of having to introduce a
third notion (syntactic predicate) especially for this purpose. Thus we not only
achieve a simplification, but we also avoid a problematic stipulation necessary
in other accounts.
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Mark Newson
Department of English Linguistics, Eötvös Loránd University
newson@btk.elte.hu
The Even Yearbook 11 (2014), Department of English Linguistics, Eötvös Loránd University, Budapest
ISSN 2061–490X, http://seas3.elte.hu/even, © 2014, Mark Newson