Routledge Handbooks in English Language Studies - Rodney H. Jones - The Routledge Handbook of Language and Creativity (2015, Routledge)
Routledge Handbooks in English Language Studies - Rodney H. Jones - The Routledge Handbook of Language and Creativity (2015, Routledge)
Routledge Handbooks in English Language Studies - Rodney H. Jones - The Routledge Handbook of Language and Creativity (2015, Routledge)
4324/9781315694566
The Routledge Handbook of Language and Creativity provides an introduction to and sur-
vey of a wide range of perspectives on the relationship between language and creativity.
Defining this complex and multifaceted field, this book introduces a conceptual framework
through which the various definitions of language and creativity can be explored.
Divided into four parts, it covers:
•• different aspects of language and creativity, including dialogue, metaphor and humour
•• literary creativity, including narrative and poetry
•• multimodal and multimedia creativity, in areas such as music, graffiti and the internet
•• creativity in language teaching and learning.
With over 30 chapters written by a group of leading academics from around the world, The
Routledge Handbook of Language and Creativity will serve as an important reference for
students and scholars in the fields of English language studies, applied linguistics, education,
and communication studies.
Rodney H. Jones is professor of sociolinguistics and new media at the University of Reading.
Routledge Handbooks in English Language Studies
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Rodney H. Jones
Edited by
of Language and Creativity
The Routledge Handbook
First published 2016
by Routledge
2 Park Square, Milton Park, Abingdon, Oxon OX14 4RN
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and by Routledge
711 Third Avenue, New York, NY 10017
Routledge is an imprint of the Taylor & Francis Group, an informa business
© 2016 selection and editorial matter, Rodney H. Jones; individual chapters,
the contributors
The right of the editor to be identified as the author of the editorial material,
and of the authors for their individual chapters, has been asserted in accordance
with sections 77 and 78 of the Copyright, Designs and Patents Act 1988.
All rights reserved. No part of this book may be reprinted or reproduced or
utilised in any form or by any electronic, mechanical, or other means, now
known or hereafter invented, including photocopying and recording, or in any
information storage or retrieval system, without permission in writing from the
publishers.
Trademark notice: Product or corporate names may be trademarks or
registered trademarks, and are used only for identification and explanation
without intent to infringe.
British Library Cataloguing-in-Publication Data
A catalogue record for this book is available from the British Library
Library of Congress Cataloging-in-Publication Data
The Routledge handbook of language and creativity / edited by
Rodney H Jones.
pages cm
Includes bibliographical references and index.
1. Creativity (Linguistics)—Handbooks, manuals, etc. 2. Language and
languages—Handbooks, manuals, etc. 3. Creation (Literary, artistic, etc.)—
Handbooks, manuals, etc. I. Jones, Rodney H.
P37.R69 2015
400—dc23
2015008808
Contents
Introduction 1
Rodney H. Jones
PART I
Dimensions of language and creativity 23
5 Lexical creativity 92
Judith Munat
PART II
Literary creativity 189
11 Literariness 191
David S. Miall
PART III
Multimodal and multimedia creativity 291
vi
Contents
PART IV
Creativity in language teaching and learning 431
Index 513
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Figures
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Tables
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Foreword
This book underlines the remarkable extent and variety of current research into the domain
of language and creativity. It does so in a series of chapters containing key questions, key
data, key exemplifications of research methodologies, and key questions for the develop-
ment of future research. The whole book illustrates powerfully the central importance of
creativity research in interdisciplinary contexts across the humanities, social sciences,
and sciences.
In the past century, and stretching back even further in time, the topic of creativity has
tended to be seen and investigated as a matter of mind and cognition; to explore and explain
creativity was to begin to try to unravel the minds of exceptional individuals, to utilise
mainly psychological research methods in pursuit of this, and to see individual creative out-
puts as exemplars of an essentialist and universal cognitive capacity. There is no denying the
continuing value of this research, while it is likewise perverse to deny that there is no such
thing as individual genius, or that there are no creative outputs that do not have an enduring
value and transformative resonance within particular cultural contexts and particular value
systems. This century is, however, witnessing an opening up of the topic of creativity to dif-
ferent research traditions, which in turn are playing a part in reconceptualising language and
creativity, and in repositioning it in more interdisciplinary frameworks.
Central to this shift from psychological and more mentalistic approaches to creativity is
the notion of discourse and of language as social discourse. Put simply, this focus means
that creative language is not seen as separate from the social conditions of its production,
from the people who use it, or from the technologies used to produce it (Jones, 2012).
Creativity used to be seen as something to unlock from private minds; it is now seen as
something that is co-constructed in interaction and dialogue, as operating in groups as well
as in individuals, as involving the receiver as well as the producer of creative entities, and
as occupying a place not simply in artistic, aesthetic, or literary realms, but in a wide variety
of different forms of communication.
Such an orientation allows creativity to be seen as an everyday phenomenon manifested
in a range of quotidian activities in spoken, written, and multimodal forms; it also pro-
vides, within the institution of ‘literature’ and its culturally constructed definitions, a more
inclusive framework for creative writing, offering a template for discussions of creativity
in language learning and teaching that do not simply locate the sources of creativity in indi-
vidual cognition or limit creative writing only to conventional genres.
The word ‘creative’ does not now only collocate with ‘writing’, or ‘literature’, or ‘art’,
or ‘poetic’; it collocates – as richly illustrated in chapters of this volume – with an aston-
ishing variety of words and concepts such as ‘silence’, ‘business’, ‘professional’, ‘media
practices’, ‘classroom learning’, ‘Internet’, ‘public relations’, ‘architecture’, ‘digital’,
x
Foreword
not only allied with a post-romantic preoccupation with serious production, but is also
properly consonant in both a literal and metaphoric sense with re-creation.
The twenty-first-century theoretical and practical positioning of creativity and linguistic
creativity research in relation to social contexts of use, and to discourses of production and
reception, raises significant questions. We are asking not simply: what is creativity? We
are asking: how is creativity appreciated and valued? Are we talking only of high-quality
extraordinary creative outputs, or can we adopt a more democratic stance to more ordinary
creative outputs? And who makes the valuation anyway and with what criteria? Are the
values only aesthetic or social, or political, or shared collective and community values?
Can definitions of ‘creativity’ be the sole province of creative individuals, or do definitions
need to include all of the co-participants in creative outputs and receptions? How far can we
define creative language only in relation to its sociopoetic functions, and how should we and
how can we, in the light of substantial research in sociolinguistics, pragmatics, and socio-
cultural discourse analysis, embrace the ways in which all kinds of language can function
to perform creative acts? Here, we are seeing creativity not only as ‘language’, but also as
what people do with language and the creative social actions that they take with it to solve a
problem, to re-accent a relationship, to produce a new kind of critical and subversive blog,
to use colour, or photographs, or a moving image to enhance a job application, to develop a
business strategy that challenges existing practice, to co-create with a team of fellow carers
new ways of restructuring interactions with patients in a care home, in which previously
more predictable or routine actions obtained, or to generate laughter and humour by surpris-
ing word play or a picture in digital media such as Twitter or Instagram (to offer but a few
random examples).
Sometimes, creative actions such as these are bold and innovative, and involve overt
individual displays; sometimes, they involve more incremental and glacial shifts in col-
lective behaviours. To discount this more covert action as uncreative is to narrow and
limit definitions of creativity, or to isolate it within only a single exclusive and possibly
elitist sphere. The aesthetic and the social are not dissolvable in this way. As the Czech
textual theorist Jan Mukařovský (1970 [1936]: 16) puts it, ‘the attitude which the indivi
dual takes toward reality and to the reality depicted by the artistic object . . . is determined
by the social relationships in which the individual is involved’. In other words, value
is context – and it is culture-specific, and cannot simply be a universal or timeless or
essentialist quality. The ways in which we see creativity are constantly being reshaped,
sometimes rapidly and sometimes more imperceptibly, by new cultural, societal, and
technological forces, and this is even more the case in an age of ever-more-ubiquitous
digital media practices.
This volume illustrates the best of the many approaches to creativity described in the
preceding paragraphs (as well as others not mentioned or mentioned only indirectly).
Creativity and the challenges inherent to better understanding its importance are defining
features of our times. The Routledge Handbook of Language and Creativity embraces crea-
tive writing, literary stylistic approaches, conventional analysis of literary tropes, creativity
in everyday discourses, creativity and cognition, computational creativity, multilingual cre-
ativity, creativity in language learning and teaching, creative Internet use, translation and
creative language use, and creativity within and across different modes and media. And
it embraces, of course, numerous other investigative and methodological foci, including
substantial empirical data to provide the basis for yet richer theory and description.
xi
Foreword
The volume supplies summaries and synopses, analogies and arguments, contrasts and
comparisons; it provides templates for research; it produces interdisciplinary perspectives; it
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points to histories and futures. It constitutes a resource for creativity studies that will inspire,
impact, challenge, and endure for many years.
Ronald Carter
16 February 2015
School of English, University of Nottingham
References
Jones, R. (ed.) (2012) Discourse and Creativity, Harlow: Pearson.
Mukařovský, J. (1970 [1936]) Aesthetic Function, Norm and Value as Social Fact, Ann Arbor, MI:
Michigan Slavic Contributions.
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Acknowledgements
The editor would like to thank Ms Zheng Yaxin for her invaluable assistance in liaising with
contributors and proofreading chapters. In addition, the editor, contributors, and publisher
would like to thank the following copyright holders for permission to reproduce the following
material.
•• Figure 2.1, ‘Eating on the Street Isn’t Pretty’, © Saatchi & Saatchi Health Communi
cations, reproduced with permission.
•• Figure 6.4, Banksy graffiti. The freedom to reproduce the image is gratefully
acknowledged.
•• Figure 6.5, Advert reproduced with kind permission of Sky.
•• ‘At the Fishhouses’, from The Complete Poems 1927–1979 by Elizabeth Bishop.
Copyright © 1979, 1983 by Alice Helen Methfessel. Reprinted by permission of Farrar,
Straus and Giroux, LLC, and Random House UK.
•• Figures 20.1 and 20.2, Gargas Cave and Rouffignac Cave photographs © Kevin Sharpe
and Leslie van Gelder. By kind permission of Leslie van Gelder.
•• Figure 20.3, Cave of Altamira Photo © Museum of Altamira – P. Saura. By kind permis-
sion of the National Museum and Research Centre of Altamira, Department of Culture
of Spain.
•• Figure 21.3, ‘Meta-Malevich “Point Rouge”’; Figure 21.4, ‘Chariot M.K. IV’; and
Figure 21.5, ‘Selfportrait’ by Jean Tinguely © Jean Tinguely/billedkunst.dk, repro-
duced with kind permission.
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Contributors
Nancy D. Bell is an associate professor at Washington State University. Her work has
appeared in journals such as Applied Linguistics, Humor, Language Learning, and TESOL
Quarterly. She is also the author of A Student’s Guide to the M.A. TESOL (Palgrave
Macmillan, 2009).
Vijay K. Bhatia is a former professor at City University of Hong Kong. His research
interests include critical genre analysis of academic and professional discourses, such
as legal, business, newspaper, and advertising, and English for specific purposes and
professional communication. Two of his books, Analysing Genre: Language Use in
Professional Settings (Routledge, 1993) and Worlds of Written Discourse: A Genre-
based View (A&C Black, 2004), are widely used by scholars interested in genre theory
and practice. He is currently working on a new monograph to be entitled Critical Genre
Analysis: Investigating Interdiscursive Performance in Professional Communication
(Routledge, forthcoming).
Ronald Carter is research professor of modern English language in the School of English
Studies, University of Nottingham. Ronald has published extensively in the fields of
applied linguistics, and literature and language in education, and is the author and editor
of more than forty books and 100 articles in these fields. Recent publications as author and
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Contributors
co-author include Language and Creativity: The Art of Common Talk (Routledge, 2004),
The Cambridge Grammar of English (Cambridge University Press, 2006), Creativity in
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Language and Literature (Palgrave, 2011), and English Grammar Today: An A–Z of
Spoken and Written Grammar (Cambridge University Press, 2011). He is a fellow of the
British Academy of Social Sciences and was awarded an MBE in 2009 for services to local
and national higher education.
Clare Dowdall lectures in language and literacy education at the University of Plymouth.
She researches and writes in areas relating to children’s digital literacies, and has a particular
interest in notions of text and how texts are produced by children, both in school and other
contexts. She has recently co-edited a special issue of the journal Literacy entitled ‘Popular
Culture and Curriculum’.
Alison Gibbons is a senior lecturer in English at Sheffield Hallam University. She is the
author of Multimodality, Cognition, and Experimental Literature (Routledge, 2012), and
co-editor of both Mark Z. Danielewski (Manchester University Press, 2011, with Joe Bray)
and The Routledge Companion to Experimental Literature (Routledge, 2012, with Joe Bray
and Brian McHale).
Geoff Hall is a professor of sociolinguistics and head of the School of English at the
University of Nottingham Ningbo China. Editor of Language and Literature since 2010, he
has published widely in the area of literary stylistics. The second edition of Literature in
Language Education (Palgrave Macmillan) appeared in 2015.
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Contributors
Colin Lankshear is an educational researcher who lives in Mexico and is an adjunct pro-
fessor in the College of Arts, Society and Education at James Cook University, Queensland,
Australia. His main research interests are in the area of new literacies, and he jointly edits a
book series in this area for Peter Lang. His more recent books, in collaboration with Michele
Knobel, include A New Literacies Reader (Peter Lang, 2013), Literacies: Social, Cultural,
and Historical Perspectives (Peter Lang, 2011), and New Literacies: Everyday Practices
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Contributors
and Social Learning (McGraw-Hill, 2011). Colin shares a website with Michele Knobel at
www.everydayliteracies.net.
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Gillian Lazar is a senior lecturer at Middlesex University, London, and a visiting lecturer
on the MA TESOL and Creative Writing at the University of Westminster. Her research and
publications have focused on the use of literature in language teaching, figurative language,
and academic literacies.
Andrea Macrae is a senior lecturer in stylistics at Oxford Brookes University. She teaches
stylistics, narratology, and cognitive poetics. Her primary areas of research and publication
include deixis, stylistics of performance, metafiction, and pedagogical stylistics.
Janet Maybin is a senior lecturer in language and communication at the Open University.
Originally trained as a social anthropologist, she contributes to Open University courses
on English language and language arts. Janet has researched and written extensively on
children’s informal language and literacy practices, language and learning, and language
creativity.
David S. Miall formerly taught, since 1990, at the University of Alberta in Canada. He
specialises in literature of the British Romantic period and in empirical studies of literary
reading. He retired in 2012.
Judith Munat was formerly a lecturer in the English Department of the University of
Pisa, Faculty of Letters, for more than twenty years, where she taught morphology, syntax,
stylistics, and North American literature. Among her many publications are articles on
stylistic analysis, formulaic language, the noun phrase, iconicity, metaphor, and global
English, as well as a volume on lexical creativity that she edited for John Benjamins.
Camilla Nelson lectures in communications and media at the University of Notre Dame,
Australia, and researches in the fields of creativity and creative practice, and fiction and
non-fiction writing. She is a former journalist and a awarded novelist. Her most recent book
is a co-edited collection of essays, On Happiness: New Ideas for the Twenty-first Century
(UWAP, 2015).
Douglas Robinson is chair professor of English and dean of the Arts Faculty at Hong
Kong Baptist University, and author of many books and articles on translation, including
The Translator’s Turn (Johns Hopkins University Press, 1991), Translation and Taboo
(Northern Illinois University Press, 1996), Becoming a Translator (Psychology Press, 1997),
Who Translates? (State University of New York Press, 2001), Performative Linguistics
(Routledge, 2003), Translation and the Problem of Sway (John Benjamins, 2011),
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Contributors
translator of literary and technical texts from Finnish to English since 1975.
Roberto Simanowski holds a PhD in literary studies and a venia legendi in media studies.
Since 2014, he has been a professor for digital media studies at City University Hong Kong,
having formerly been a professor for German studies at Brown University and for media
studies at the University of Basel. Roberto’s latest publications in English include Reading
Moving Letters: Digital Literature in Research and Teaching – A Handbook (Transcript
Verlag, 2010, with Jörgen Schäfer and Peter Gendolla) and Digital Art and Meaning: Reading
Kinetic Poetry, Text Machines, Mapping Art, and Interactive Installations (University of
Minnesota Press, 2011). His latest books in German include Data Love (Matthes & Seitz
Verlag, 2014, English edition forthcoming with Columbia University Press in 2016) and
Facebook (Matthes & Seitz Verlag, 2015).
Joan Swann is Emeritus Professor of English Language at the Open University. She has
written widely on linguistic creativity, with a particular interest in literary reading and
reception. Her most recent publication in this area is The Discourse of Reading Groups
(Routledge, 2015, with David Peplow, Paola Trimarco, and Sara Whiteley).
Tan Bee Tin currently teaches at Applied Language Studies and Linguistics (School of
Cultures, Languages and Linguistics), University of Auckland, New Zealand. She has
a strong interest in language education in Asia, and has conducted research in Nepal,
Indonesia, and Myanmar (Burma). She has published in the areas of materials development
for language teaching, studies of academic discourse, language teacher education, language
creativity and language learning, the role of interest in (language) learning, and teaching
English in peripheral contexts.
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Contributors
Tony Veale is a computer scientist at University College Dublin, Ireland. His research
focuses on the computational modelling of creative linguistic phenomena, including metaphor,
blending, simile, analogy, and irony. He leads the European Commission’s PROSECCO net-
work (PROSECCO-network.eu), an international coordination action that aims to promote the
scientific exploration of computational creativity. Tony is the author of the metaphor-generating
Twitterbot @MetaphorMagnet and founder of the educational website RobotComix.com,
which promotes the philosophy and practice of computational creativity to the general public.
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Abbreviations
xx
Abbreviations
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and creativity
Dimensions of language
Part I
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1
Everyday language creativity
Janet Maybin
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Janet Maybin
critique. Within more recent post-structuralist work, novelty and surprise are still important
criteria, but here they are located not so much within the boundaries of individual texts as in
processes of intertextuality, recontextualisation, and translation.
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Everyday language creativity
The referential function orients towards the subject matter and context; the metalingual
function focuses on the code (for example questioning the meaning of a word); the phatic
function establishes or prolongs communication. Jakobson’s argument that all language,
including literature, is amenable to linguistic analysis and that the poetic function is always
potentially available could be seen as opening the door for the study of vernacular language
creativity. Moreover, as Pratt (1977) points out, the six functions themselves are not purely
linguistic: the referential and emotive functions carry additional information, respectively,
about the context and about the inner state of the addressor. Thus, although Jakobson him-
self did not develop this point, his functional model also seems to suggest a need for a more
contextually sensitive approach.
