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1.
The Liar paradox is an obstacle to a theory of truth, but a Liar sentence need not contain a semantic predicate. The Pinocchio paradox, devised by Veronique Eldridge-Smith, was the first published paradox to show this. Pinocchio’s nose grows if, and only if, what Pinocchio is saying is untrue (the Pinocchio principle). What happens if Pinocchio says that his nose is growing? Eldridge-Smith and Eldridge-Smith (Analysis, 70(2): 212-5, 2010) posed the Pinocchio paradox against the Tarskian-Kripkean solutions to the Liar paradox that use language hierarchies. Eldridge-Smith (Analysis, 71(2): 306-8, 2011) also set the Pinocchio paradox against semantic dialetheic solutions to the Liar. Beall (2011) argued the Pinocchio story was just an impossible story. Eldridge-Smith (Analysis, 72(3): 749-752, 2012b) responded that unless the T-schema is a necessary truth of some sort (logical, metaphysical or analytic), the Pinocchio principle is possible. Luna (Mind & Matter 14(1): 77–86, 2016) argues that the Pinocchio contradiction proves the principle is false. D’Agostini & Ficara (2016) discuss a more plausible physical truth-tracking trait, the Blushing Liar, and argue that the Pinocchio contradiction is not a metaphysical dialetheia. I respond to Luna, and D’Agostini & Ficara, and prove that the Pinocchio paradox is a counterexample to hierarchical solutions to the Liar.  相似文献   

2.
Previous research suggests that metaphor comprehension is affected both by the concreteness of the topic and vehicle and their semantic neighbours (Kintsch, 2000; Xu, 2010). However, studies have yet to manipulate these 2 variables simultaneously. To that end, we composed novel metaphors manipulated on topic concreteness and semantic neighbourhood density (SND) of topic and vehicle. In Experiment 1, participants rated the metaphors on the suitability (e.g. sensibility) of their topic-vehicle pairings. Topic concreteness interacted with SND such that participants rated metaphors from sparse semantic spaces to be more sensible than those from dense semantic spaces and preferred abstract topics over concrete topics only for metaphors from dense semantic spaces. In Experiments 2 and 3, we used presentation deadlines and found that topic concreteness and SND affect the online processing stages associated with metaphor comprehension. We discuss how the results are aligned with established psycholinguistic models of metaphor comprehension.  相似文献   

3.
Continuous bag of words (CBOW) and skip-gram are two recently developed models of lexical semantics (Mikolov, Chen, Corrado, & Dean, Advances in Neural Information Processing Systems, 26, 3111–3119, 2013). Each has been demonstrated to perform markedly better at capturing human judgments about semantic relatedness than competing models (e.g., latent semantic analysis; Landauer & Dumais, Psychological Review, 104(2), 1997 211; hyperspace analogue to language; Lund & Burgess, Behavior Research Methods, Instruments, & Computers, 28(2), 203–208, 1996). The new models were largely developed to address practical problems of meaning representation in natural language processing. Consequently, very little attention has been paid to the psychological implications of the performance of these models. We describe the relationship between the learning algorithms employed by these models and Anderson’s rational theory of memory (J. R. Anderson & Milson, Psychological Review, 96(4), 703, 1989) and argue that CBOW is learning word meanings according to Anderson’s concept of needs probability. We also demonstrate that CBOW can account for nearly all of the variation in lexical access measures typically attributable to word frequency and contextual diversity—two measures that are conceptually related to needs probability. These results suggest two conclusions: One, CBOW is a psychologically plausible model of lexical semantics. Two, word frequency and contextual diversity do not capture learning effects but rather memory retrieval effects.  相似文献   