In contrast to the mainly textual focus of formalist accounts, the work of Jakobson’s
Russian contemporary Bakhtin provides a much more sociohistorical theorisation of
the inherently responsive and many-voiced nature of language use. Bakhtin, who both
reacted against and was influenced by formalism and Marxism, argued that the aesthet-
ics of language must have a social dimension. In the same way as an utterance is always
co-authored by a speaker and listener, so a text or event becomes an aesthetic object through
its contemplation as such by an author and a spectator, and is thus always essentially
co-created (Bakhtin, 1923). Linguists seeking to develop more dynamic and sociohistori-
cally grounded accounts of language creativity have drawn on Bakhtin’s view of language
as a tumultuous, conflicted phenomenon, whereby opposing centrifugal and centripetal
forces continually open up possibilities for change (Bakhtin, 1935). Creativity emerges here
not so much through linguistic deviation and parallelism, but through the exploitation of the
heteroglossic dynamics of language use (see Jones, Chapter 3). Thus, for instance, speakers
and writers may manipulate the intertextual connotations of particular words or phrases,
or recontextualise voices from one context to another, or animate a struggle between an
authoritative narrator and the viewpoint of a character. Significantly, this Bakhtinian con-
ception of language creativity necessarily takes the researcher beyond an analysis of the
immediate spoken or written text to pursue a more sociohistorical understanding of indexical
associations and intertextual connections of voices, genres, and languages.
Bakhtin’s (1935) insistence on the deep-reaching formal and semantic effects of intrinsic
responsive and addressive impulses within the utterance is particularly relevant to what
might be termed ‘dialogic creativity’ (see Sawyer, Chapter 4). For Bakhtin, meaning is
not transmitted through language, but dialogically created between speaker and listener.
Speakers may be creative in the manner in which they respond to a previous speaker, exist-
ing texts, or a prevailing genre, and they also display creativity in the ways in which they
anticipate and pre-empt the response of an actual or implied audience. Dialogic relations
are also evident between a speaker and the other voices that they may report or appropriate
in creative ways, for example through what Bakhtin calls ‘stylisation’ whereby a voice is
reproduced almost as if it were the speaker’s own, but with a ‘slight shadow of objectiva-
tion’ that signals the presence of another voice (Bakhtin, 1984 [1929]: 189), or through
more distinct separation of a reported voice in irony or parody. Between the two poles of
explicit separation and complete appropriation, Bakhtin (1935) suggests there are a number
of hybrid forms in which speakers signal evaluative accent (that is, stance or perspective)
through various kinds of double voicing.
Bakhtinian ideas have influenced strands of work on creativity in the West since the 1970s
and are particularly influential in more recent post-structuralist work discussed below. Before
considering recent studies, however, I will examine two streams of work that emerged in the
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Janet Maybin
second half of the twentieth century: first, the study of vernacular verbal performance; and
secondly, research on the functions of creativity in everyday conversation.
In this sense of performance, the act of speaking is put on display, objectified, lifted
out to a degree from its contextual surroundings, and opened up to scrutiny by an audi-
ence. Performance thus calls forth special attention to and heightened awareness of the
act of speaking and gives licence to the audience to regard it and the performer with
special intensity. Performance makes one communicatively accountable; it assigns to
the audience the responsibility of evaluating the relative skill and effectiveness of the
performer’s accomplishment.
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Everyday language creativity
Ethnographic work on verbal performance during the 1960s–1980s included Hymes’ (1975,
1981) ethnopoetic research into Native American folktales, through which he hoped to make
audible the voices and culture of disempowered people, and also studies by linguists and
anthropologists of African American displays of oral virtuosity, such as sounding, signifying,
and ritual insults (for example Abrahams, 1974; Kochman, 1973; Labov, 1972).
Emerging in the context of everyday language, oral performances mobilise culturally
contingent interpretative frames (in Goffman’s sense), within which they are understood
and evaluated. These frames signal a particular genre (for example a ‘shaggy dog story’)
and they also operate to set up the event as a performance, ‘keyed’ in conventional ways
by specific features: figurative language; a special code (for example an archaic language);
formal features, such as parallelism; special prosodic patterns and paralinguistic qualities;
assertions; forumulae such as ‘once upon a time . . . ’; appeals to tradition; and disclaimers
such as ‘I’m not good at telling jokes, but . . . ’ (Bauman, 1975). Paralleling Jakobson’s
description of the poetic function, Bauman (1992) argues that the potential for performance
is always present within communication and that it may be more or less salient among the
different functions of a communicative act, depending on how far the performer takes on
responsibility for a verbal display. Particularly significant for research on everyday creativity
is Hymes’ (1975) notion of ‘breakthrough into performance’, which he describes as the
moment when a speaker switches from ordinary everyday language into a more stylised,
personally committed, and emotionally immersed genre. These switches may be brief, rang-
ing through jokes or anecdotes to a ‘fleeting breakthrough’, as when a child shows off an
esoteric word in talk with peers (Bauman, 1992: 44).
For Bauman and Briggs (1990), culture not only provides resources and reference points
for performers, but also is itself emergent through performance. Performances, and their
indexical links with other past speech events, draw attention to speech as social action: ‘per-
formances move the use of heterogeneous stylistic resources, context-sensitive meanings
and conflicting ideologies into a reflexive arena where they can be examined critically’ by
performers, the audience, and the researcher (Bauman & Briggs, 1990: 60). Thus perfor-
mances distil and highlight cultural practices and values, at the same time reflexively and
critically driving the emergence of new knowledge and perspectives. Briggs and Bauman
(1992) focus particularly on the intertextual aspects of performances and the dynamic pro-
cess of entextualisation (identification of a stretch of discourse as an extractable text), trans-
position, and recontextualisation in a new setting. Such processes raise questions about the
sociopolitical dynamics of creative language use, for example about people’s differential
access to texts and the different kinds of legitimacy to use or reuse them, how individuals
gain these rights to particular modes of verbal display and to their transformation, and the
social value attached to the texts themselves. Thus researchers working on verbal perfor-
mance have addressed the possibilities it opens up for social critique: by the performer, in
the context of the intensity and heightened awareness associated with such language events;
by the audience, which evaluates the performance; and by the researcher, who is interested
in sociopolitical dynamics. Thus, for example, Alim (2004) argues that hip hop’s synergistic
combination of speech, music, and art (closely linked to the African American oral tradition)
serves to bind community, and reverses standard definitions of correctness and appropriate-
ness to express resistance towards dominant culture (see also Morgan, 2009).
In addition to this substantial stream of work on verbal performance, the shift to func-
tional approaches also produced seminal research in conversational narrative (Labov, 1972;
Labov & Waletzky, 1967). Creativity here is involved both in turning an experience into a
story and in utilising what Labov calls ‘evaluative devices’ to ensure that the story achieves
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Janet Maybin
maximum impact. Labov suggested that conversational narratives fulfil both a referential
function through their temporally sequenced framework of abstract, orientation, complica-
tion, resolution, and coda, and an evaluative function, conveying a particular point. Through
the evaluative function, the narrator presents a particular perspective, which is then also
evaluated by the audience response. For example, when Labov asked adolescent African
Americans to tell him about a dangerous situation that they had experienced, they por-
trayed the danger as impressively as possible, highlighting their own courage. The narra-
tor achieves these evaluative effects by adding an explanation or additional description to
stress a particular point (external evaluation), putting evaluative comments into the mouths
of characters within the narrative (embedded evaluation), or using a variety of comparisons
and intensifiers (gestures, sound effects, quantifiers, repetition), which provide emphasis
and build up suspense within the story. As Labov (1972: 371) puts it: ‘Evaluative devices
say to us: this was terrifying, dangerous, wild, crazy; or amusing, hilarious and wonderful;
more generally that it was strange, uncommon or unusual – that is, worth reporting.’
Interactional approaches
Towards the end of the twentieth century, a stream of work by linguists emerged that examines
uses of literary-like language in everyday conversation, focusing on its interactional and
cognitive effects. Tannen (1989) provides an early argument that techniques traditionally
thought of as quintessentially literary are, in fact, ubiquitous in conversation (although see
also Pratt, 1977, who challenged the distinction between poetic and everyday language, and
Gates, 1988, on connections between the African American literary tradition and vernacular
practices of signifying). Tannen (1989) focuses on conversational patterns of repetition,
reported dialogue, and imagery, arguing that these contain the seeds of the more fully devel-
oped techniques found within poetry and literature. For instance, she draws on Bakhtin
(1935) to argue that ‘reported dialogue’ is never simply repeated, but is essentially recreated
by the new speaker, to put across a particular point, just as playwrights, filmmakers, and
novelists create dialogue for their characters. For Tannen, the function of this vernacular
creativity is to create various kinds of involvement. At the level of the music of language,
repetitions of sounds, words, and phrases across conversational turns draw speakers into a
rhythmic ensemble. At the same time, imagery and reported speech provide evocative detail
that invokes scenarios and emotions, and draws speaker and listener together into meaning-
making. She argues that this mutual involvement produces an aesthetic experience of coher-
ence for speakers and listeners: an emotional sense of connectedness (through sharing the
same world of discourse), and intellectual and emotional insights. Sawyer (2001; see also
Chapter 4) also integrates interaction, affect, and aesthetics in his view of everyday conver-
sation as collaboratively improvised (like theatre or jazz music) and potentially producing
a peak experience pleasure, or ‘flow’, when skills and challenges are perfectly balanced
(Csikszentmihalyi, 1990).
Tannen’s ideas about the connections between vernacular and literary creativity are devel-
oped more fully by Carter (2004) in his argument that literary language can best be viewed
as a series of clines, stretching from everyday usage and fleeting performance through to
canonical literature. Carter builds on research by Crystal (1998) and Cook (2000), who
suggested that popular verbal play such as jokes, riddles, or punning helps to establish rap-
port (Crystal, 1998), or can be used to create solidarity or antagonism, and to subvert the
social order (Cook, 2000). Carter (2004), in his analysis of the Cambridge and Nottingham
Corpus of Discourse in English (CANCODE) comprising around 5 million words of
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Everyday language creativity
spoken interaction, found copious examples of repetition, wordplay, metaphor, idiom, and
hyperbole. He suggests that such creativity falls into two categories: first, ‘pattern-reforming’,
whereby people play with language in puns and invented words, and use metaphor and
metonymy (the replacement of a word or phrase by another closely associated with it) to
reshape ways of seeing; and secondly, language creativity can be ‘pattern-reinforcing’, for
example in various forms of repetition and converging. While pattern-reforming echoes for-
malist foregrounding techniques, pattern-reinforcing may be more covert, emerging across
related conversational turns in which speakers use each other’s words and parallel syntactic
structures, generally to signal affective convergence and a common viewpoint (cf. Tannen,
1989). Carter (2004) argues that both of these forms of creativity, which often occur together,
facilitate rapport and are associated with more informal interactions between equals.
A number of other studies have focused on the effects of verbal creativity in everyday
interaction to enhance solidarity and social identity. Norrick (2000) reports that repeated
family stories serve to foster rapport and to confirm shared values. Maybin (2006) suggests
that older children’s heteroglossic conversational narratives explore and confirm age-
appropriate practices and perspectives, and Mendoza-Denton (2008) reports how language
games, ritual insults, and storytelling, together with the circulation of poetry notebooks,
photos, and drawings, create shared memory in a Latina girls’ gang, thus consolidating
group identity. Drawing on a corpus of workplace talk, Holmes (2007) examines how the
use of humour can foster workplace relationships, and can facilitate collaborative creative
responses to challenges and problems. Holmes’ reference to the enhancement of cognitive
activity (in group problem solving) echoes the argument of Crystal (1998) and Cook (2000)
for the potential of verbal play to enhance learning in educational contexts. Studies of
second language acquisition have also pointed to the importance of verbal play in drawing
attention to linguistic form and as a necessary part of advanced language proficiency (for
example Bell, 2005; Cekaite & Aronsson, 2005; Lantolf, 1997; Tarone, 2000).
Consideration of the cognitive effects of language creativity has been influenced by
Cook’s (1994) argument that its ‘schema refreshing’ potential provokes creative specula-
tion and encourages people to break out of established ways of thinking. Indeed, Cook
(2000: 47) asserts that the most important evolutionary function of language may be ‘the
creation of imaginative worlds: whether lies, games, fictions or fantasies’. Cognitive func-
tions of vernacular language creativity have been studied in particular through the examina-
tion of metaphor (see Hidalgo-Downing, Chapter 6). Linguists have drawn on Lakoff and
Johnson’s (1980) influential argument that fundamental ways of thinking are reflected in
idioms and habitual systems of metaphorical expression that map one conceptual domain
onto another. For example, happiness, health, and control are associated with an upwards
trajectory, and their converse with a movement downwards (for example sinking spirits,
peak of health, fall from power). The tension between what they call the Topic (what the
metaphor is about) and the Vehicle (the incongruent word or phrase used to refer to it) in
less conventional mappings surprises the audience into a fresh, but cognitively patterned,
perception. Cameron (2006) suggests that the use of metaphor draws both on a cognitive
capacity for mapping similarities between different entities, and on an affective capacity for
enjoyment in play with language and ideas. It is particularly useful, she argues, in tackling
communication problems such as in mediating technical explanations for students or medi-
cal patients, or in managing highly sensitive communication, for example supporting the
development of empathy in reconciliation talk between perpetrators and victims (Cameron,
2011). While cognitive approaches tend to focus, as the term suggests, on cerebral activity,
Semino (2011) brings together cognitive work on metaphor with sociocultural approaches
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to language creativity in her argument that the value, or ‘success’, of a particular creative
use of metaphor can be discussed only in relation to its appropriateness in a specific text,
genre, and communicative context.
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Everyday language creativity
confirmed group intimacy, and constructed gendered and friendship identities, through the
teenagers’ habitual representations of themselves and each other within the stories and in
talk around them.
Small stories have been particularly associated with the explosion of social media (for
example see Page, 2013). Platforms such as Facebook and Twitter offer users opportuni-
ties to post brief narratives and to comment on their lives on a minute-to-minute basis.
Users now have access to multimodal resources that previously would have been available
only to professionals, and storytelling often involves embedding and hybridising old and
new media. Stories in this context can be updated, re-embedded on different platforms, and
evaluated by unforeseen audiences through processes of ‘like’, ‘share’, and ‘follow’. The
unparalleled possibilities for processes of connection and convergence between individu-
als, institutions, platforms, and genres (Jenkins, 2006) also facilitate creative indexicality,
recontextualisation, and reconfiguration in social media language use more generally. For
instance, hyperlinks and hashtags can express generic and identity commitments and align-
ments with other writers, while text, images, and video can be reconfigured and recycled
for striking, humorous, or thought-provoking effects.
It could be argued that computer-mediated communication (CMC) and social media
are now key sites for everyday language creativity, especially among young people (see
Goddard, Chapter 23). There are clearly rich possibilities for multimodal creativity, for
example through configuring and reconfiguring relationships between words, images,
sound, and movement in original and recycled texts. The opportunities for ordinary indi-
viduals to sample and remix commercial media (see Knobel & Lankshear, Chapter 25) also
provide opportunities for critical activity: globally dominant resources may, for example,
be subversively appropriated and reinterpreted in grass-roots activity (Androutsopoulos,
2010). However, Androutsopoulos (2014) argues that much of the creativity in social media
is still carried through verbal language. He suggests that people frequently employ poetic
tactics to gain attention, for example through unusual language use, or the combination of
different elements and registers of language in unusual ways, in performances that are often
playful and strongly oriented towards potential evaluation by audiences who will read and
comment on the posts. The semiotic materials used in online creativity, and their links,
also carry strong messages about the performer’s aesthetic taste, social values, and politics.
In this sense, online creativity is part of a ‘networked’ identity, intricately linked to and
dependent on individuals and groups in online networks, as well as on networked resources
(Tagg, forthcoming).
Ideas about creative connectivity across texts and sites are extended in current work on
transcultural flows and translanguaging. Pennycook (2006) analyses how flows of hip-hop
music and lyrics across space and time are combined with their ‘fixing’ in location, tradition,
and cultural expression. The meanings of performances emerge through particular configu-
rations of fluidity and fixity, as performers recycle and transform activity and material from
elsewhere. In parallel with these ideas about transcultural practice, and following Rampton’s
notion of language crossing, researchers have also been examining language behaviour in
which speakers draw on and bring together structures and features from across different
languages. Jorgensen (2008), for example, found that such ‘polylanguaging’ among Danish/
Turkish/English-speaking teenagers involves verbal play, including the recycling of media
fragments, and Wei (2011) describes interactively constructed ‘translanguaging spaces’ in
which Chinese/English multilingual students draw from across their multilingual sociocul-
tural resources to construct and modify sociocultural identities and values. Wei (2011: 1223)
argues that such moments of translanguaging are both creative and critical: speakers make
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Janet Maybin
creative choices to follow or flout the rules and norms of language and other behaviour,
and, in the process, are ‘pushing and breaking the boundaries between the old and the new,
the conventional and the original, and the acceptable and the challenging’. This creativity
involves translingual punning and stylised crossings into local Chinese dialects, and is
closely linked with criticality, defined by Wei (2011: 1223) as ‘the ability to use available
evidence appropriately, systematically and insightfully to inform considered views of cul-
tural, social and linguistic phenomena, to question and problematize received wisdom, and
to express views adequately through reasoned responses to situations’.
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Everyday language creativity
written literature, and their definition of creativity is textually oriented, with assumptions
about the effects of literary devices on the reader. Crystal (1998) and Cook (2000) draw on
publically available texts to discuss language play, and although they comment on its prag-
matic functions, they do not use empirical data to look at its effects in actual conversations.
Carter (2004) and Holmes (2007) use empirical corpora of spoken language, which enable
them to study how creativity emerges in naturally occurring language and to look across
large amounts of data for patterns of usage between speakers and contexts. The notion of
context in corpus work, however, is necessarily limited and can be rather static, although
attention to the interactional functions of creativity also suggests a more dynamic model, in
which it is both contextualised and contextualising (Maybin & Swann, 2007). More proces-
sual and culturally sensitive notions of contextualisation underpin work by Bauman and
Briggs (1990), who analyse live performances in relation to their interactional dynamics and
sociocultural effects. These approaches are associated with different degrees of theorisation
of textual detail, interactivity, contextualisation, intertextuality, and so on. Characteristics
of research participants also influence directions for theorisation: ethnographic researchers
such as Georgakopoulou (2007) and Mendoza-Denton (2008), who focus on teenagers and
young adults, often comment on the connections between creative practices and identity, a
particularly salient issue for this age group.
While there has been extensive work on poetics, and some interest in the association of
creativity with criticality, there has been scant treatment of the role of affect, which tends
to be addressed tangentially rather than in any depth. It is hinted at in references to the
functions of everyday language creativity in creating rapport and a sense of group identity
(for example Carter, 2004; Mendoza-Denton, 2008), and in the sense of connectedness and
emotional insights produced through ‘involvement’ (Tannen, 1989). There is very clearly
a sense of participants’ enjoyment of language play and performance in a lot of the data:
Carter (2004) searched for ‘laughter’ in his corpus to find instances of language creativity,
and Labov (1972) estimated the success of the ritual insults he studied by the amount of
laughter that they generated in the audience. The idea of a peak pleasure ‘flow’, which
Sawyer (2001) argues is produced through creative conversational improvisation, has also
been used to characterise hip-hop performers’ experience of personal artistry, complete
immersion in performance, and intense sense of community with their audience (Morgan,
2009). In recognition of the importance of affect in creative activity, some researchers are
starting to replace ‘creativity’ with the term ‘aesthetics’, which, while traditionally associated
with the appreciation of beauty, is etymologically rooted primarily in feeling (its opposite
being ‘anaesthetic’, or non-feeling). For instance, Pratt (2014) suggests that aesthetics should
encompass the evocation of powerful feeling alongside ‘the display of skill and virtuosity
with a medium’, and ‘the estrangement or defamiliarization of the world’.
Future directions
Two prominent areas of currently emerging work seem set to continue developing in the
future. First, there is burgeoning interest in creative language use in social media sites, where
humour and play are particularly prevalent, often used as part of the delicate interactional
work to manage participants’ face (Goffman, 1967). In addition to research on sites such
as Facebook and Twitter, recent studies have also addressed creativity in text messaging,
examining its cohesive and evaluative functions (Tagg, 2013), and elements of verbal display
whereby global texting features are recontextualised through local multilingual practices
(Deumert & Lexander, 2013).
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Janet Maybin
Related topics
creativity and dialogue; creativity and discourse analysis; creativity and Internet communica-
tion; humour and language play; language, creativity, and remix culture
Further reading
Carter, R. (2004) Language and Creativity: The Art of Common Talk, London: Routledge.
Carter provides detailed examples of wordplay and other forms of ‘literary language’ from his
corpus data, arguing for the importance of their situated interactional function and for a series of
clines linking vernacular creativity with canonical literature.
Jones, R. H. (ed.) (2012) Discourse and Creativity, Harlow: Pearson Education.
This edited collection of work explores how different approaches to discourse analysis conceptualise
the concept of creativity in a range of diverse domains, including everyday vernacular activity.
Maybin, J., and Swann, J. (eds) (2006) The Art of English: Everyday Creativity, Basingstoke: Palgrave
Macmillan.
This undergraduate textbook provides a collection of teaching chapters and short readings on
everyday creativity in wordplay, narrative, children’s activity, performativity and style, and online
and offline literacies.
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Swann, J., Pope, R., and Carter, R. (eds) (2011) Creativity, Language, Literature: The State of the Art,
Basingstoke: Palgrave Macmillan.
Extending work on the relationship between everyday and literary creativity, this edited collection
brings together chapters by creative practitioners and academic researchers working across disci-
plines, to explore ideas about creativity, language, and literature.
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2
Language, creativity,
and cognition
Andreas Langlotz
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capacities that make it possible for human beings to shape new, original, unprecedented, or
unconventional products that depart from familiar, established, predefined, and fully pre-
dictable outcomes. In accordance with this definition, one can propose two complementary
ways in which creative cognition can be linked to language. First, the notion of linguistic
creativity can be related to the original linguistic patterns that emerge when human creativity
is applied to linguistic structures as such. Thus, in a broad sense, the fundamental human
capacity to create regular, but new, linguistic patterns, such as new words, sentences, or
texts, can be regarded as reflecting language-based creativity. Secondly, linguistic crea-
tivity can also be associated with more unconventional communicative products that are
creatively produced through language. In line with these complementary perspectives, lin-
guistic creativity includes a wide range of phenomena. Beyond the general productivity of
language, it involves figurative language (metaphor, metonymy, etc.), literary genres (for
example poetry, narrative, and drama), puns, wordplay, and verbal humour (including irony
and sarcasm), and the creative interaction of language with other communicative modes,
such as gesture or imagery (as in advertising, comics, film, and theatre).
To illustrate the linguistic products of creative cognition, we can turn to an advertising
poster (see Figure 2.1), which stems from a campaign intended to help the homeless in New
York City. It was commissioned by Crossroads Community Services – an organisation that
provides meals, safe shelter, and groceries to people in need (http://www.crossroadsnyc.org/).
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The poster contains two central linguistic elements: the statement eating on the street
isn’t pretty and the appeal help us erase hunger in nyc. The first expression is written in
chalk and integrated into a piece of street art: the chalk drawing of a person’s face. The
face contains some features stereotypically associated with homeless people, such as long
hair, bags beneath the eyes, wrinkled skin, and a weary gaze. The image itself is drawn
around a big hole in the pavement, which contains an ugly puddle of dirty water. Within
the depiction of the face, the puddle constitutes the wide open mouth of the homeless
person. The slogan eating on the street isn’t pretty is written right next to this feature,
which creates the impression that the words are emerging from the protagonist’s mouth.
The appeal help us erase hunger in nyc is written at the bottom of the poster and is accom-
panied by the charity’s web address.
This poster is remarkably creative in several ways. First, the central slogan constitutes an
original and unique linguistic contribution that reflects the productivity of language. When
subjecting the whole string to a search engine, the retrieved links point directly to this special
advertising campaign; hence the sentence is ‘novel’ and ‘unique’ (see Coulthard, 2004: 441).
But beyond this basic level of productivity, the slogan also constitutes an interesting pun that
exploits the inherent polysemy of the prepositional phrase on the street. The first level of
linguistic creativity involved here thus reflects punning on the basis of lexical ambiguity. The
first and ‘salient reading’ (Giora, 1997) takes street as a general location, with eating on the
street relating to the ‘conceptual frame’ of street food. The second reading, however, treats
street only as the concrete surface on which we walk. In line with this reading, eating on
the street implies the image of eating food that was thrown on, or can be found in, the street.
Obviously, this second reading establishes an allusion to the fate of the homeless and forces
the recipient to shift to this contrary conceptual frame (Coulson, 2000).
The slogan can be further interpreted as a meta-communicative comment on the depicted
piece of street art itself: ‘What you see here is not pretty!’ Indeed, the direct physical asso-
ciation of a person’s mouth (and its contents) with the stench of the gutter and dirty water
is highly unappetising. The same can be said for the rather ‘unpretty’ drawing in general,
which is roughly sketched on the asphalt to illustrate the used and rugged face of a person
who suffers from existing on the street. In line with this link between the slogan and the
image, the entire depiction can be read as a complex figurative implementation of the slogan,
which binds the meaning of the message to the aesthetics of its form. Along these lines, the
slogan and the image constitute a thought-provoking counter-position to the fashionable
trend towards eating street food, which mirrors a young, free, and independent lifestyle, or
the scenario of professionals eating out in the street for lunch. This apparent attractiveness of
street food is countered by the much less luxurious lifestyle of the homeless, who are literally
forced to eat on the street, rather than only in the street.
The actual message of the poster help us erase hunger in nyc → in order to relieve the
homeless from their inhumane conditions of life is also triggered in highly creative ways.
Since the image is drawn in chalk, it can be washed away easily or cleaned by a gush of
rain or clean water. By analogy, supportive action taken by the target audience would help
to erase the dismal living conditions and the unhealthy eating practices of the homeless.
Like the lines of chalk washed away from the pavement, a donation to the charity would
metaphorically wash away the extent of poverty from the street. At the same time, it would
also cleanse the dirty puddle – that is, the contents in the mouths of the homeless. In terms
of figurative analogy, support would thus guarantee a more hygienic, and consequentially
healthier, diet. With regard to the depicted enunciation, it would also make it unnecessary
for the homeless to utter their outcry eating on the street isn’t pretty. The metaphorical
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‘rain of the donation’ would wash away the statement written in chalk. This multimodal
creativity of the poster points to a further level of linguistic creativity: the creative interaction
of language with other communicative modes.
As this preliminary analysis of the Crossroads advertising poster illustrates, creative
patterns of language and creativity that are managed through language use can manifest
themselves in a variety of different ways. Both the production and comprehension of the
poster depend on creative and highly intelligent cognitive capacities. The following sec-
tions will outline how the most important cognitive models of linguistic creativity, as they
emerge in the central paradigms of cognitive science, would conceive of the cognitive
capacities underlying the poster.
3 Physical Mind 1
B
4 Social
Body 2
Figure 2.2 The mind and its relationships with the body and the world of experience
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Along this minimal system of components and connections, one can define ‘cognition’ as
subsuming the mental representations and cognitive processes that allow humans (and some
other animals) to perceive the world, learn about it, memorise experiences, and think and
speak about those experiences in order to solve problems and to act upon their physical and
social environments in an effective and efficient fashion. In the history of cognitive science,
alternative theories for accounting for these capacities have been proposed (see, for example,
Bechtel, Abrahamsen, & Graham, 1998; Friedenberg & Silverman, 2011), at which we will
look now.
Cognitivism
Emerging in the 1960s and inspired by the rise of computers, cognitivism conceptualises
cognition in computational terms. Following the mind is a computer metaphor (Newell &
Simon, 1976; Pylyshyn, 1984), this approach conceives knowledge as the symbolic rep-
resentation of the world of experience in terms of a language of thought, or ‘mentalese’
(Fodor, 1975). Mentalese can be regarded as the programming language of the human
mind. It ‘consists of a system of syntactically structured symbols-in-the-head (mind/
brain) which undergo processing that is sensitive to that structure’ (Bechtel, Abrahamsen,
& Graham, 1998: 64). In line with this language-of-thought hypothesis, cognitive pro-
cessing (thinking, planning, memorising, etc.) is also modelled in highly computational
terms: mental algorithms are run over symbolic representations in order to produce new
syntactic relationships between the symbolically represented concepts (see, for example,
Marr, 1982). Through such computation, it becomes possible for a human cogniser to
think about the world and to solve complex problems mentally rather than physically –
that is, by computing mental representations of the world of experience, rather than by
manipulating the world in itself.
A second important idea underlying cognitivism is the ‘modularity-of-mind’ hypo
thesis (Fodor, 1983). Again, following the mind is a computer metaphor, the architecture
of cognition is constituted by specialised modules, with each serving different cognitive
functions (such as vision, language, encyclopaedic knowledge, motor skills, etc.). Similar
to the different programs that are run on a computer, each of these modules is seen to work
in relative autonomy from the others. Together with the language-of-thought conception,
this has important consequences for the cognitivist view of the mind. First (with reference
to Figure 2.2), the relationships between the mind and the body (A), and the mind and the
world of experience (B), are highly restricted. The world (3 and 4) functions only as a
source of input that is necessary for establishing symbolic representations. And the body
(2) – like the mouse, keyboard, and monitor of a computer – works only as an input–output
device. The body serves to transfer the perceptual input to the cognitive modules and to
implement the results of thought processes in the form of motor actions. Cognitivism thus
places its central focus on modelling the autonomous, encapsulated character of the mind
(1), whereas the body (2), the physical world (3), and the social world (4), as well as the
relationship between the mind and the body (A) and the relationship between the self and
the world (B), are given a marginal status.
Embodied cognition
As its name indicates, embodied cognition stresses the relationship between the mind and
the body (A) when accounting for cognitive capacities. Unlike cognitivism, from which
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it emancipates itself (see Varela, Thompson, & Rosch, 1991), this approach attributes to
human bodily interactions with the world of experience (B) a central role for the constitu-
tion of mental representations and processes. Inspired by Jean Piaget’s (1954) foundational
idea of the ‘sensorimotor stage’ in cognitive development, embodied cognition assumes
that – in the form of mental schemata – conceptual representations and categories are funda-
mentally shaped by, and derived from, our bodily experiences with the physical properties
of the world (Gibbs, 2006). For instance, humans can derive a complex, yet fundamental,
‘container’ schema by repeated interactions with a variety of concrete container-like objects
encountered in the physical world (Johnson, 1987). Thus, rather than working as a mere
input device, the body works as an active shaper of ideas itself. In line with the idea of
constructivism (von Glasersfeld, 1984), the world of experience emerges in the form of
a cogniser’s active and creative constructive efforts when engaging with it. As a result,
the world of experience is not attributed an objective reality to be represented mentally in
a symbolic format, but its structure, as perceived and understood by the cogniser, is the
emergent outcome of the system of reciprocal codetermination between the world and the
human’s bodily and mental apparatus (Varela, Thompson, & Rosch, 1991: 150). Similarly,
advocates of situated cognition claim mental representations to be fundamentally rooted in
sensory and motor abilities, and to be fundamentally grounded in situated interactions with
the world of experience (Barsalou, 2003, 2005).
In recent frameworks of embodied cognition – subsumed under the notion of enac-
tivism – the body is also attributed a vital role in cognitive processes such as problem
solving or vision (Clark, 1997, 2008; Noë, 2004). For example, seeing implies moving
the body towards an object, as well as grasping and turning it in support of the internal
dimension of visual perception (Noë, 2009: ch. 6). The cognitive agent enacts the pro-
cess of seeing by extending it into the domain of bodily action. Vision thus results as
a form of ‘extended cognition’ (Clark, 2008: ch. 1) that transcends the mind and body
boundary. In short, and with reference to Figure 2.2, the embodied view of cognition
comprises a number of cognate approaches within cognitive science that highlight the
role of the body (2) for the mind (1), and which advocate a highly dynamic and reciprocal
view of the relationships between the mind and the body (A) and between the self and
the world (B).
Starting from the early 1980s, these approaches have developed holistic conceptions
of cognition that conceive cognitive abilities as being fundamentally rooted in general
perceptual and sensorimotor capacities. Radically embodied views of cognition also pro-
vide the conceptual foundations for contemporary robotics (Pfeifer & Bongard, 2007). But
while bringing the body and the environment back into cognitive theory, the social world
of experience is still strikingly absent in this paradigm.
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to this conception, modern human agents are often embedded in highly complex, and socio
culturally and technically constructed, worlds of experience when working and acting in their
everyday professional and private lives. In these contexts, they can use cognitive tools and
media, such as books, calculators, screens, computers, etc., to manipulate a problem domain.
And when searching for a problem solution, human cognisers can substantially lower their
processing load by relying on the positive interdependence with a cooperative partner:
What is of particular interest about this new line of research is that cognitive func-
tions, previously conceived as formal or technical functions of abstract but machinelike
individual minds, were reconceptualised as ‘inter-mental’ functions, that is, as socially
shared, tool-saturated practices, which are only secondarily interiorized by individuals,
within contexts of interactional participation.
(Streeck & Mehus, 2005: 389)
The human ability to connect to and incorporate the social environment into thinking and
socially distributed problem-solving processes has inspired researchers of human social and
cultural cognition to locate the specifically human cognitive capacities within their cultural
intelligence of coordinating mental states with others (Tomasello, 1999, 2014).
In summary, and with reference to Figure 2.2, the social-constructivist views place a
very strong emphasis on the social world (4). They are interested in how the social envi-
ronment channels the relationship between the self and the world (B), and how it helps
an individual to reduce the processing load in the mind (1). The body (2) is important
as well, but rather than seeing cognitive structures as being the result of embodied inte
raction, the human agent is literally embodied in his or her socioculturally constructed
worlds of experience.
The subsequent sections scrutinise how these alternative models of cognition are allied
with the different views of language and how this affects the analysis of linguistic creativity.
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must also model the internal mechanics of ‘linguistic reasoning’. In simple terms, Descartes’
(1960 [1637]: 32) ‘I think, therefore I am’ (cogito, ergo sum) translates into a Chomskyan,
‘I possess grammar, therefore I am a linguistic being.’ Generative theory therefore places
linguistic creativity on centre stage: ‘An essential property of language is that it provides
the means for expressing indefinitely many thoughts and for reacting appropriately in an
indefinite range of new situations’ (Chomsky, 1965: 6). Our sheer ability to produce a virtu-
ally infinite number of linguistic patterns by means of finite cognitive capacities forces us
to investigate the ‘creative and coherent ordinary use of language’ as a ‘central problem of
Cartesian science’ (Chomsky, 2005).
The combination of cognitivist and Cartesian foundations in Chomsky’s theory leads
to the characteristic assumptions of generative linguistics. First, in line with Descartes’
introspective reduction of human existence to the indubitable and innate presence of rea-
son, Chomsky postulates the innateness of the human ‘language faculty’ in the narrow
sense (Fitch, Hauser, & Chomsky, 2005). Moreover, by analogy with Descartes’ deductive
approach to reasoning in logical terms, the aim of Chomskyan linguistics is to explain the
working principles of grammar as a theory of the ‘mathematics of language’, possessed by
an idealised speaker/hearer (Chomsky, 1965, 1999). To model the computational capacity
underlying grammar, Chomsky further adopts a strictly modular conception of the mind
that is in line with the cognitivist view of mental architecture. The language faculty is an
independent module of the mind that functions according to isolated cognitive principles,
which are not shared by other modules such as vision, motor skills, or encyclopaedic and
pragmatic knowledge, etc. Grammar itself is also modular, consisting of syntax (that is, the
set of grammatical operations) and the lexicon (that is, the idiosyncratic content over which
syntactic rules can make linguistic computations).
The assumptions of cognitive modularity and the isolated exclusiveness of linguistic
computations have a direct effect on the view of linguistic creativity in this cognitivist
framework. On the one hand, as we have seen, Chomsky assumes language to be an inher-
ently and fundamentally creative cognitive capacity. On the other hand, the conceptual
isolation of grammar as a mental module, with its exclusive working principles, prevents
generative theory from including any other phenomena of creative language use that go
beyond the creativity of the ‘coherent ordinary use of language’. This said, it is important to
emphasise that Chomsky (2007) does not ignore other aspects of language-based creativity
(D’Agostino, 1984); he simply does not treat them as belonging to the language faculty in
the narrow sense. With regard to the Crossroads advertising poster (see Figure 2.1), genera-
tive linguists would therefore not be interested in its creative content beyond the attested
productivity and originality of the sentences eating on the street isn’t pretty and help us
erase hunger in nyc.