4.
Most current models of research on emotion recognize valence (how pleasant a stimulus is) and arousal (the level of activation or intensity that a stimulus elicits) as important components in the classification of affective experiences (Barrett, 1998; Kuppens, Tuerlinckx, Russell, & Barrett, 2012). Here we present a set of norms for valence and arousal for a very large set of Spanish words, including items from a variety of frequencies, semantic categories, and parts of speech, including a subset of conjugated verbs. In this regard, we found that there were significant but very small differences between the ratings for conjugations of the same verb, validating the practice of applying the ratings for infinitives to all derived forms of the verb. Our norms show a high degree of reliability and are strongly correlated with those of Redondo, Fraga, Padrón, and Comesaña’s (2007) Spanish version of the influential Affective Norms for English Words (Bradley & Lang, 1999), as well as those from Warriner, Kuperman, and Brysbaert (2013), the largest available set of emotional norms for English words. Additionally, we included measures of word prevalence—that is, the percentage of participants that knew a particular word—for each variable (Keuleers, Stevens, Mandera, & Brysbaert, 2015). Our large set of norms in Spanish not only will facilitate the creation of stimuli and the analysis of texts in that language, but also will be useful for cross-language comparisons and research on emotional aspects of bilingualism. The norms can be downloaded and available as a supplementary materials to this article.  相似文献   

5.
It has been argued that some animals are moral subjects, that is, beings who are capable of behaving on the basis of moral motivations (Rowlands 2011, 2012, 2017). In this paper, we do not challenge this claim. Instead, we presuppose its plausibility in order to explore what ethical consequences follow from it. Using the capabilities approach (Nussbaum 2004, 2007), we argue that beings who are moral subjects are entitled to enjoy positive opportunities for the flourishing of their moral capabilities, and that the thwarting of these capabilities entails a harm that cannot be fully explained in terms of hedonistic welfare. We explore the implications of this idea for the assessment of current practices involving animals.  相似文献   

6.
Indirect situationist critiques of virtue ethics grant that virtue exists and is possible to acquire, but contend that given the low probability of success in acquiring it, a person genuinely interested in behaving as morally as possible would do better to rely on situationist strategies - or, in other words, strategies of environmental or ecological engineering or control (Doris, 2002, 1998; see also Levy 2012). In this paper, I develop a partial answer to this critique drawn from work in early Confucian ethics and in contemporary philosophy and psychology. From early Confucian ethics, I lean on the concept of li, or ritual. Ritual represents both a set of situational manipulations that are especially effective at directly producing moral behavior and at indirectly cultivating virtue over time, and also a virtue that consists of facility with and expertise in these situational manipulations (Mower 2013; Slingerland, 2011; Sarkissian, 2010; and Hutton, 2006). Appealing to the particular example of social power, I then argue that one is justified in attempting to acquire virtue if one (a) knows that one will frequently encounter circumstances in which purely situationist strategies lose effectiveness, (b) if these circumstances also carry moral urgency: the risk of great harm or opportunity for great benefit to others is high, and (c) if utilizing the potent combination of situationist strategies and virtue envisioned by the early Confucians as ritual is possible.  相似文献   

7.
Detection of the Thatcher illusion (Thompson, Perception, 9:483–484, 1980) is widely upheld as being dependent on configural processing (e.g., Bartlett & Searcy, Cognitive Psychology, 25:281–316, 1993; Boutsen, Humphreys, Praamstra, & Warbrick, NeuroImage, 32:352–367, 2006; Donnelly & Hadwin, Visual Cognition, 10:1001–1017, 2003; Leder & Bruce, Quarterly Journal of Experimental Psychology, 53A:513–536, 2000; Lewis, Perception, 30:769–774, 2001; Maurer, Grand, & Mondloch, Trends in Cognitive Sciences, 6:255–260, 2002; Stürzel & Spillmann, Perception, 29:937–942, 2000). Given that supercapacity processing accompanies configural processing (see Wenger & Townsend, 2001), supercapacity processing should occur in the processing of Thatcherised upright faces. The purpose of this study was to test for evidence that the grotesqueness of upright Thatcherised faces results from supercapacity processing. Two tasks were employed: categorisation of a single face as odd or normal, and a same/different task for sequentially presented faces. The stimuli were typical faces, partially Thatcherised faces (either eyes or mouth inverted) and fully Thatcherised faces. All of the faces were presented upright. The data from both experiments were analysed using mean response times and a number of capacity measures (capacity coefficient, the Miller and Grice inequalities, and the proportional-hazards ratio). The results of both experiments demonstrated some evidence of a redundancy gain for the redundant-target condition over the single-target condition, especially in the response times in Experiment 1. However, there was very limited evidence, in either experiment, that the redundancy gains resulted from supercapacity processing. We concluded that the oddity signalled by inversion of eyes and mouths does not arise from positive interdependencies between these features.  相似文献   