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creative ostensive acts have to strike an optimal balance between rendering parts of the
message explicit in order to guarantee the recipients’ comprehension and, at the same time,
stimulating those relevance-based inferential processes that allow the recipients to compute
the poster’s novel implicit message against the background of the semantic inputs given by
the slogan, the appeal, and the image. With regard to linguistic creativity, the distinction
between ‘strong’ and ‘weak’ communication is of central importance:
A speaker who constrains the interpretation of his [or her] utterance so that the hearer
takes very little responsibility in the choice of . . . effects is said . . . to be engaging in
strong communication. The greater the responsibility the hearer has in the selection of
contextual assumptions and effects, the weaker the communication.
(Blakemore, 1992: 157, emphasis original)
Creative products such as the Crossroads advertising poster primarily constitute cases of
weak communication, because the actual message is not stated, but has to be actively com-
puted by the receiver. Shifting activity on the side of the receivers is a powerful advertising
strategy, because it forces the readership to engage actively with the poster on a cognitive
level. This is the basis for stimulating cognitive, as well as affective, processes that convince
the recipient to donate to the charity.
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A critical alternative to the relevance theoretical model of creativity has been proposed
by Giora (2003: 176) in terms of her psycholinguistic ‘optimal innovation’ hypothesis.
Accordingly, an optimally creative stimulus evokes a novel response, while still allowing
for the activation of the more salient, conventional reading. Following this psycholinguistic
account, the Crossroads poster is optimally innovative, because it allows the recipient to
activate both the novel homeless-related and the more salient street-food-related meanings
of eating on the street in combination with the image. The receivers’ ability to see the
difference between the salient and the new meaning then unfolds the advertising poster’s
creative potential.
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domain of encyclopaedic knowledge (Lakoff & Johnson, 1980: 35–9; see also Barcelona,
2000). For instance, in the conceptual metonymy container for content, as reflected in
‘He drank five bottles’, the container concept is used as a reference point to provide con-
ceptual access to the actual liquid that was drunk (Langacker, 1993: 29–35). Conceptual
metonymies are often combined with conceptual metaphors to yield highly creative and
complex patterns of conceptual figuration (Goossens, 1990).
To illustrate the strengths of this cognitive-linguistic framework with regard to explain-
ing linguistic creativity, the Crossroads advertising poster can again serve as a playground.
According to conceptual metaphor and metonymy theory, cognisers can appreciate the
creative communicative impact of the poster because they are able to activate the pre-
established figurative concepts in their minds that they have obtained from their embodied
interaction with the world of experience. First, the phrase eating on the street is likely
to activate the conceptual metaphor bad is down. This figurative concept has the power of
guiding the cogniser towards the negative implications of the slogan. The social-critical
dimension of this metaphorical concept is engendered by the cunning perspective from
which the photograph is taken. The shot forces onlookers to gaze down on the drawing on
the street and causes them to enact through their perceptual stance the low social status that
is generally attributed to the homeless. To creatively conceptualise the unacceptable liv-
ing conditions of the homeless, this metaphor is combined with the metonymies form for
content and picture for depicted. These figurative concepts allow the readers to establish
a connection between the phrase is not pretty and the crude aesthetic of the piece of street
art, on the one hand, and between the drawing and the poor living conditions of homeless
people, on the other. The central metonymy for the poster, part for whole, is encapsulated
in the ingenious use of the hole in the street and the puddle of dirty water. The puddle not
only stands out as the most salient part in the whole face of the homeless person, but it
also constitutes the central part that the campaign is all about. The mouth metonymically
stands for the whole aspect of eating. Moreover, the dirty content of the puddle is the part
of the homeless person’s to eating habits that stands for the whole problem of unhealthy
food that they may find on the street.
The appeal help us erase hunger in nyc can also be connected to the conceptual meta-
phors problems are unpleasant forces and getting rid of problems is opposing those
forces (Langlotz, 2006: 158). These metaphors are creatively combined with the concept
of money is a liquid (O’Connor, 1998), which is implied in economic terms such as ‘cash
flow’, ‘liquidity’, or ‘dried-out markets’. Relative to these patterns, erasing the social
problem of hunger can be conceptualised in terms of the ‘gush of donation’, which is
figuratively poured over the image to wash away the homeless person’s bad condition.
Again, the figurative ‘logic’ of the implied metaphorical and metonymic patterns allows
the receiver to conceptualise the appeal’s implied message. By washing away the ugly
drawing, the financial support will also wash clean the content of the puddle – the content
of the homeless person’s mouth, metonymically speaking. Thus the water of donation will
improve the diet of the victims and make their lives cleaner.
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have analysed creative compounding (Benczes, 2006), phraseology and idiomatic crea-
tivity (for example Gibbs & O’Brien, 1990; Langlotz, 2006), metaphorical creativity in
discourse (for example Semino, 2008), advertising (for example Lundmark, 2005), and
humour (for example Veale, Feyaerts, & Brône, 2006).
Despite its wide application, the conceptual metaphor approach to figurative creativity
has been controversial. For instance, the psycholinguist Glucksberg and his colleagues (see
Glucksberg, 2008; Glucksberg & McGlone, 1999) have questioned the retrieval of stable
metaphorical mappings from the conceptual system and instead propose flexible processes
of attributive categorisation in figurative-language comprehension (Glucksberg, 2001).
According to this model, a cogniser would have to actively and unconventionally attribute
the presented face and the slogan eating on the street to a superordinate category, for
example eating like the homeless. This creative attribution of a category departs from the
more normal attribution to the category street food. In this way, the receiver could handle
the double reference of the expression (Glucksberg, 2001: 46).
Blending theory
Within the field of cognitive linguistics, blending, or conceptual integration, theory emerged
in the 1990s as a general cognitive theory of creativity (Fauconnier, 1997; Fauconnier &
Turner, 1998). Blending theory is also rooted within the general epistemological postulates
of embodied cognition. However, unlike conceptual metaphor theory, which is interested in
stable patterns of conceptual figurativity, blending theory models the situated conceptualisa-
tion processes that human cognisers perform in creative mental processing. This approach to
online meaning generation is thus also compatible with the framework of situated cognition
(Coulson, 2000).
To analyse the complex mental processes that are involved in producing and compre-
hending creative conceptualisations and linguistic outcomes, blending theory makes use
of the central notion of ‘mental space’ (Fauconnier, 1997: 11). Mental spaces are defined
as momentary conceptual packages that are evoked in short-term memory within situ-
ated conceptualisation processes (Fauconnier, 1994: ch. 1). Conceptual integration and
blending processes always consist in the activation of a minimum of four mental spaces:
two input spaces, a generic space, and a blended space, or ‘blend’ (Fauconnier & Turner,
2002: 46). Importantly, the association between the four mental spaces is dynamic, rather
than static. Central to the evocation of new creative insights through blending processes is
the interaction between chunks of information that are selected from the two input spaces
and selectively mapped into the blend. Through this interaction, novel and unprecedented
mental structures can be creatively constructed.
The creative arrangement of the Crossroads poster also forces the interpreter to integrate
conceptual implications from various sources. Most centrally, the face of the homeless pro-
tagonist constitutes a blend: the recipient has to integrate the hole plus dirty puddle with the
chalk drawing in order to see the complete depiction of the face. First, the generic space with
the schematic representation of round form allows the cogniser to associate the puddle with
the mouth. On the basis of this association, the blend can then inherit its basic facial structure
from the drawing (input 1), while the physical properties of the mouth and its contents stem
from the puddle hole (input 2) (see Fauconnier & Turner, 2002: 131). Through this integra-
tion, a new conceptual structure emerges. In the blended space of the integrated face, the
cogniser can actively exploit the creative potential of the links between inputs 1 and 2 through
the conceptualisation process of ‘running the blend’ (Fauconnier & Turner, 2002: 48). The
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mentally blended conceptualisation of a mouth full of stale and stinking water is immediately
unappealing and highly unappetising. Along these lines, the poster’s creative arrangement
forces the cogniser to mentally integrate two concepts that are not conventionally categorised
as belonging together. Interestingly, the implied message of the appeal help us erase hunger
also applies directly to the components of this blended conceptualisation. More specifically,
the appeal invites one to overcome the conceptual implications of the blend by symbolically
erasing the two input spaces. As a result, the idea of erasing hunger becomes associated with
erasing the dismal vision that is carried by the blended conceptualisation. Thus, by cleansing
the dirty puddle in input 2, the conceptual impact of unhealthy (street) food is erased from
the blended conceptualisation. Moreover, by mentally erasing the chalk drawing (input 1), the
fate of homeless people in being bound to their existence on the street is effaced from the
blended integration network that is evoked by the poster. Having deleted both input 1 and
input 2 from the conceptual network, the emergent meaning in the blend – the unacceptable
living conditions of the homeless – can be erased as well.
Cognitive poetics
The first notable expansion within the analysis of linguistic creativity and cognition emerged
in the late 1990s with the advent of cognitive poetics (see Stockwell, Chapter 13). This
approach has its origins within cognitive linguistics as a subfield specialising in applying
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Multimodal creativity
Since it regards language as being structured by general conceptual mechanisms, cogni-
tive linguistics has always been theoretically open to integrating linguistic analyses with
other semiotic modalities (see, for example, Langacker, 2008). Indeed, the very fact that
metaphor, metonymy, and blending are usually modified by the adjective ‘conceptual’
highlights that they are conceived of as general creative mechanisms, which transcend
linguistic patterns of creativity. Nevertheless, cognitive-linguistic explorations into crea-
tivity were predominantly focused on language for a long time. Gesture research was one
of the first areas to extend metaphor theory into the domain of non-verbal communication.
In this strand of cognitive linguistics, it is shown that gestures frequently enact conceptual
metaphors (Cienki & Müller, 2008). Moreover, gestures can also be produced creatively –
that is, through formal aspects such as greater dynamicity, the use of a more extensive
gesture space, or in creative combination with body posture or facial expressions (Cienki
& Mittelberg, 2013: 234–41).
Compatible with gesture research is the analysis of conceptual metaphor and metonymy
in pictorial representations (Forceville, 1996, 2012) and multimodal forms of communica-
tion, such as comic strips (Forceville & Urios-Aparisi, 2009). Like gesture research, this
field of cognitive linguistics has shown that the central cognitive-linguistic mechanisms
of meaning construal apply across different communicative modes. For instance, this is
demonstrated in Eerden’s (2009) analysis of the consistent use of anger metaphors in
Asterix comics and animated films. It is revealed that while the metaphorical concepts
are relatively stable, their implementation may vary in accordance with the specific affor-
dances of the communicative modes.
Pictorial metaphor and multimodal creativity are also of great relevance for the analysis
of the Crossroads advertising poster (Figure 2.1). As has been shown earlier, the chalk
drawing of the weary face, in combination with the puddle hole, carry central parts of
the poster’s figurative meaning. Moreover, the slogan eating in the street isn’t pretty
not only constitutes an element of linguistic creativity, but also, like a speech bubble in a
comic strip (see Forceville, 2013), is visually integrated into the depiction of the home-
less person and thus achieves the more dynamic reading of constituting an outcry. The
multimodal arrangement of the poster is fully compatible with the epistemological stance
of mediated cognition, according to which cognitive processes cannot be conceived as
purely internalised mental achievements – as claimed in the traditional view advocated in
cognitivism and still predominant in early cognitive linguistics. Instead, creative processes
become distributed over alternative media that represent and scaffold the creative process
outside, rather than inside, the mind (Williams, 2008, 2013). In this vein, the poster can be
said to visually represent the input spaces (drawing and puddle hole) and the blended space
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(face with puddle mouth) of the creative blending process, rather than to treat them as
internalised mental structures. This externalisation of the creative process works similarly
with gestures, which externalise metaphorical conceptualisations to make them directly
accessible to the embodied mind of the creative cogniser.
Enacted creativity
Gesture research and multimodal cognitive linguistics stress the importance of media other
than language for creative conceptualisation. For human cognisers, the body is the central
medium for interacting with the world of experience. Very recent research into embodied
cognition from an enactionist perspective reveals that ‘the body is an ever-present part
of the context in which we use our minds, and therefore has pervasive influences on the
neurocognitive activity that constitutes our thoughts’ (Casasanto, 2014: 115). The same
must be true for processes of creative achievement. What is striking about the Crossroads
advertising poster in this respect is that the call for action in the appeal help us erase
hunger in nyc contains a hidden request for enacting the literal action of erasing hunger via
figuratively erasing the chalk drawing of the homeless person’s weary face. The poster thus
invites the target audience to perform a mental simulation (Barsalou, 2005) of the bodily
action of effacing the image as a symbolic stand-in for the concept of erasing hunger.
The poster ingeniously activates the enactive engine of a fully embodied cogniser. Similar
facets of enacted creativity are implied in the perspective from which the chalk drawing
is photographed: this perspective enacts the conceptual metaphor bad is down through the
visual stance that the recipient is forced to take. This reading of the poster is fully compatible
with recent research by Sweetser (2014), who shows how viewpoint connects language and
gestures with the bodily enaction of creative processes.
55
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Related topics
cognitive stylistics; computational approaches to language and creativity; lexical creativity;
metaphor and metonomy; multilingual creative cognition
Further reading
Bechtel, W., and Graham, G. (eds) (1998) A Companion to Cognitive Science, Oxford: Basil Blackwell.
This is a good overview of the history and the different subfields of cognitive science through to the
end of the twentieth century.
Borkent, M., Dancygier, B., and Linnell, J. (eds) (2014) Language and the Creative Mind, Stanford,
CA: CSLI Publications.
The papers in this collection consider a number of issues relevant to language, creativity, and
cognition, including the interplay of language and other communicative modes.
Dancygier, B., and Sweetser, E. (2014) Figurative Language, Cambridge: Cambridge University
Press.
The work offers an up-to-date introduction to figurativity from a cognitive-linguistic perspective.
Veale, T., Feyaerts, K., and Forceville, C. (eds) (2013) Creativity and the Agile Mind: A Multi
disciplinary Study of a Multifaceted Phenomenon, Berlin: De Gruyter.
This collection focuses on the different cognitive processes of producers and consumers of creativity
from a multidisciplinary perspective.
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Wilson, D., and Sperber, D. (2012) Meaning and Relevance, Cambridge: Cambridge University Press.
The book presents a recent introduction to relevance theory and its view of linguistic creativity.
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Creativity and discourse analysis
Rodney H. Jones
Introduction
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of relationships, identities, and societies that can be created. Put simply, discourse analy-
sis is about understanding how we create our social worlds through texts. As Carter and
Simpson (1989: 14) put it, discourse analysis ‘should . . . be concerned not simply with the
micro-contexts of the effects of words across sentences or conversational turns but also with
the macro-contexts of larger social patterns’.
It follows, then, that a discourse analytical approach to creativity focuses not only on
the formal aspects of ‘creative language’, but also on the way in which language is used in
situated social contexts to create new kinds of social identities and social practices, and to
challenge existing social structures and relationships of power (Jones, 2012a). This focus
distinguishes a discourse analytical approach to creativity from many of the other linguistic
approaches to creativity represented in this book – approaches that focus on lexical or gram-
matical creativity (see, for example, Munat, Chapter 5), on figures of speech such as meta-
phors and puns (see, for example, Hidalgo-Downing, Chapter 6; Bell, Chapter 7), and also
on underlying systemic or cognitive mechanisms that result in the generation of creative
linguistic forms (see, for example, Langlotz, Chapter 2). A discourse analytical approach
is less concerned with creative language per se and more concerned with the way in which
linguistic resources are used to engage in creative actions – actions that somehow reconfig-
ure or reshape social relationships. There may be nothing intrinsically ‘creative’ about an
utterance or a text that comes under the scrutiny of such an approach – namely, there may be
no ‘language play’, no metaphors, or puns, or other rhetorical devices normally associated
with creative language, and it may not even be intrinsically original or inventive. In fact, it
is sometimes through saying the most prosaic or formulaic things, or not saying anything at
all, that people are most ‘creative’ in their use of language. Discourse analysts are interested
in how people deploy linguistic resources in particular contexts in ways that allow them to
mean more than they say, how they strategically appropriate and mix different styles and
genres in order to communicate ‘what they are doing’ and ‘who they are being’, and how
they operate within the constraints that their societies impose on what is ‘sayable’ and
‘doable’, and sometimes manage to challenge and alter those constraints.
‘Discourse’, then, is not simply language; rather, it refers to the complex ways in which
people use language and other semiotic systems to take actions, assume identities, main-
tain relationships, and advance or contest ideologies. As Widdowson (2004: 169) argues,
language is only ‘the overt linguistic trace of a discourse process [which is] available for
analysis’. ‘Discourse’ on the other hand, is a ‘pragmatic process . . . whereby the resources
of the language code are used to engage with the context of beliefs, values, assumptions that
constitute the user’s social and individual reality’ (Widdowson, 2004: 14).
Discourse analytical approaches to language and creativity have been applied to a wide
range of linguistic behaviour, including literary texts, business and professional commu-
nication, political discourse, and everyday conversation. There is often, in discussions of
creativity, a distinction between approaches that concentrate on what has been called ‘“big
C” Creativity’ – the kind of creativity that is found in great works of literature and ‘world-
changing’ scientific discoveries – and ‘“small c” creativity – the creativity of everyday
life that allows us to solve the many vexing problems that our environments, other people,
or our own minds constantly present to us. Boden (2003) refers to these two ‘types’ of
creativity as ‘h creativity’ (historical) and ‘p creativity’ (personal). Although a discourse
analytical approach to creativity is not prepared to erase the distinction between the kind
of creativity involved in writing a great sonnet or symphony and that involved in making
a clever quip at a cocktail party or getting your boss to give you a raise, it is particularly
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interested in understanding how and when these two types of creativity interact, how the
consequences of ‘“big C” Creativity’ can affect how people communicate and ‘get by’ in
everyday life, and how people’s creative responses to the moment-by-moment challenges
of everyday life can result in broader ‘historical’ changes to the social order.
Context
It is often said that discourse analysts are interested in the study of ‘language in context’.
This is one of the things that sets it apart from approaches such as that of Chomsky (1965),
which view language primarily as a system. When Chomsky speaks of ‘linguistic creativity’,
he is mainly referring to the ability of the linguistic system to generate an infinite number
of unique utterances, regardless of the circumstances in which actual people might actually
employ such utterances. For discourse analysts, whether or not an utterance should be con-
sidered ‘creative’ has less to do with the ‘uniqueness’ of the utterance and more to do with
the way in which the utterance interacts with the context in which it appears. Language use
is always situated within some time, some place, and some set of social relationships, and
it always takes at least part of its meaning from the way in which it ‘fits in’ with these vari-
ous contextual factors. What this means is that a large part of linguistic creativity is not only
‘saying the right thing’, but also ‘saying the right thing at the right time to the right person’,
responding inventively and appropriately to ‘the potentials and limitations of different social
contexts’ (Tusting & Papen, 2008: 6).
It is important to note that, in this discussion, I’m mostly using the word ‘utterance’
rather than ‘sentence’ or ‘text’. This distinction comes from Bakhtin (1984), who distin-
guishes between sentences – abstract chunks of language that serve as the units of analysis
in structuralist linguistics – and utterances – specific, unrepeatable acts of speaking tied to
specific people and specific situations. It is in the ways in which language is tied to these
people and situations – in the very unrepeatability of utterances – that discourse analysts
locate linguistic creativity. Strictly speaking, ‘there is no . . . way of being creative’, argues
Widdowson (2008: 503), ‘by focusing on the message form.’ Creativity is a function of
how the message form interacts with the context in which it appears.
Although ‘context’ can be said to be a preoccupation of all discourse analysts, different
schools of discourse analysis differ regarding the scope and scale of context that ought
to be considered. For conversation analysts, for example, context is strictly limited to the
local sequence of turns in talk, as well as those aspects of the social situation towards
which speakers explicitly orient themselves. Context is created moment by moment, as
each speaker’s contribution is both afforded and constrained by the utterance that has come
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Rodney H. Jones
before and creates both opportunities and constraints for the utterances that can follow.
Conversation analysis is the approach to discourse probably least associated with creativity
(although, as I will discuss below, it has been used extensively in the study of dialogue in
literary texts). A closer examination of this understanding of context, however, sheds con-
siderable light on the micro-level creative processes that accompany every turn at talk, on
the incremental, moment-by-moment ways in which we create our social realities, and on the
way in which creativity is always a matter of working within constraints.
At the other extreme are approaches to discourse influenced by anthropology, such as
Hymes’ (1974) ‘ethnography of speaking’, which take a much wider view of context, explor-
ing how utterances are enabled and constrained by the speech events, speech situations, and
broader sets of cultural conventions in which they occur. For those taking this approach, the
creative potential of context does not stop at the borders of individual conversations, but
extends out into the rich fabric of culture, all of the resources that it provides, and the myriad
occasions that it affords for people to come together and interact. Many scholars working
in this tradition have examined the contexts of verbal performance, such as the occasions
for the sharing of myths and stories (see, for example, Darnell, 1989; Hanks, 1996; Hymes,
1981), focusing not only on the conventions that govern such occasions, but also on the
opportunities that they afford for creative modification and adaptation of traditional forms,
and on the creative potential of recontextualisation – the way in which performances are
transformed when they are transferred from one context to another (Bauman & Briggs,
1990; see also Maybin, Chapter 1). The most important thing about this approach to dis-
course is that it views all speakers as, in some sense, performers who constantly exercise
their creativity in the ways in which they ‘adapt speech to the situation and the situation to
speech’ (Duranti, 2009: 21).
Another approach that takes a wide view of context is critical discourse analysis, but the
concern here is more with the ideological nature of context – the ways in which context and
the opportunities for creativity it affords reflect the power relations within societies. Rather
than conversations or cultures, context is seen in terms of ‘orders of discourse’ (Foucault,
1972) or, to use Gee’s (2011) term, ‘“capital D” Discourses’ – the ways of thinking, talk-
ing, acting, and knowing that societies make available in different domains and for different
social actors. Just as, for conversation analysts, creativity is a matter of working within the
constraints of conversational structures, so, for critical discourse analysts, creativity is a
matter of working within societal structures, adapting to and sometimes contesting dominant
ideologies, and finding the fault lines and the cracks in the edifices of power. As Fairclough
(1992: 91) puts it: ‘[S]ubjects are ideologically positioned, but they are also capable of acting
creatively to make their own connections between the diverse practices and ideologies to
which they are exposed, and to restructure positioning practices and structures.’
In between these extremes – context as the micro-organisation of conversations, and con-
text as the macro-organisation of cultures and societies – are approaches such as pragmatics
and interactional sociolinguistics, which in many ways provide some of the most inter-
esting ways of looking at the relationship between context and linguistic creativity. Such
approaches emphasise the fact that language is not only situated, but also situating – that
people have access to all sorts of ways of using language to create situations and to dynami-
cally negotiate aspects of context as they go along, shifting and changing contexts, and even
‘laminating’ one context upon another. In pragmatics, while context is seen as disambigu-
ating the meaning of language, language can also be seen to disambiguate (or sometimes
‘ambiguate’) context, allowing speakers to hint at, or strategically distance themselves from,
the various definitions of the situation available around a particular speech act. Interactional
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sociolinguists, drawing on the work of Goffman (1974), call the process by which people
create situations when they talk ‘framing’. While physical contexts (such as classrooms and
hospitals), and cultural and social contexts, with their conventions and power structures, are
often fairly rigid, imposing all sorts of constraints on what we can say and do, interactional
frames are more flexible, allowing us to ‘cue’ (Gumperz, 1982) and ‘key’ (Goffman, 1974)
different versions of what is going on, and to position ourselves in various ways within these
different contexts (Sawyer, 2001; see also Sawyer, Chapter 4).
More recent approaches to discourse, such as mediated discourse analysis (Norris &
Jones, 2005; Scollon, 2001), take the flexible and multifaceted dimensions of context even
further, exploring how every situation actually entails multiple contexts occurring both
on multiple timescales and in the histories of texts and other cultural tools that circulate
through moments of social interaction. In other words, social interactions occur at the nexus
of multiple overlapping and interested contexts spread across time and space. From this
perspective, not only are utterances always unique and unrepeatable, but so too are contexts,
and every new configuration of contexts, with its unique mixture of people, tools, and texts,
brings with it unique affordances for creative action.
Dialogue
To say that language is always dialogic is, in the simplest sense, to assert that all utterances are
not only situated, but also somehow connected to previous utterances: that all utterances
are always in some way parts of ‘conversations’. As Macdonnell (1986: 1) puts it: ‘dialogue
is the primary condition of discourse; all speech and writing is social’. While this point may
seem obvious, it has far-reaching implications for the study of linguistic creativity. It points
towards not only the fact that every utterance is in some way enabled and constrained by
the utterance preceding it (as discussed above), but also the facts that all utterances are con-
nected to other utterances in a complex web of discourse and that they respond not only to
utterances in their immediate proximity, but also to utterances, conversations, and people
that may be far removed from the time and place of speaking or writing. While the focus of
creativity in the above discussion on context was on the way in which speakers and writers
manage the relationship between text and context, here it is on the way in which speakers
and writers manage the relationship between texts and other texts.
This more expansive understanding of dialogue also has its roots in the work of Bakhtin –
especially in his early work on the novels of Dostoevsky (Bakhtin, 1984). For Bakhtin, the
real source of linguistic creativity is not the fact that language allows us to say new things in
new ways, but the fact that we must always do so in collaboration with others. All utterances
are ‘co-created’ – the ‘joint property of speaker and listener’ (Morson, 2009: 14). Bakhtin
(1986: 167) called this property of language ‘addressivity’ (obrashchennost), and insisted
that it is this feature, not the generative power of rules, that makes language (and, by exten-
sion, thought and action) capable of genuine ‘unexpectedness . . . “surprisingness,” absolute
innovation, miracle, and so forth’.
What this means, first of all, is that language in use is always, to some degree, unpre-
dictable and contingent – a quality that is aptly captured by Erickson (1986: 316) when he
likens having a conversation to ‘climbing a tree that climbs back’. One of the key aspects of
creativity in language use is that, despite the constraints we impose on one another’s conver-
sational contributions and despite the wealth of conversational routines in most languages,
we can never be sure how others will respond to what we say and, in fact, there is a sense
in which less predictable responses are more highly valued. Leech (1983: 146) suggests
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that underlying all communication is what he calls the ‘interest principle’: the principle ‘by
which conversation which is interesting, in the sense of having unpredictability or news
value, is preferred to conversation which is boring and predictable’.
Another thing that it means is that every utterance in some way anticipates a certain kind
of audience – that, through our utterances, we create not only conversations, but also social
relationships and social identities. Bakhtin (1984) gives a number of examples from the
novels of Dostoevsky in which utterances are styled and shaped for specific hearers, but
it is also not hard to find ample evidence of this in our everyday conversations. Not only
do we shape our utterances to particular audiences, but we also shape audiences with our
utterances. While many aspects of social identity are fairly fixed, most are co-constructed
to some degree as we interact: we actively position others in various ‘storylines’ (Davies
& Harré, 1990), and negotiate power and social distance (Brown & Levinson, 1987), when
we speak with them.
Perhaps the most important aspect of dialogism is that it helps us to see not only how
speakers and listeners in particular conversations are connected to each other, but also
how conversations are connected to other conversations. When we speak, says Bakhtin,
we do not address only our immediate interlocutors, but we also, to varying degrees,
address ‘third parties’ comprising those who have already spoken on the topic at hand in
previous conversations. Whenever we speak, we always take a stand in relation to texts and
utterances from the past.
More than that: we inevitably construct our utterances by appropriating and mixing these
voices from the past. All utterances are not only dialogic (responding to other utterances),
but also heteroglossic, containing the traces of other people’s words and the contexts in,
and purposes for which those words were used. In a sense, then, all texts and conversations
involve ‘remixing’ (Knobel & Lankshear, Chapter 25). We do not only remix words; we
also appropriate styles (what Bakhtin calls ‘social languages’) and genres associated with
different social practices and institutions, and, when we do so, we invoke and position our-
selves in relation not only to specific conversations in the past, but also to larger societal
debates – what Gee (2011) calls ‘“capital C” Conversations’.
From this perspective, linguistic creativity is less about saying something ‘new’ and more
about being able to appropriate and assemble the voices of others, to mix them in strategic
ways, and to adapt them to particular circumstances and particular goals. Creativity is a mat-
ter of ‘populat(ing)’ the words of others with our own ‘intentions’ – of speaking the words
of others with our own ‘accents’ (Bakhtin, 1981: 293).
Discourse analysts representing a range of different approaches have extensively
explored the phenomena of dialogism and heteroglossia, usually under the labels of ‘inter-
textuality’ and ‘interdiscursivity’. Interactional sociolinguists, for example, have analysed
the ways in which people appropriate and enact the voices of others, especially in oral sto-
rytelling. Mediated discourse analysts have examined how people strategically appropriate
voices as a way of claiming and imputing social identities and membership in communities
(Scollon, 1998). Linguistic anthropologists have shown how people appropriate and mix
the conventions of different genres to fit new cultural situations (Briggs & Bauman, 1992).
And critical discourse analysts have documented how text producers and text consumers
adopt and adapt elements from multiple ‘“big D” Discourses’ to reproduce or challenge
ideologies (Fairclough, 1992).
When seen through the wider lens of ‘“capital C” Conversations’, the political and ethi-
cal dimensions of such acts of linguistic creativity become clear. The ways in which we use
language in conversations to strategically position ourselves in relation to our immediate
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interlocutors has consequences for broader social debates and struggles. Every time we
engage in ‘“small c” conversations’, we are also contributing to the broader ‘“capital C”
Conversations’ of our societies. In other words, every conversation represents an oppor-
tunity either to reproduce existing social orders or to contribute to social change. This
underlying ethical dimension of dialogue is also present in Bakhtin’s original formulation:
it is through the addressivity of language in use that people become truly ‘present’ and
‘responsible’ for each other. In dialogue, as Bakhtin (1993: 40) puts it, there is ‘no alibi’.
Action
As I argued at the beginning of this chapter, what distinguishes a discourse analytical
approach to language and creativity is its focus not so much on creative language, but on the
creative actions that we use language to take, how we, as Austin (1976) famously put it, ‘do
things with words’. Austin’s theory has at its heart a view of language as creative action – a
view that sees creativity not only in language’s ability to ‘call attention to itself’ (the chief
function that Jackobson assigned to ‘poetic’ language), but in its ability to actually shape
and transform reality. When we speak, we not only make meanings; we also take actions.
The power of words to alter the physical and social world is most dramatically captured
in Austin’s notion of ‘performatives’: utterances such as ‘you’re under arrest’ or ‘I now
pronounce you husband and wife’, which, just by being uttered, fundamentally alter the
social situations in which they are uttered. Austin’s most important contribution, however,
was his realisation that all utterances have a performative dimension – that they always
‘do’ something.
The creative potential of this performative dimension of language is perhaps most apparent
in what Searle (1969) refers to as ‘indirect speech acts’: utterances that allow us to do things
without even saying that we are doing them. This ability changes our scope for creative
action, allowing us to strategically modulate our relationship to our actions. Indirect speech
acts allow us to ‘laminate’ different communicative goals onto a single utterance, to create
‘plausible deniability’ for our actions, and to hint at actions we do not wish to take directly
as a way in which to ‘test the waters’ when we are uncertain how the other person will react.
The fact that so much of what we do with words is governed by processes of implicature
and inference opens up considerable space for creativity (see, for example, Sawyer, 2001).
This reorientation from a focus on linguistic forms to a focus on language as a tool for
action is, of course, also central to most other theories of discourse analysis, including: con-
versation analysis, in which conversations are seen as a matter of ‘joint action’ (Clark, 1996);
interactional sociolinguistics, which explores the negotiative processes by which people
strategise their actions in conversations; mediated discourse analysis, which sees utterances
and texts as ‘meditational means’ for the accomplishment of concrete social actions; and
critical discourse analysis, which is centrally concerned with the role of discourse in political
action. All of these approaches support a perspective that locates creativity not in language
itself, but in the actions that we are able to take with language.
A focus on action is inseparable from the issues of context and dialogue discussed earlier.
Whenever we act, we always act in and on some context (and, in so doing, potentially alter
that context), and we always act with others (and, in so doing, potentially alter ourselves and
those other people). The scope of our action is both enabled and constrained by contexts and
dialogues. Creativity comes into play when we are able to use language and other semiotic
means to open up space in situated conversations for actions and identities that were not
previously possible.
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Also, as with context and dialogue, a focus on action helps us to make a connection
between the ‘small c’ acts of creativity in which people engage in everyday conversation,
and the broader domains of society and culture. For when we ‘do things with words’, we are
not only doing actions; we are also participating in recognisable social practices and enacting
recognisable social identities. This is the rather broader sense of performativity invoked by
Judith Butler (1990) in her argument that seemingly stable social categories such as gender
are essentially performative. In this sense of the word, the performative nature of language
can be understood as the way in which it allows us to be ‘certain kinds of people’ and engage
in ‘certain kinds of activities’ through an ongoing series of cultural performances.
Despite the power of social conventions to constrain cultural performances, just as per-
formativity in Austin’s more limited sense of the word holds within it the potential for creative
action, so does Butler’s more expansive usage. In an essay entitled ‘Performativity’s social
magic’, Butler (1999) argues that performativity has the potential to create opportunities for
dominant notions of context and identity to be expropriated and transformed by less power-
ful social actors. What kinds of new possibilities for social actions and social identities are
opened up, she asks, ‘when those who have been denied the social power to claim “freedom”
or “democracy” appropriate those terms from the dominant discourse and rework or resignify’
them (Butler, 1999: 123)? What, she asks, ‘is the performative power of appropriating the
very terms by which one has been abused . . . ?’ (Butler, 1999: 123).
What Butler is talking about here is the fact that, as much as ‘“big D” Discourses’ con-
strain social actions, especially for those whose experiences they marginalise, they are also
vulnerable to being compromised, undermined, and transformed. These transformations
occur not only through great works of art, the speeches and policies of powerful politicians,
and paradigm-changing scientific discoveries, but also through the incremental everyday
actions of individuals as they ‘do things with words’, ‘combin(ing) discursive conventions,
codes and elements in new ways (that) cumulatively produce structural changes in the orders
of discourse’ (Fairclough, 1992: 97). As Jones (2010: 473) writes:
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The problem with much early work in stylistics – especially that influenced by the Russian
formalists – is that it regarded literary works as creative objects in and of themselves, locating
creativity in structural elements of texts (primarily phonological, lexical, and grammatical
features). As Fowler (1984: 83) argues, the consequences of this perspective were to minimise
the ‘communicative and interpersonal – in a word, pragmatic – functions of the text . . . which
give the richest significance for critical studies’.
More recent studies that have explored what Fowler (1984) calls the ‘pragmatic functions
of the text’ can be divided into three kinds: those that focus on issues of context, dialogue, and
action within the fictional worlds of texts; those that focus more on the interaction between
texts and readers; and those that take a more Foucaultian view of discourse, exploring the
social and ideological dimensions of literary texts.
Notable studies in the first category include Magnusson’s (1999) use of politeness theory
and conversation analysis to analyse the dialogue between characters in Shakespeare’s plays,
and Person’s (1999) application of ideas from interactional sociolinguistics to examine the
way in which conversational structures are represented in literary dialogue. Other good
examples of this approach are the applications of speech act theory to the understanding of
dramatic dialogue by scholars such as Nash (2008) and Short (2008).
Studies in the second category usually come closer to focusing on the concerns that I
have been outlining as central to a discourse analytical approach to creativity. Perhaps
the most notable among these is Black’s (2005) formulation of what she calls ‘pragmatic
stylistics’. Using a range of theories from pragmatics, including politeness theory, Gricean
pragmatics, and relevance theory, Black explores how the contexts that authors create for
their characters affect the ways in which we interpret characters’ actions, how authors
strategically weave together multiple ‘voices’ and represent discourse in both direct and
indirect ways, and the ways in which metaphor and symbolism work through the mecha-
nisms of implicature and inference.
Also notable is the work of Jacob Mey (1999, 2001, 2009a), who also examines literary
texts as active (specifically Gricean) collaborations between reader and author. In his book
When Voices Clash: A Study in Literary Pragmatics, Mey (1999) addresses many of the key
issues discussed above specifically as they relate to literary reading. The book is primarily
about the ways in which authors appropriate and mix different ‘voices’, and the pragmatic
effects (and challenges) that this entails. Negotiations among these different voices take
place against the backdrop of what has been referred to as ‘“capital C” Conversations’: the
voices of the society that, like ‘invisible partner(s) in all our conversations’, are ‘mumbling
behind our backs, while we seemingly are speaking like “free linguistic agents”, unobserved
and unmonitored’ (Mey, 1999: 7).
Finally, there are those studies that focus on the status of the literary text within broader
‘orders of discourse’ and the role of literary creativity in helping to create social change.
Of course, literary theorists and postmodern critics have long taken inspiration from the
work of Foucault, but have mostly not addressed the specifically linguistic dimensions of
‘orders of discourse’. More linguistically oriented discourse analysts who have turned their
attention to the social and ideological aspects of literature include Fowler (1981), who,
drawing on the work of Halliday (1978), traces the ways in which an author’s choice of
register reflects the social and economic relations in the society in which he or she writes.
Other work of this type has been heavily influenced by Fairclough’s (1992) critical dis-
course analysis, such as Birch’s (1989) analysis of reading as a political practice and Mills’
(1995) feminist stylistics.