8.
It is argued that truth value of a sentence containing free variables in a context of use (or the truth value of the proposition it expresses in a context of use), just as the reference of the free variables concerned, depends on the assumptions and posits given by the context. However, context may under-determine the reference of a free variable and the truth value of sentences in which it occurs. It is argued that in such cases a free variable has indeterminate reference and a sentence in which it occurs may have indeterminate truth value. On letting, say, x be such that \(x^2=4\), the sentence ‘Either \(x=2\) or \(x=-2\)’ is true but the sentence ‘\(x=2\)’ has an indeterminate truth value: it is determinate that the variable x refers to either 2 or \(-2\), but it is indeterminate which of the two it refers to, as a result ‘\(x=2\)’ has a truth value but its truth value is indeterminate. The semantic indeterminacy is analysed in a ‘radically’ supervaluational (or plurivaluational) semantic framework closely analogous to the treatment of vagueness in McGee and McLaughlin (South J Philos 33:203–251, 1994, Linguist Philos 27:123–136, 2004) and Smith (Vagueness and degrees of truth, Oxford University Press, Oxford, 2008), which saves bivalence, the T-schema and the truth-functional analysis of the boolean connectives. It is shown that on such an analysis the modality ‘determinately’ is quite clearly not an epistemic modality, avoiding a potential objection raised by Williamson (Vagueness, Routledge, London, 1994) against such ‘radically’ supervaluational treatments of vagueness, and that determinate truth (rather than truth simpliciter) is the semantic value preserved in classically valid arguments. The analysis is contrasted with the epistemicist proposal of Breckenridge and Magidor (Philos Stud 158:377–400, 2012) which implies that (in the given context) ‘\(x=2\)’ has a determinate but unknowable truth value.  相似文献   

9.
Raamy Majeed 《Synthese》2018,195(11):4865-4882
Jackson (From metaphysics to ethics, Oxford, Oxford University Press, 1998) argues that conceptual analysis plays a modest, albeit crucial, role in ‘serious metaphysics’: roughly, the project of demystifying phenomena we take to be mysterious by locating them in the natural world. This defence of conceptual analysis is associated with ‘the Canberra Plan’, a philosophical methodology that has its roots in the works of both Lewis (J Philos 67(13):427–446, 1970, Australas J Philos 50:249–258, 1972) and Jackson (Monist 77:93–110, 1994, 1998). There is, however, a distinction to be drawn between conceptual analysis, as it is typically employed in the Canberra plan, and a version of it defended by Jackson himself. In this paper, I elucidate this distinction, and employ examples from the history of science to argue the use of the former, but not the latter, incurs certain problems of conceptual change. Moreover, I also argue neither can be used to undertake serious metaphysics—the former because of the aforementioned problems, and the latter due to the machinery it employs to solve them.  相似文献   

10.
Dellsén (2016) has recently argued for an understanding-based account of scientific progress, the noetic account, according to which science (or a particular scientific discipline) makes cognitive progress precisely when it increases our understanding of some aspect of the world. I contrast this account with Bird’s (2007, 2015); epistemic account, according to which such progress is made precisely when our knowledge of the world is increased or accumulated. In a recent paper, Park (2017) criticizes various aspects of my account and his arguments in favor of the noetic account as against Bird’s epistemic account. This paper responds to Park’s objections. An important upshot of the paper is that we should distinguish between episodes that constitute and promote scientific progress, and evaluate account of scientific progress in terms of how they classify different episodes with respect to these categories.  相似文献   