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Yet another area in which discourse analysis has been able to shed light on creativity in
everyday interactions has been in studies that examine how people strategically negotiate
‘what’s going on’ in interactions. As I mentioned earlier, the contexts in which we interact
are not fixed; participants often have quite a lot of ‘wiggle room’ with which to frame and
reframe situations and to strategically position themselves within them.
Most of the work on framing in interaction has been done within the paradigm of inter-
actional sociolinguistics. Perhaps the most well-known study is that of Tannen and Wallat
(1987), who analysed how a paediatrician uses various contextualisation cues, such as
subtle shifts in tone and register, to dynamically manage the different activities involved
in examining an 8-year-old child with cerebral palsy, framing the examination as a ‘game’
for the child, as a ‘consultation’ for the mother, and as a ‘lesson’ for medical residents,
who will later watch it on videotape. In another article entitled ‘Talking the dog’, Tannen
(2004) shows how family members often use the frame of ‘talking to the dog’ to actually
talk to other family members when they feel uncomfortable saying things to them directly,
and, using data from the same study on family communication, Gordon (2008) shows
how parents strategically frame and reframe utterances as ‘parenting’ and ‘play’ in their
interactions with their children. Such studies highlight the fact that a discourse analytical
approach to creativity sometimes requires attention not only to the words that people say,
but also to the sometimes subtle interactional cues that they use to signal, reinforce, or
challenge the mutually constituted definition of the situation.
Another approach to discourse that focuses on the creative ways in which people manage
identities and activities in interactions is positioning theory. Developed by psychologist
Rom Harré and his colleagues (Davies & Harré, 1990), positioning theory explores the
discursive processes through which people negotiate their own and others’ identities in
interaction by portraying themselves as ‘characters’ in jointly produced ‘storylines’ –
storylines that involve broader cultural values and ‘moral orders’. Because interaction
typically involves multiple storylines, participants usually have available to them multiple
positions that they can strategically adopt, contest, and play off against one another. This
potential for strategic action is particularly relevant in interactions in which individuals
with relatively less power attempt to resist, subvert, or adapt to a relatively powerless
positioning in one storyline by adopting a more powerful one in another. Preece (2009),
for example, has shown how so-called remedial students in universities strategically coun-
ter institutional positionings by adopting powerful positions within alternate storylines
associated with peer groups, their families, or their communities.
Genre analysis (Bhatia, 1993; Swales, 1990) is another approach to discourse that has
made a contribution to understanding the ways in which people use language creativity,
especially in academic, corporate, and professional communication (see Bhatia, Chapter 9).
A key difference between most literary approaches to genre and discourse analytical
approaches is that the latter focus less on genre as a matter of formal conventions and more on
genre as a matter of social action (Miller, 1984). Genres are tools that enable users to accom-
plish private intentions within the frameworks of socially recognised purposes by bending
and blending various expectations about the style and structure of texts held by the discourse
communities to which they belong (Bhatia, 1993, 1997, 2012; see also Bhatia, Chapter 9). In
fact, the ability to use genres inventively, rather than slavishly follow ‘templates’, is one of
the best indicators of expert membership in a community.
I have already asserted that the key to understanding a discourse analytical approach to
linguistic creativity lies in understanding not only how people can creatively alter linguistic
forms, but also how they can use language to creatively change the world – and no other
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approach to discourse captures this more activist approach to creativity better than critical
discourse analysis. As much as critical discourse analysts are concerned with the ways in
which ‘orders of discourse’ exert power over individuals, they are also interested in the
creative ways in which people exercise ‘resistance’ – how, by producing new meanings,
new practices, and new ways of organising their relationships through discourse, people
can function as agents for social and cultural change (see, for example, Blommaert, 2005;
Fairclough, 1992). Discursive means for resistance available to the less powerful include
strategies such as creatively appropriating the voices and genres of the powerful, and using
silence, euphemism, satire, irony, and what Halliday (1976) refers to as ‘anti-languages’
(Flowerdew, 2008). Examples can be seen in Jones’ (2007) study of the strategies that gay
men in China use to claim cultural legitimacy, Canagarajah’s (1999) study of resistant dis-
course practices of students and teachers in Sri Lanka, and Lamb’s (2013) examination of
the ways in which immigrant organisations have affected debates about immigration control
in the United Kingdom.
Finally, mediated discourse analysis (Norris & Jones, 2005; Scollon, 2001) provides
yet another perspective on discourse and creativity: one that focuses on how social actors
creatively mix discourse with other cultural tools (both semiotic and technological) in per-
forming social actions and negotiating social identities along historical cycles of discourse
and action – that is, what Scollon (2008) calls ‘discourse itineraries’. Mediated discourse
analysis shares with approaches to ‘distributed cognition’ (see Langlotz, Chapter 2) the
view that creativity is less a matter of the individual, and more a matter of the individual
acting together with other people and with various ‘cultural tools’. Creativity is, as Lave
(1988: 18) puts it, ‘stretched across mind, body, activity and setting’. A good example of
this approach is Jones’ (2012b) ethnographic study of urban skateboarders in Hong Kong,
which documents how skateboarders make use of various discursive and physical tools
(skateboards, fashion, and digital video cameras) to cognitively scaffold their learning
and construct identities as members of unique ‘crews’. Another example is the study by
Jones and his colleagues (2012) of writing in public relations firms, showing how seem-
ingly ‘uncreative’ processes, such as the use of templates and ‘boilerplate’ text, actually
facilitate creative collaboration and the socialisation of new employees into the creative
practices of the firm.
The ethnographic approach to research advocated by mediated discourse analysis and
many of the other approaches mentioned here highlights the importance of a discourse
analytical approach to creativity to go beyond the analysis of isolated texts and to seek to
understand the ways in which texts often cycle through multiple contexts in complex ‘itin-
eraries’, involving complex webs of intertextuality and interdiscursivity.
Future directions
In the coming years, discourse analytical approaches to language and creativity will need
to confront two interrelated phenomena: (a) the fact that an increasing amount of human
communication is mediated through digital technologies (for an overview, see Jones &
Hafner, 2012); and (b) the increasingly multimodal character of communication, which
has led to what might be considered a ‘multimodal turn’ in contemporary approaches to
discourse (see, for example, Jewitt, 2009; Kress & van Leeuwen, 2001).
According to Mey (2009b: 12), ‘the use of the computer in creative contexts represents
a true breakthrough in the relationship of humans to their work, especially as regards their
ways of creative production and reproduction’. Digital technology has put into the hands of
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ordinary people a range of discursive tools formerly available only to professionals, such
as the ability to create sophisticated multimodal web pages and digital videos. It has also
introduced new genres that challenge users’ creative capacities, such as tweets (Tagg, 2012)
and the ‘small stories’ that individuals collaboratively compose on social networking sites
(Page, 2010). Part of the creative potential of digital technologies also lies in the way in
which they can facilitate creative intertextuality and ‘remixing’ (see Knobel & Lankshear,
Chapter 25). In some circumstances, these technologies have introduced opportunities for
users to transform power relations in their everyday lives and to increase possibilities for
agentive action, from the ways in which young people use digital technologies to manage
their social lives and escape the surveillance of parents and other authorities (boyd, 2014;
Jones, 2008), to the ways in which digital video and social media have been used in the
context of social activism and protest movements (see, for example, van de Donk et al.,
2004). At the same time, some have argued that digital technologies can also limit people’s
access to creative action by constraining the range of discursive choices that they can make
by means of such things as dropdown menus, design templates, and default settings (van
Leeuwen, 2012).
Related to the challenges introduced to discourse analysis by new technologies are
those introduced by the increasing recognition that accounts of discursive behaviour
that focus solely on linguistic means inevitably give an incomplete picture. All com-
munication is, to some degree, multimodal and an important part of understanding how
people use language creatively is understanding how they mix it with other modes. Kress
(2003) argues that all communication is essentially a form of ‘design’, in which peo-
ple strategically play off against each other the affordances and constraints of written
and spoken language, images and video, gesture, music, and other modes. As mean-
ings move across modes, and as modes interact with one another, texts and contexts are
transformed, and new possibilities for human action and dialogue are created (Jaworski,
Chapter 20; Kress, 2010).
Thus far, most of the work in multimodal discourse analysis has focused on the structure
and meaning of multimodal texts, and much progress has been made in understanding the
affordances and constraints of different modes and the ways in which these modes interact.
In the future, however, more attention will need to be paid to the ways in which multimodal
and multimedia texts are ‘emplaced’ (Scollon & Scollon, 2003) in physical and social con-
texts, how they get recontextualised as they travel through networks and across platforms,
the kinds of ‘“capital C” conversations’ that they support and constrain, and the new kinds
of social practices and social identities that they make possible.
Related topics
creativity and dialogue; creativity and interdiscursive performance in professional commu-
nication; creativity and technology; discourses of creativity; everyday language creativity;
language, creativity, and remix culture; literary narrative; literary stylistics and creativity
Further reading
Carter, R., and Simpson, P. (eds) (1989) Language, Discourse and Literature: An Introductory Reader
in Discourse Stylistics, London: Routledge.
This edited collection presents many good examples of discourse analytical approaches to literary
creativity.
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Rodney H. Jones
Gee, J. (2011) An Introduction to Discourse Analysis: Theory and Method, 2nd edn, London: Routledge.
This is an excellent introduction to discourse analysis that highlights many of the principles
discussed in this chapter.
Jones, R. H. (2010) ‘Creativity and discourse’, World Englishes, 29(4): 467–80.
This article elaborates on some of the principles of a discourse analytical approach to creativity
introduced in this chapter.
Jones, R. H. (ed.) (2012) Discourse and Creativity, Harlow: Pearson Education.
This edited collection includes examples of discourse analytical approaches to creativity in many
different domains, including literature, professional communication, art and music, and digital
communication.
Maybin, J., and Swann, J. (2007) ‘Everyday creativity in language: Textuality, contextuality and
critique’, Applied Linguistics, 28(4): 497–517.
This article makes a good case for focusing on the contextual and critical dimensions of creative
language.
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Bakhtin, M. M. (1986) Speech Genres and Other Late Essays, trans. V. W. McGee, eds C. Emerson
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4
Creativity and dialogue
The improvisational
nature of conversational interaction
Keith Sawyer
Introduction
The defining feature of conversation is that it is collectively improvised. For this reason,
a productive way in which to study conversation is to study the most extreme form of
creatively improvised linguistic interaction: the improvised dialogues performed on stage
by improvisational theatre groups. In this chapter, I argue that the study of these dialogues
has much to teach us about conversation more generally. I present two examples of staged
improvised dialogues and I identify the key features of these dialogues that make them
uniquely improvisational. I then present a theoretical framework, collaborative emergence,
which allows us to apply these insights to everyday conversational interaction.
Improvisation has been one of the most influential developments in contemporary theatre.
Beginning in the 1950s, a group of Chicago actors began to perform improvisations on stage, in
front of paying audiences. They were influenced by Stanislavsky, but even more so by the improv-
isations of the medieval Italian commedia dell’arte and by the free flow of children’s dramatic
play. In Chicago ‘improv’, the audience is exposed to the collaborative creative process of an
ensemble of actors; neither the actors nor the audience knows how the performance will emerge.
The brief transcript in Example 1 demonstrates how two improv actors create a scene
through improvisation.
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The first actor to jump to stage front and start the scene can do almost anything. Nothing has
been decided – no plot, no characters, no events. But only a few seconds into the scene, the
actors quickly establish a basic dramatic frame. Once this happens, the actors have to work
within that frame.
By the end of this exchange, Andrew and Ben have developed a reasonably complex
drama. They know that Andrew is a bus driver and that Ben is a potential passenger. Andrew
is getting a little impatient and Ben may be a little shifty, perhaps trying to sneak on. A tran-
script of the dialogue can be misleading, because it makes it all seem straightforward. But
it’s important to emphasise how unpredictable these eight turns were – how this tiny bit of
dialogue could have gone in 100 other directions. For example, at turn 2, Ben had a range
of creative options available to him: had he pulled up a second chair and sat down next to
the ‘driver’, he would have become a passenger in a car. At turn 3, Andrew had an equal
range of options: he could have addressed Ben as his friend, and Ben’s hand in his pocket
could have been searching for theatre tickets – ‘Don’t tell me you forgot the tickets again!’
For a zanier example, at turn 2, Ben could have addressed Andrew as Captain Kirk of Star
Trek, creating a parody. Each turn presents a range of creative options for Andrew or Ben,
and because each turn provides its own numerous possibilities, a combinatorial explosion
quickly results in hundreds of other performances that could have emerged.
Yet this creativity is not unlimited: although they start the scene with no idea what
will happen, a few seconds into the scene the actors are constrained by the scenario that
has collaboratively emerged. From then on, their creativity must be consistent with what
has come before. In improvisational encounters, participants must balance the need to
contribute creatively with the need to maintain coherence with the current state of the
dramatic frame.
The study of improvised dialogues can contribute to our understanding of two processes
that are present in all conversational interaction. The first is the process whereby participants
in a conversation collaborate to create their interactional context, or the ‘frame’ – and I refer
to this process as collaborative emergence. I argue that the frame should be treated as a higher
level of analysis that emerges from dialogue, and I argue that we must consider the frame to
be analytically distinct from any participating individual and distinct from any single turn of
dialogue. The second interactional process is that whereby participants are constrained and
enabled by the interactional frame that emerges from their dialogue. I refer to this process
as downward causation, because it is a causal relation between the frame, a higher level of
analysis, and individual discursive action.
My theory of collaborative emergence is based on sociological and philosophical treatments
of emergence, reductionism, and holism – bodies of literature on which conversation research
rarely draws (Sawyer, 2005). The theory makes clear the broad relevance of these studies to
research in conversation analysis, linguistic anthropology, and the psychology and sociology
of creativity.
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laboratories, in which arena a single journal article may have more than 100 authors,
and the production of a film, the credits of which may list more than 100 professionals.
Theatre and musical performance are perhaps the most group-oriented of all creative
forms. Many musical traditions are ensemble forms, including the chamber groups and
orchestras of the European tradition, and almost all theatre is ensemble-based.
An improvisational group performance is a collaborative creation and the performance is
collaboratively emergent (Sawyer, 2003a). Like many emergent phenomena, it is difficult –
perhaps even impossible – to analyse using reductionist methods. For example, we cannot
study the collaborative creation of the dramatic frame by focusing on the psychology of indi-
vidual performers, or the creativity that they display in isolated turns of dialogue; instead, we
need a theoretical framework and a methodology that allows us to study group interaction and
collaborative creativity. Although some psychologists have acknowledged the role played
by collaboration (for example John-Steiner, 2000), their empirical studies have been largely
qualitative and descriptive, owing to the lack of a methodology with which to study sociocul-
tural practice in specific instances of collaboration. I believe that we can study collaborative
verbal creativity by using methodologies developed for the analysis of verbal performance,
thus providing a new set of tools to creativity researchers.
In most European performance genres, the performers follow an outline that has been
created by someone else: musicians perform from a score that was written by a composer;
or actors memorise lines from a script that was written by a playwright. As a result, we
often think that the creativity in these domains originates with the solitary creator of the
score or the script. Also in European performance, each performance is managed by a single
autocratic individual: the theatre director or the musical conductor. Thus it is relatively easy
to analyse those genres of performance by focusing on the creative individual, and when
psychologists study performance creativity, they usually focus on these European genres.
However, apart from European performance traditions, most of the world’s performance
genres are improvisational. Most of them do not have a tradition of notation – that is, they
are oral cultures – and most of them do not have individuals equivalent to a ‘composer’ or
‘playwright’; rather, the creativity rests with the performers. In this situation, the creativity of
the performance itself plays as large a role as the creativity that led to the structures that pre-
exist the performance: the tradition or genre, or the song that is being performed. And, in oral
cultures, genres and songs themselves are collectively created, emerging over historical time.
The psychology of creativity, if limited to the study of individual cognitive processes,
cannot explain collaborative emergence. The dramatic frame must be treated as a distinct
level of analysis, irreducible to participants’ mental representations or orientations towards
it. Perhaps psychologists have not attempted to study improvisational performance because
the emergent processes of improvised, unscripted, undirected performance are hard to
explain using the reductionist individualist methods of psychology.
If the emergent frame is an independent, irreducible level of analysis, there are several
implications for how we study the creativity of individual participants: where does the
speaker’s creativity come into the picture? What role does individual creativity play, and
what are the constraints on individual creativity? What is the balance between individual
creativity and group collaborative processes?
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Improvised dialogue results in the creation of a dramatic frame, which includes all aspects
of the performance: the characters enacted by each actor; the motives of those characters;
the relationships among those characters; the joint activity in which they are engaged;
the location of the action; the time period and genre; the overall plot; and the relation of the
current joint activity to that plot. The dramatic frame is constructed turn by turn: one actor
proposes a new development for the frame, then other actors respond by modifying or
embellishing that proposal. Each new proposal for a development in the frame is the crea-
tive inspiration of one actor, but that proposal does not become a part of the drama until it
is evaluated by the other actors. In the subsequent flow of dialogue, the group collaborates
to determine whether to accept the proposal, how to weave that proposal into the drama
that has already been established, and then how to further elaborate on it.
I call this process collaborative emergence because the dramatic frame emerges from
the collaborative creative activity of the ensemble (Sawyer, 2003a). To demonstrate some
important characteristics of collaborative emergence, I refer to an example of dialogue
taken from a 1993 performance by Off-Off Campus, a Chicago theatre group (Example 2).
This is the first few seconds of dialogue from a scene that the actors knew would last about
five minutes. The audience was asked to suggest a proverb, and the suggestion given was
‘Don’t look a gift horse in the mouth’.
Example 2 The first few seconds from a five-minute scene by Off-Off Campus
1 (Lights up. Dave is at stage right, Ellen at stage left. Dave begins gesturing to his right, talking to
himself.)
2 Dave All the little glass figurines in my menagerie . . . The store of my dreams. Hundreds of
thousands everywhere! (Turns around to admire)
3 (Ellen slowly walks toward Dave)
4 Dave (Turns and notices Ellen) Yes, can I help you?
5 Ellen Um, I’m looking for uh, uh, a present? (Ellen is looking down like a child, with her fingers
in her mouth.)
6 Dave A gift?
7 Ellen Yeah.
8 Dave I have a little donkey? (Dave mimes the action of handing Ellen a donkey from the shelf.)
9 Ellen Ah, that’s – I was looking for something a little bit bigger . . .
10 Dave Oh. (Returns item to shelf.)
11 Ellen It’s for my Dad.
By turn 11, elements of the frame are starting to emerge. We know that Dave is a storekeeper
and Ellen is a young girl. We know that Ellen is buying a present for her dad and, because
she is so young, probably needs help from the storekeeper. These dramatic elements have
emerged from the creative contributions of both actors. Although the incremental contribu-
tions to the frame of each turn can be identified, none of these turns fully determines the
subsequent dialogue, and the emergent dramatic frame is not chosen, intended, or imposed
by either of the actors.
The emergence of the frame cannot be reduced to actors’ intentions in individual turns,
because in many cases an actor cannot know the meaning of his or her own turn until the
other actors have responded. In turn 3, when Ellen walks toward Dave, her action has many
potential meanings, for example she could be a co-worker, arriving late to work. Her action
does not carry the meaning ‘a customer entering the store’ until after Dave’s query in turn
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4. In improvised dialogues, many actions do not receive their full meaning until after the
act has occurred; the complete meaning of a turn is dependent on the flow of the subsequent
dialogue. This sort of retrospective interpretation is quite common in improvised dialogue,
and it is one reason why the dramatic frame is analytically irreducible to the intentions or
actions of participants in individual turns of dialogue.
In improv, as in everyday conversation, speakers know that their turns of dialogue must be
consistent with the emerging frame. After turn 5, because Ellen is now a young child and a
customer, she cannot suddenly begin to act as a co-worker; likewise, she cannot act as if she
had a prior relationship with Dave, because his query in turn 4 makes it clear that they have
not met before. As the dialogue continues beyond turn 11, we learn that Ellen is buying her
dad a present because he has not been feeling well; in fact, he has been exhibiting psychotic
behaviours. A third actor then enters the scene, enacting the character of Ellen’s psychotic dad,
and his condition is cured through some clever actions by the storekeeper. As the dialogue
proceeds and the dramatic frame progressively emerges, each actor is increasingly constrained
by the requirement to maintain coherence with the emergent frame.
This preliminary description of collaborative emergence shares many similarities with
several long-established theories about conversation. It is a commonplace among scholars of
conversation that individuals work together to co-construct their social reality through inter-
action. Statements to this effect are found in symbolic interactionism, ethnomethodology,
social constructionism, conversation analysis, and sociocultural psychology. Each of these
traditions has noted that speakers co-construct the interactional frame and that the frame, in
turn, constrains the future actions of individuals.
In improvised dialogues, the frame emerges from collective action, and then constrains
and enables collective action. These two processes are always simultaneous and insepara-
ble. They are not distinct stages of a sequential process – emergence in one turn, and then
constraint in the next; rather, each turn contributes to a continuing process of collaborative
emergence, at the same time as it is constrained by the shared emergent frame operative at
the moment that turn was spoken. The emergent frame is a dynamic structure: it changes
with every turn, so that no actor faces the same frame constraints twice. Until the stage
goes black and the performance is over, no one can stop the performance at any one point
and identify with certainty what the frame’s structure is. It is always subject to continuing
negotiation, and because of its irreducible ambiguity, there will always be intersubjectivity
issues, with different participants having different interpretations of the frame’s constraints
and affordances.
I have studied collaborative emergence in improvised dialogue by combining two distinct
strands of research (Sawyer, 2003b). The first is the close empirical focus on conversa-
tion that is found in fields such as conversation analysis and the ethnography of speaking.
These approaches are distinguished by rigorous methodological analyses of the turn-by-
turn mechanics of conversational interaction (Duranti & Goodwin, 1992). These researchers
have argued that talk cannot be understood as a static transcript, but must be viewed as fun-
damentally in play during interaction. Several studies in the ethnography of speaking have
emphasised the inherently creative nature of verbal performance (Bauman & Briggs, 1990;
Bauman & Sherzer, 1989). As Bauman and Sherzer (1989: xviii–xix) noted:
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My research draws from these traditions in its close empirical focus on improvised dialogues.
However, these disciplines have not sufficiently theorised the shared collective nature of the
interactional frame. To address this gap, I have expanded on these empirical traditions by
explicitly theorising the interactional frame as a collective social phenomenon. Drawing on
theories of sociological emergentism (Sawyer, 2005), I argue that the shared interactional
frame is analytically irreducible to the actions, intentions, or mental states of participating
individuals. Although the frame is created by participating individuals through their collec-
tive action, it is analytically independent of those individuals and it has causal power over
those individuals. Drawing on arguments from sociological emergentism, I argue that the
causal power of the frame cannot be explained in terms of individuals’ representations of it,
their demonstrated orientations to it, or their subjective interpretations of it.
This position is a version of what sociological theorists refer to as methodological
collectivism: the position that although only individuals exist, there may be analytically
irreducible phenomena that emerge from collective action. Although such a collectivist
theory is novel in conversational research, arguments for analytic irreducibility have been
accepted in a broad range of scientific fields, because irreducibility is a common feature
of emergent phenomena. In extending the study of conversation in this way, I have been
influenced by two strands of theoretical work in sociology: the study of how macrosocial
structures emerge from individual action (Sawyer, 2005); and the analysis of the role of inte
raction in the relationship between individual action and social structures (Collins, 1981;
Knorr-Cetina & Cicourel, 1981).
This approach rejects both methodologically individualist and interpretivist approaches to
the study of conversation. Methodological individualism is the stance that all properties of
group behaviour can be reduced to, and ultimately derived from, properties of individuals.
The reductionist thrust of methodological individualism is implicit in many disciplines that
study conversational interaction. For example, among cognitive psychologists who study
conversation, the emergent frame is assumed to be reducible to a participant’s internal rep-
resentations of it, as in Schank and Abelson’s (1977) ‘script’ model and in ‘event schemata’
theories more generally. This psychologistic concept of the frame differs from conversation
analytic usage, which associates the frame with the emergent, negotiated context, rather
than with any mental representation of it.
The theory of collaborative emergence rejects methodological individualism. I argue that,
in improvised dialogues such as that in Example 2, the emergent frame cannot be reduced to
an analysis either of individuals’ representations of it, or of individual turns’ contributions
to it. I present a theory of conversational interaction that shows why these emergent frames
must be treated as analytically irreducible wholes. As a result of collaborative emergence,
the study of improvisational dialogues cannot be methodologically individualist: they cannot
be fully explained by analysing the actions or mental states of the participant individuals,
and then by analysing the interactions of these individuals, working ‘upwards’ to an expla-
nation of the emergent interactional frame. This sort of analysis can partially explain the
collaborative emergence of interactional frames, but cannot adequately represent the analytic
independence of the emergent frame, and the ways in which it takes on ‘a life of its own’ and
causally constrains and enables participants.
Conversation researchers generally reject methodological individualism in their focus
on the interaction order as a distinct level of analysis. At the same time, most conversation
analysts believe that the emergent frame can be explained only in terms of the strategic
actions taken by individuals and the demonstrated interpretations held by individuals in
successive turns of an encounter (see Sawyer, 2003b). This stance is a variant of what
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I argue that studies of conversational dialogue must be emergentist, because they must
hypothesise an analytically distinct entity that emerges from collective action and then
has causal power over individual action. However, there are some subtle differences from
prior forms of sociological emergentism. First, I focus on the micro-interactional mecha-
nisms whereby the shared social phenomenon emerges, whereas much of macrosociology
is more sociologically realist, in proceeding as if macrosocial forces already exist, rather
than theorising and examining empirically how they come to exist.
Secondly, macrosociology studies the causal force associated with emergents that preceded
the beginning of the encounter. For example, in much of sociolinguistics, the independent
variables are macrosocially derived properties such as class, race, gender, institutional loca-
tion, and network position. Instead, here I study causal forces that originate in an emergent
that was created by the participants. Thus I avoid many potential individualist and interpretiv-
ist counter-arguments to these macrosociological approaches, such as the most widespread
sociological account of how macrosocial factors exert causal force in encounters: The causal
force is mediated by the orientations that participants have internalised toward such situations
in prior encounters.
Conversational dialogue is more likely to manifest collaborative emergence when it has
the following characteristics: (a) unpredictability; (b) processual intersubjectivity; (c) social
causation; and (d) use of implicit metapragmatic communicative strategies. Conversations
with these properties will be the most like improvised staged dialogues and the least likely to
submit to reductionist individualist methods of analysis. In the following four subsections, I
discuss each of these characteristics in turn.
Unpredictability
In the improv theatre transcript presented in Example 2, no actor knows what is going to
happen next. At each point in the improvisation, an actor can choose from a wide range of
moves to propel the dramatic frame forward. Actors cannot know how their turns will be
interpreted by the others; each turn gains its final meaning only from the ensuing flow of
discourse. Thus the actor’s intention does not fully constrain the eventual dramatic meaning
of the turn; each turn of dialogue, although spoken by a single actor, eventually takes on a
dramatic meaning that is determined by a collaborative, emergent process.
Linguistic interactions range across a spectrum from relatively unpredictable to relatively
predictable (Sawyer, 1996). Predictable interactions are those in which the turns of dialogue
are highly constrained by the conventions of a genre or a situation. The highly ritualised initial
turns of a courtroom proceeding are almost completely scripted. Slightly less predictable,
although still heavily ritualised, are the opening sequences at the beginning of a phone con-
versation. Improvisational theatre dialogues represent the extreme of unpredictable, relatively
unscripted conversation.
This unpredictability and contingency results in dialogue that, at each turn, has a combi-
natorial complexity: a large number of next turns are possible, and each one of those turns
could result in the subsequent flow of the dialogue going in a radically different direction. In
each turn, the speaker can choose from a wide range of actions that are consistent with the
frame that has emerged up to that point; a speaker’s action cannot be predicted by the other
actors on stage, because there are so many potential creative acts and the range of potential
frames that might emerge multiplies from turn to turn. This results in expanding combinato-
rics like those in a chess game: if one has ten potential moves and one’s opponent then has
ten potential responses to each of those ten moves, to look only two turns into the future, one
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must consider 100 different scenarios. No chess player is smart enough to foresee all of the
possibilities more than a few turns ahead, given the rapidly expanding combinatorics. Such
moment-to-moment combinatorics often results in analytically irreducible phenomena, as
demonstrated by studies of complex dynamical systems.
Complexity theory has long noted that sensitivity to initial conditions is likely to lead to
unpredictable and analytically irreducible system behaviour. The system’s behaviour fol-
lows general laws, but because the effect of a small change in initial conditions is so large,
predictability from the laws is computationally impossible. Because of the high degree
of contingency and unpredictability in improvised theatre dialogues, it is impossible to
predict how the dialogue will continue. The contingency and combinatorial complexity of
improvised dialogue makes it likely to be an irreducible, emergent phenomenon.
Processual intersubjectivity
A second factor that contributes to the emergent irreducibility of dialogue is that it is often
impossible to determine the meaning of a turn at the moment that the turn occurs. As we saw
in Example 2, turn 2, Ellen’s entry into the store has several potential meanings, and these
ambiguities are not resolved until the subsequent turn of dialogue. Before turn 3 attributes a
meaning to turn 2, each of the two actors may have had a completely different interpretation
of what turn 2 actually meant; it is not until turn 3 that these conflicting potential interpreta-
tions are resolved and the actors both share an understanding of turn 2’s meaning.
This example shows that intersubjectivity is problematic in improvisational encounters.
In psychology and in sociology alike, intersubjectivity is defined as a state of overlapping,
isomorphic mental representations: two or more people are said to ‘have intersubjectivity’
when their mental representations of the situation are in agreement. This view is implic-
itly reductionist, because intersubjectivity is reduced to individual subjectivities and their
additive relations. In other words, intersubjectivity – and hence all collective activity – is
regarded as a simple sum of individual mental states. In this view, there can be no novelty
or emergence, because the reproductive aspects of interaction are stressed: in interaction,
I recreate something within your mental state, and you recreate something within mine.
The psychological account of intersubjectivity is inadequate to describe improvised dia-
logues, because the dependence of each turn on the subsequent flow of dialogue results in a
situation in which it is impossible for participants to have identical mental representations
of what is going on. However, although each actor may have a rather different interpreta-
tion of what is going on and where the scene might be going, they are nonetheless able to
collectively create a coherent dramatic frame. The key question about intersubjectivity in
improvisational performance is not how agents come to share identical representations, but
rather how a coherent interaction can proceed even when they do not.
This inadequate concept of intersubjectivity is implicit in individualist analyses of
discourse, because they begin with a focus on each participant’s internal mental model
of the frame and then work ‘upwards’ to show how the frame is aggregatively composed
of the participants’ models. However, in interactions that manifest collaborative emergence,
the emergent frame cannot be fully explained in this bottom-up fashion. Of course, a
version of the emergent interactional frame is internalised by each actor, resulting in a
mental version of the frame. Yet the internalisation process is not deterministic and can
result in each actor having a slightly different representation. These mental representa-
tions could conceivably be studied using the methodologies of cognitive psychology,
although specific techniques for accessing these mental models are hard to envision,
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because the models are constantly changing during the improvisation. However, even
if one could develop a psychological method to study these individual frame represen-
tations, the analysis would have to take another significant step, to consider the social
interactions among actors, and how the combinations and negotiations of their different
representations resulted in the emergence of the final performance.
Because of the ambiguity of the frame and the problem of intersubjectivity, improvising
stage actors try not to construct an overly elaborate internal representation of the interactional
frame, because if their internal representation of the frame contains more detail than has
actually been intersubjectively agreed to, chances are high that another actor will perform
an action that is incompatible with that extrapolated version of the frame. Actors are taught
not to maintain an overly detailed representation of the frame, and improv teachers use the
admonition ‘Don’t write the script in your head’ in instructing actors not to do this.
When all actors are following this rule effectively, the emergent interactional frame is
analytically prior to actors’ mental representations, because it precedes any one actor’s
internalisation of it. The creativity does not originate in one actor’s head, then becoming
externalised and imposed on the other actors; rather, the creativity is found in the collabo-
rative emergent process that results in an interactional frame, which is then internalised by
the actors. Improvisational creativity occurs on the collaborative, social plane, rather than
in individuals’ heads. This observation has several implications for psychologists that study
creativity (Sawyer, 2003a).
Intersubjectivity and unpredictability result in collaboratively emergent phenomena
that cannot be reduced to an analysis of the component individuals. This is not a claim
that individualistic analysis cannot contribute useful insights into the analysis of group
interaction; it is, however, a claim that such analysis is, in principle, not capable of a
complete description of the social phenomenon of collaborative emergence. Even after
the individualistic or psychologistic analysis were complete, analyses of emergent inter-
actional processes would nonetheless remain essential to a complete understanding of
the performance.
Social causation
Sociological critiques of methodological individualism have often argued that individual-
level descriptions are incomplete because they do not account for social causation, when an
emergent social property begins to have cause relations with the individual level, exerting
constraints either on individual actors or on their patterns of interaction. Although individu-
alist accounts are often successful at describing how bottom-up processes lead to emergent
macro-structure (a strength of conversation analysis), they rarely address the ‘top-down’
processes of social causation.
In some cases, the analyst can identify regularities in the ways in which individual turns
are constrained or enabled by the emergent frame. These regularities are a form of social
causation. Interactions are more likely to be collaboratively emergent when the analyst
can identify causal relations between the emergent frame and individuals’ actions, because
these causal relations are particularly difficult to reduce to explanation at the individual
level of analysis.
An individualist account of Example 2 would have to analyse each turn in terms of the
causal influence of the prior turn of dialogue, combined with the intentions and mental
models held by the speaker, without any appeal to an analytically distinct social level of
analysis. In turn 1, we could suggest that Dave defined the location (a store) and his role
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(storekeeper). This action placed constraints on the possible actions that Ellen could take in
turn 2. Continuing with this hypothetical individualist account, in turn 2, we could propose
that Ellen internalised Dave’s proposals, and then chose to elaborate them by proposing an
activity, walking into the store, which could be interpreted in a range of ways, for exam-
ple either as a customer shopping or as an employee arriving to work. Her proposal then
exerts causal force by limiting Dave’s creative options in turn 3. To the extent that such
turn-by-turn causal accounts are plausible and complete, the interaction is less likely to be
collaboratively emergent. In dialogues that manifest collaborative emergence, it becomes
increasingly difficult to account for individuals’ actions without making explicit reference
to the independent causal force exerted by the emergent interactional frame.
Once properties of the dramatic scene are established, they become collective emer-
gents, and thus constrain all of the actors. Dave’s turn 1 establishes the location as a ‘store’
and this act constrains Ellen’s action in turn 2. The question is whether the constraint on
each turn can be analysed as a combination of the prior turn and the internal mental state
of its speaker, or whether the constraint on a turn is better considered to originate in the
interactional frame itself as an emergent social product. If the latter, then the frame is
analytically distinct from individuals’ orientations towards it as displayed in individual
turns. Psychologists, conversation analysts, and many others take the former approach.
Although, for some types of interaction, such an approach is methodologically warranted,
in drawing on sociological emergentism I argue that, for improvised dialogues, the analyst
is often required to take the latter approach.
All improvisation occurs in the presence of some pre-existing structure (Sawyer,
1996). In Example 2, throughout the five-minute performance, there is an ever-changing
emergent frame – a shared understanding of what has been established and what is going
on – and the actors’ future creativity has to proceed within that frame. In conversations
that manifest collaborative emergence, the emergent interactional frame must analyti-
cally be considered to have its own causal force, which is both enabling and constraining.
It is ever-changing, created in a bottom-up fashion from the actions of individual actors,
yet once created it constrains and influences the later actions of those individuals, in a
top-down fashion.
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representations. However, actors do not step out of character to talk about how their scene will
develop; this would break the dramatic illusion and lose the continuity of the scene. Instead,
actors have to negotiate their intersubjectivity while enacting the ongoing scene. Thus every
actor’s turn of dialogue both enacts a character within the frame and, at the same time,
negotiates this intersubjectivity implicitly, by proposing an additional elaboration or trans-
formation of that frame. This latter communicative function is implicitly metapragmatic in
that its indirect pragmatic effect is to further define the nature of the ongoing interaction
itself. Improv communications – like all human discourse – thus have effects on two levels:
an enacted, or denotational, level; and a metapragmatic, or negotiatory, pragmatic level
(Sawyer, 2003b). Collaborative emergence is more likely to be found in interactions that
use implicit metapragmatics.
Conclusion
Linguistic anthropologists have long known that language use is fundamentally creative.
Many cultures have developed complex improvisational verbal forms, requiring significant
creative skill, which are used in ritual, negotiation, gossip, greeting rituals, and conversa-
tion (Sawyer, 1996). Oral cultures have always depended on improvisation, because in the
absence of a written text even the most structured and ritualised performances vary from
one performance to the next.