11.
Psycholinguistic research has been advanced by the development of word recognition megastudies. For instance, the English Lexicon Project (Balota et al., 2007) provides researchers with access to naming and lexical-decision latencies for over 40,000 words. In the present work, we extended the megastudy approach to a task that emphasizes semantic processing. Using a concrete/abstract semantic decision (i.e., does the word refer to something concrete or abstract?), we collected decision latencies and accuracy rates for 10,000 English words. The stimuli were concrete and abstract words selected from Brysbaert, Warriner, and Kuperman’s (2013) comprehensive list of concreteness ratings. In total, 321 participants provided responses to 1,000 words each. Whereas semantic effects tend to be quite modest in naming and lexical decision studies, analyses of the concrete/abstract semantic decision responses show that a substantial proportion of variance can be explained by semantic variables. The item-level and trial-level data will be useful for other researchers interested in the semantic processing of concrete and abstract words.  相似文献   

12.
There is a shift in evidence-based practice toward an understanding of the treatment elements that characterize empirically supported interventions in general and the core components of specific approaches in particular. The evidence base for behavioral parent training (BPT) and the standard of care for early-onset disruptive behavior disorders (oppositional defiant disorder and conduct disorder), which frequently co-occur with attention deficit hyperactivity disorder, are well established, yet an ahistorical, program-specific lens tells little regarding how leaders, University of Oregon Medical School, shaped the common practice elements of contemporary evidence-based BPT. Accordingly, this review summarizes the formative work of Hanf, as well as the core elements, evolution, and extensions of her work, represented in Community Parent Education (COPE; (Cunningham et al. in J Child Psychol Psychiatry 36:1141–1159, 1995; Cunningham et al. in COPE, the community parent education program: large group community-based workshops for parents of 3- to 18-year-olds, COPE Works, Hamilton, 2009), Defiant Children (DC; (Barkley in Defiant children: a clinician’s manual for assessment and parent training, Guilford Press, New York, 1987; Barkley in Defiant children: a clinician’s manual for assessment and parent training, Guilford Press, New York, 2013), Helping the Noncompliant Child (HNC; Forehand and McMahon in Helping the noncompliant child: a clinician’s guide to parent training, Guilford Press, New York, 1981; McMahon and Forehand in Helping the noncompliant child: family-based treatment for oppositional behavior, 2nd ed., Guilford Press, New York, 2003), Parentchild interaction therapy (PCIT; Eyberg and Robinson in J Clin Child Adolesc Psychol 11:130–137, 1982. doi:10.1080/15374418209533076; Eyberg in Child Fam Behav Ther 10:33–46, 1988; Eyberg and Funderburk in Parent–child interaction therapy protocol, PCIT International, Gainesville, 2011), and the Incredible Years (IY; (Webster-Stratton in Behav Ther 12:634–642, 1981. doi:10.1016/S0005-7894(81)80135-9; Webster-Stratton in J Pediatr Psychol 7:279–294, 1982. doi:10.1093/jpepsy/7.3.279; Webster-Stratton in The incredible years: parents and children series. Leader’s guide: preschool version of BASIC (ages 3–6 years, The Incredible Years, Seattle, 2008). Our goal is not to provide an exhaustive review of the evidence base for the Hanf-Model programs, rather our intention is to provide a template of sorts from which agencies and clinicians can make informed choices about how and why they are using one program versus another, as well as how to make inform flexible use one program or combination of practice elements across programs, to best meet the needs of child clients and their families. Clinical implications and directions for future work are discussed.  相似文献   

13.
This paper aims to explain how semiotics and constructivism can collaborate in an educational epistemology by developing a joint approach to prescientific conceptions. Empirical data and findings of constructivist research are interpreted in the light of Peirce’s semiotics. Peirce’s semiotics is an anti-psychologistic logic (CP 2.252; CP 4.551; W 8:15; Pietarinen in Signs of logic, Springer, Dordrecht, 2006; Stjernfelt in Diagrammatology. An investigation on the borderlines of phenomenology, ontology and semiotics, Springer, Dordrecht, 2007) and relational logic. Constructivism was traditionally developed within psychology and sociology and, therefore, some incompatibilities can be expected between these two schools. While acknowledging the differences, we explain that constructivism and semiotics share the assumption of realism that knowledge can only be developed upon knowledge and, therefore, an epistemological collaboration is possible. The semiotic analysis performed confirms the constructivist results and provides a further insight into the teacher-student relation. Like the constructivist approach, Peirce’s doctrine of agapism infers that the personal dimension of teaching must not be ignored. Thus, we argue for the importance of genuine sympathy in teaching attitudes. More broadly, the article also contributes to the development of postmodern humanities. At the end of the modern age, the humanities are passing through a critical period of transformation. There is a growing interest in semiotics and semiotic philosophy in many areas of the humanities. Such a case, on which we draw, is the development of a theoretical semiotic approach to education, namely edusemiotics (Stables and Semetsky, Pedagogy and edusemiotics: theoretical challenge/practical opportunities, Sense Publishers, Rotterdam, 2015).  相似文献   

14.
Evidence suggests that conjoint treatment can be effective for certain violent couples in certain situations (Finkel in Rev Gen Psychol 11:193–207, 2007; LaTaillade et al. in J Cogn Psychother 20:393–410, 2006; Fals-Stewart et al. in J Consult Clin Psych 73:239–248, 2005; Stith et al. in J Marital Fam Ther 29(3):407–426, 2003). However, not as much is known about which aspects of conjoint treatment make a difference, nor if male and female participants experience these elements of treatment differently. Knowing which components of couples’ treatment clients perceive as helpful—and whether their perceptions differ by gender—will allow us to redefine models with an eye toward making them more effective. In this study we used qualitative methods to examine the aspects of a particular couples’ treatment program (Stith and McCollum in Aggress Violent Beh 16(4):312–318, 2011) that clients found useful while also considering the differences between men’s and women’s responses. Fourteen couples, in which the male had been identified as the primary aggressor, were interviewed multiple times to gain their perspectives about components of the program they found helpful and their suggestions for program improvement. Themes are analyzed by gender. Implications for treatment and future research are provided.  相似文献   

15.
Presently, MFT training programs teach MFT models in a way that emphasizes differences over similarities (Karam et al. in J Marital Fam Ther, 2015. doi: 10.1111/jmft.12096; Sprenkle and Blow in J Marital Fam Ther 30:113–129, 2004a. doi: 10.1111/j.1752-0606.2004.tb01228.x, in J Marital Fam Ther 30:151–157, b. doi: 10.1111/j.1752-0606.2004.tb01230.x; Sprenkle et al. in Common factors in couple and family therapy: the overlooked foundation for effective practice. Guilford Press, New York, 2009). Although teaching a variety of models and their distinctiveness is vital, doing so may create a competitive rather than integrative relationship between models (Karam et al. 2015). While Karam et al. 2015 encourage the inclusion of common factors in MFT training, we expand their justification for the importance of doing so We also explain conceptual and practical ways to include common factors in MFT training. Common factors instruction can fulfill multiple purposes: (a) create a sense of cohesiveness for programs which need to teach breadth of topics that can seem unrelated, (b) help prepare practitioners who need to learn many models well but will likely adopt an integrative approach, (c) align with basic skills training, (d) align with process research, and (e) enhance the richness of individual models. For each of these purposes, we provide an example of a classroom activity. We conclude with a unifying example of how one student may learn the common-factors perspective and weave it into her reflective practices as an MFT student.  相似文献   

16.
This article is a fictional letter. This “letter” is the fourth fictional letter published by the author. In each letter, I take on a different persona and address issues and questions of theological students at Princeton Seminary, all of whom I imagine to be in their early or mid-twenties, because that is when I attended Princeton Seminary (Carlin 2004, 2006a, 2006b). By doing so, I am endorsing the introspective method in the psychology of religion, which I’ve learned from Donald Capps (1997). This letter is also a reflection on a passage found in the work Erik Eriksons (1962), which is the below epigram. In this letter, a seminarian writes to his mother during his second year of seminary, shortly before Thanksgiving break. The purpose of his letter is to inform his mother—from whom he received his Christianity—about some of his latest thoughts, particularly about the doctrine of the atonement. He has come to believe that the doctrine is problematic for society and he seeks a way to (re)make Christianity into a force for good. Perhaps strangely, he concludes by calling for the death of God, apparently oblivious to this forgotten debate in theological circles. This article raises a number of questions, but perhaps most importantly this one: How far can we take the lament?  相似文献   

17.
I give a brief overview of Albert Casullo’s Essays on A Priori Knowledge and Justification (2012), followed by a summary of his diagnostic framework for evaluating accounts of a priori knowledge and a priori justification. I then discuss Casullo’s strategy for countering deficiency arguments against empiricism. A deficiency argument against empiricism can be countered by mounting a parallel argument against moderate rationalism that shows moderate rationalism to be defective in a similar way. I argue that a particular deficiency argument put forth by George Bealer in “The Incoherence of Empiricism” (1992) can withstand a parallel challenge mounted by Casullo (2012, Ch.6).  相似文献   

18.
Glymour (1970, 1977, 1980) and Quine (1975) propose two different formal criteria for theoretical equivalence. In this paper we examine the relationships between these criteria.  相似文献   

19.
Division of attention (DA) at the time of learning has large detrimental effects on subsequent memory performance, but DA at retrieval has much smaller effects (Baddeley, Lewis, Eldridge, & Thomson, 1984, Journal of Experimental Psychology: General, 113, 518–540; Craik, Govoni, Naveh-Benjamin, & Anderson, 1996, Journal of Experimental Psychology: General, 125, 159–180). Experiment 1 confirmed the relatively small effects of DA on retrieval and also showed that retrieval operations do consume processing resources. The experiment also found that the effect is not attributable to a trade-off in performance with the concurrent task or to recognition decisions made on the basis of familiarity judgments. Participants made levels-of-processing (LOP) judgments during encoding to check whether deeper semantic judgments were differentially vulnerable to the effects of DA. In fact DA did not interact with LOP. Experiment 2 explored reports that the comparatively slight effect of DA on recognition accuracy is accompanied by a compensatory increase in recognition latency (Baddeley et al., 1984). The experiment replicated findings that neither DA nor differential emphasis between recognition and a concurrent continuous reaction time (CRT) task affected recognition accuracy, but also found evidence for a lawful trade-off in decision latencies between recognition and CRT performance. Further analysis showed that the relationship between response rates on the two tasks was well described by a linear function, and that this function was demonstrated by the majority of individual participants. It is concluded that the small effect of DA on recognition performance is attributable to a trade-off within the recognition task itself; accuracy is maintained by a compensatory increase in decision latency.  相似文献   

20.
The last two decades have seen a surge of support for normative quietism: most notably, from Dworkin (1996, 2011), Nagel (1996, 1997), Parfit (2011a, b) and Scanlon (1998, 2014). Detractors like Enoch (2011) and McPherson (2011) object that quietism is incompatible with realism about normativity. The resulting debate has stagnated somewhat. In this paper I explore and defend a more promising way of developing that objection: I’ll argue that if normative quietism is true, we can create reasons out of thin air, so normative realists must reject normative quietism.  相似文献   

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