In all collective language use, dramatic frames emerge from improvised dialogues, and
then those emergent frames exert downward causal force on the participants, both con-
straining and enabling what actions they can take next. By examining these two processes,
I demonstrate how emergent frames can be said to constrain individual action even though
they are nothing more than the actions of participants. My theory of this dialectic draws
on sociological theories of emergence, which generally hold that properties of complex
systems may be irreducible to properties of their components. Similarly, the theory of col-
laborative emergence holds that the interactional frame emerges from individual turns and
their combinations, but that it is nonetheless analytically irreducible to those turns. Frames
cannot be fully explained in terms of intentions and mental models of participants: neither
through the methodological individualism of contemporary psychology, nor through the
interpretivist focus on participants’ subjective interpretations of, and demonstrated orien-
tations to, that frame.
These arguments have complex implications for the study of individual creativity. In
improvised dialogues, the creativity of individuals is secondary to the collective crea-
tivity of the group. The emergent frame emerges, and then participants internalise it; it
does not first exist in participants’ heads, to be externalised. Group creativity is primar-
ily social and collective, and is irreducible to psychological conceptions of individual
creativity. As such, its scientific study requires explanations at the collective, group level
of analysis.
Improvised dialogues provide a unique window on to conversation. They allow the
researcher to focus on the creative, interactional mechanisms from which frames collabora-
tively emerge. To the extent that speakers in everyday conversation are free to create their
own frames, the same interactional processes will be found. In both conversation and in
improvised dialogues, participants must balance the need to creatively contribute with the
need to maintain coherence with the current state of the interactional frame. For these rea-
sons, improvisation is more than an intriguing performance genre; the study of improvised
dialogues can also contribute to the general theory of situated social action.
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Creativity and dialogue
Related topics
creativity and discourse analysis; discourses of creativity; everyday language creativity
Further reading
Bauman, R., and Sherzer, J. (eds) (1974) Explorations in the Ethnography of Speaking, New York:
Cambridge University Press.
This book contains chapters by linguistic anthropologists who have each studied a particularly
interesting genre of verbal performance.
Duranti, A., and Goodwin, C. (eds) (1992) Rethinking Context: Language as an Interactive
Phenomenon, New York: Cambridge University Press.
This book contains chapters by sociologists who study the micro-interactional flow of socially
situated encounters.
Sawyer, R. K. (2003) Improvised Dialogues: Emergence and Creativity in Conversation, Westport,
CT: Ablex.
This research monograph is an extended empirical study of Chicago improvisational theatre
dialogues, with a discussion of the theoretical implications for the study of situated social action.
Sawyer, R. K. (2007) Group Genius: The Creative Power of Collaboration, New York: Basic Books.
This is an accessible book for general readers, which builds on academic studies of collaboration
and creativity to identify implications and recommendations for business leaders and team members
to help their groups to be more effective.
References
Bauman, R., and Briggs, C. L. (1990) ‘Poetics and performance as critical perspectives on language
and social life’, Annual Review of Anthropology, 19(1): 59–88.
Bauman, R., and Sherzer, J. (eds) (1989) Explorations in the Ethnography of Speaking, New York:
Cambridge University Press.
Bourdieu, P. (1977) Outline of a Theory of Practice, New York: Press Syndicate of the University of
Cambridge.
Brown, G., and Yule, G. (1983) Discourse Analysis, New York: Cambridge University Press.
Collins, R. (1981) ‘On the microfoundations of macrosociology’, American Journal of Sociology,
86(5): 984–1014.
Duranti, A., and Goodwin, C. (eds) (1992) Rethinking Context: Language as an Interactive Phenomenon,
New York: Cambridge University Press.
Giddens, A. (1984) The Constitution of Society: Outline of the Theory of Structuration, Berkeley, CA:
University of California Press.
John-Steiner, V. (2000) Creative Collaboration, New York: Oxford.
Knorr-Cetina, K., and Cicourel, A. V. (eds) (1981) Advances in Social Theory and Methodology:
Toward an Integration of Micro- and Macro-sociologies, Boston, MA: Routledge & Kegan Paul.
Sawyer, R. K. (1996) ‘The semiotics of improvisation: The pragmatics of musical and verbal
performance’, Semiotica, 108(3–4): 269–306.
Sawyer, R. K. (2001) Creating Conversations: Improvisation in Everyday Discourse, Cresskill, NJ:
Hampton Press.
Sawyer, R. K. (2003a) Group Creativity: Music, Theatre, Collaboration, Mahwah, NJ: Lawrence
Erlbaum Associates.
Sawyer, R. K. (2003b) Improvised Dialogues: Emergence and Creativity in Conversation, Westport,
CT: Ablex.
Sawyer, R. K. (2005) Social Emergence: Societies as Complex Systems, Cambridge: Cambridge
University Press.
Sawyer, R. K. (2007) Group Genius: The Creative Power of Collaboration, New York: Basic Books.
Schank, R. C., and Abelson, R. P. (1977) Scripts, Plans, Goals, and Understanding: An Inquiry into
Human Knowledge Structures, Hillsdale, NJ: Lawrence Erlbaum Associates.
Tannen, D. (ed.) (1993) Framing in Discourse, New York: Oxford University Press.
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Lexical creativity
Judith Munat
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appear to qualify (Katamba, 1993: 73). Paradigms are erratic and not all potential words will
ever be realised.
Let us now turn our attention to the finer distinctions between productivity and creativity,
before focusing on the more creative aspects of word formation.
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‘expressivity’. They cite, among others, Lieber (1992, in Schröder & Mühleisen, 2010)
who affirms that those words that ‘draw attention to themselves . . . are formed accord-
ing to an unproductive pattern’ and are therefore excluded from a theory of word forma-
tion. The authors immediately rebut this statement by citing Lehrer (1996: 64, in Schröder
& Mühleisen, 2010), who says that ‘creative neologisms’ can tell us a great deal about
word formation, because they are ‘extremely productive’. Granted, Lehrer may be using
‘productive’ here to mean frequent or prolific, and perhaps Lieber’s reference to ‘words
that draw attention to themselves’ is not very precise descriptive terminology, but we can
nonetheless glimpse a possible divergence. Schröder and Mühleisen also report Zwicky
and Pullum’s (1987: 335) claim that rules of expressive morphology (referring to a ‘play-
ful, poetic or ostentatious effect’) are not subject to the same rules as plain morphology.
These playful words are presumably the ‘imaginative ingenious neologisms’ represented
by individual creativity in Bolozky’s (1999: 4, cited in Schröder & Mühleisen, 2010) terms.
What emerges from these various contrasting viewpoints is that creative words belong to
expressive morphology and have a playful or poetic intention. Given that they are imagina-
tive or ingenious ‘neologisms’, they are not subject to the word-forming rules of ‘plain’ or
productive morphology. A central distinction made by Schröder and Mühleisen between
these two types of word is that productively derived forms are, by definition, transparent,
whereas this does not apply to creative neologisms. As we shall see later in the chapter, this
is not always the case.
In his chapter on novel word crafting, Miller (2014: 83) also distinguishes between word
formation and word creation (by which he means the creation of new roots, which is a
rather reductive view of lexical creativity). But he then states that the creation of novel
words by various means (including compounding, borrowing, and blending) and ‘the use of
everyday language in unusual ways’ are both significant aspects of verbal art (Miller, 2014:
100). Although he is here referring specifically to poetic language, for our purposes the
statement can be extended to lexical creativity in general. Creative word formation does,
in fact, go well beyond the creation of new roots and is not always distinguishable from
productive word formation. There is, as we have seen, almost no agreement among scholars
as to precisely which processes should be considered productive and which creative. Our
position here is that they are to be located at two different points on a cline and can best be
defined by their prototypical features.
Word-forming processes such as shortening or blending are considered by Ronneberger-
Sibold (2008) to be creative techniques, distinct from ‘regular’ word formation that exploits
grammatical rules. She justifies her position by stating that even though clipping and
blending techniques are becoming ever more frequent in morphological change, the nature
of such creations has not yet been thoroughly understood nor convincingly described. She
therefore places them in the domain of speaker performance rather than speaker compe-
tence. They are intentional choices no less than other types of lexical creativity, but she
considers them to be a subtype of extragrammatical morphology (see Dressler, 2000).
The justification for this analysis is that, in many shortenings and blends, the application
of word-formation rules to linguistic input does not enable a predictable output – that is,
the identification of the constituent elements is not always possible. Consequently, these
words display reduced transparency with respect to products of regular word formation
and present difficulties in interpretation. As has been pointed out earlier, even canonical
productive processes such as compounding can present difficulties of analysability and
interpretation.
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Although productively formed words are often placed in opposition to creative lexical
inventions, Bagasheva and Stamenov (2013: 71) object that lexical inventiveness covers
all patterns, and all instances of form and meaning modification, that result in the
appearance of a new lexical item. This view broadens the outlook on the various types
of word-formation patterns, but still leaves us in the dark as to exactly where lexical
creativity is to be sought. As Zawada (2006) states, there is no consensus as to the pre-
cise nature of this creativity.
In the absence of a generally accepted definition, we shall, for the present, take the
position that creative lexical inventions are those new words produced intentionally by
speakers, generally formed analogically on the models of other words in the lexicon. These
may be productively formed, serving an impelling communicative need of the moment
and never intended to fill any real or permanent naming need in the wider community of
speakers. This automatically excludes all slips of the tongue, malapropisms, spoonerisms,
and speaker errors. However, this creative output may also be intentionally deviant with
respect to the rules, thus grammatically opaque (or unanalysable into component elements).
Finally, like regularly formed words, the semantic content of creative lexical items may not
be recoverable without the support of context to aid in decoding.
Creation or re-creation?
According to Pope (2005: xv), linguistic creativity means creation from something; it is an
ongoing process in which the writer or speaker draws from a finite number of existing items
in order to create an infinite number of fresh or imaginative solutions. These previously
existing items, whether phonemes, morphemes, lexemes, or phrasal units, are manipulated,
combined, or recombined, to form new creations. In the process, new conceptual structures
may emerge as unexpected associations are formed between previously distinct concepts
(Lamb, 1998: 205). The term ‘interlexicality’ (Munat, 2010: 147) has been used to indicate
that the connotations and habitual contexts of use associated with a given morpheme or
lexical element incorporated in a new word or expression will become part of the meaning
of that word or expression.
To summarise, the major word-forming processes in English exploited by speakers for the
construction of new words are compounding, derivation, clipping, blending, back formation,
calqueing, borrowing, and conversion. We have seen that there is great divergence among
linguists as to which of these are productive and which creative patterns, because they all
serve to modify and expand our lexicon. In his book English Lexicogenesis, Miller (2014:
100) offers a taxonomy of the various types of rule-governed formation, and then attributes
to analogy a central role in lexical diffusion, stating that this is the means by which ‘all word
creation originates and spreads’. Veale (2007: 194) also affirms that analogy is a powerful
force, especially in the creation of compound terms, concluding that ‘analogy has a central
role in the mechanism of linguistic creativity’ (Veale, 2007: 209). Hickey (2006: 156) seems
to have a more restrictive view of analogy when he states that all analogical formations are
transparent (we will see that this is not the case) and that they are ‘synchronically derived by
a productive process of compounding’, but some of his examples belie this statement. Are
‘buppie’, ‘chapess’, and ‘outro’ really transparent even though they may have been formed
analogically on the basis of ‘yuppie’, ‘chap’ and ‘intro’?
The role of analogy in word formation is a ‘vexed question’, according to Hohenhaus
(2007: 27). It remains to be established whether analogy is a useful umbrella term for
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all types of word creation (as Miller claims) or simply a principal force in compounding
(Veale’s position), or, more restrictively, one type of word creation (as Hickey seems to
maintain), albeit of central importance.
Much of our linguistic output is marked by original, non-canonical, even ungramma
tical or deviant expressions, which may be single lexemes or longer phrasal units, idioms,
metaphors, etc. But all of these are not ‘creative’ in the same way or to the same degree.
The locus of lexical creativity can be identified as residing in the words or lexicalised
expressions that a speaker intentionally invents, often by combining or recombining exist-
ing elements of the language, when seeking to express his or her thoughts in a manner
that will have a striking or lasting effect on the listener. This may occur when no existing
word is found in the speaker’s mental lexicon to satisfy his or her immediate communica-
tive needs, or, quite simply, when the intention is that of humorous wordplay. Creativity
is thus unpredictable, and triggered by a specific communicative need in a given context
and in a particular moment in time. The products of such creativity may be formed by
various word-forming processes, including compounding and derivation, although they
may present anomalies with respect to other productively generated words. Perhaps Moon
(2008: 133) makes a useful terminological distinction when she speaks of ‘systematic
creativity’, which she defines as those ‘cases where individual words, phrases, and affixes
are regularly used in creative ways to produce variations of meaning, including connota-
tion and pragmatic effect’. If this means that creative word formation exploits the same
morphological and lexical resources as other word-forming processes, and then shuffles
them around in a playful fashion to invent new lexical solutions, this is in total accord with
the view expressed in this chapter.
In the following sections, we shall be looking at a variety of examples that are intended
to illustrate some of the many possible creative solutions found by speakers to meet their
particular communicative needs. We must bear in mind, however, that a creative lexical
item and the creative invention of lexis are distinct concepts. In the first case, the focus is
on the word as output, or product, of the creative process, while the process is illuminated
by the speaker’s performance strategies in coining a newly created word or expression.
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These words are thus formed by productive processes even though deviant in some
way and uninterpretable without the aid of definitions or contextual clues. In science fic-
tion texts, the principal function of invented words is that of naming things that are part
of the futuristic text world, thus creating the illusion of their actual existence – a case of
hypostatisation (see Hohenhaus, 2007: 22) – or serving to name new concepts. A great
many of these are compounds (or complex nominals), such as ‘hypno-ligation’, ‘projecto
stylus’, ‘thermal resist boron’, or ‘fuseodollars’, although some clearly bear derivational
affixes, such as ‘liga–tion’ or ‘therm–al’. The word-forming process is regular, but the
outputs are anomalous, because not all of the component elements are identifiable and
many are newly created.
It is often claimed that the only truly creative words are simplexes: monomorphemic
roots that are cases of word manufacture. As single morphemes, they cannot be further
decomposed. Such invented simplexes, at least in theory, carry no previous semantic con-
tent in that they have never appeared as components of other (complex) words, although
some may bear phonological resemblance to existing words.
Examples of novel simplex words in the science fiction data are rare compared to poly-
morphemic words. We find, for example, ‘simps’, ‘biots’, ‘kroclion’, and ‘bitek’, all of
which respect the phonological constraints of English, but two of which carry the plural
inflectional morpheme. It is not immediately clear whether bitek is a newly manufactured
root or whether it can be analysed as bi + tek. And is kroclion a simplex or a derivative
composed of krocl + ion? In other words, they are grammatically unanalysable. It is beyond
the scope of this chapter to examine the context in which these words appear, but this would
give little insight as to their morphological structure. This simply serves to illustrate that the
structure of creatively formed words may respect the grammar just as productively formed
words do, but they are ultimately unanalysable because their constituent elements are not
familiar.
The creative words examined in children’s literature are another matter entirely: there are
numerous simplexes – products of word manufacture – some of which break the phonological
constraints of English, such as ‘thneed’, ‘thwerll’, or ‘zitzkis’, being almost unpronounceable.
These are instances of strong creativity in Zawada’s (2006) terms in that they represent totally
new, albeit ungrammatical, words. The majority of nonce words in the children’s corpus,
however, appear to be phonologically motivated, exploiting rhyme, assonance, consonance,
onomatopoeia, or sound symbolism, presumably with the juvenile audience in mind. These
are quite different from the high-sounding, pseudo-scientific, or neoclassical compounds in
science fiction. We have compounds and derivatives such as ‘zooglobble’, ‘memmily’, ‘wink-
squiffler’, ‘smogulous’, ‘gruvvulous’, ‘gorble snop’, and ‘fizzwiggler’, which are analysable,
but semantically opaque. Again, at least one of the morphemes in each of these complex
words is invented, so the resulting word is uninterpretable. Many of the nonsense words sound
vaguely similar to existing lexemes (‘frumpkin pie’, ‘cannybull’, ‘scrotty’, ‘strawbunkles and
cream’), allowing the young reader to guess their meaning on the basis of sound associations.
This preference in children’s literature for novel words based on phonological play has also
been noted by Elsen (2010: 139). In analysing her corpus of 500 neologisms from children’s
books, she noted that ‘there is a continuum from sound shape to recurring groups of sounds to
morphemes’. She draws the conclusion that the traditionally grammatical view of morphology
is obviously inadequate to capture these phenomena, and that there is no clear-cut borderline
between categories and between linguistic levels.
Even transparent or analysable novel words are rarely destined for repetition in other
communicative contexts because they have been created with a specific audience in mind
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and for a specific context of use. Thus they are unlikely candidates for a permanent place
in the lexicon, bearing little referential validity in the world at large. Such words are vari-
ously referred to as ‘ad hoc’, ‘once-off’ (or ‘one-off’), ‘occasional’, or ‘nonce’ words. In
strictly linguistic terminology, they are termed hapax logomena, defined by Plag (2003: 54)
as words that occur only once in a given corpus. These may be newly coined neologisms
appearing for the first time, or a rarely used word of the lexicon, or even ‘a weird ad-hoc
invention by an imaginative speaker’. Even when productively formed, as we have seen,
they often violate the system, exploiting the rules in original ways. Only rarely does it
happen that words coined for such restricted contexts later reappear as entries in the
lexicon, although this has happened with several coinages in science fiction, such as
‘android’ or ‘psychohistory’. These occasional words, according to Smirnova, Sadykova,
and Davletbaeva (2014), represent a divergence from the language norms. They differ
from normal productively formed words in that they are monosemantic in structure and
are created in intentional violation of the language norms. She also specifies that they are
irreproducible, because they ‘belong’ to their author and to the communicative context for
which they were originally coined.
In looking at these examples of lexical creativity in written texts, we have seen that
the types of novel words differ considerably, depending on the textual genre and the
intended audience. A closer look at different textual varieties such as advertising, news-
paper articles, electronic communication, or scripted dialogue (see Hohenhaus, 2007;
Kuiper, 2007; Lehrer, 2007; Lopez-Rúa, 2007; Renouf, 2007) confirms that each of these
discourse varieties spawns different types of lexical creation, thus allowing a reasoned
guess as to the motivations underlying different typologies of invented words.
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around for no less than a month. All brand names were excluded. In some cases, the story
of how the word came to be is provided; others have only a brief definition, or an utterance
in which the word is typically used. Descriptions of context are therefore limited.
This collection provides some interesting insights into the lexical inventions that unso-
phisticated speakers (that is, not linguists or teachers of English) create in private contexts:
words never intended to go beyond the family walls, or the circle of friends, by whom and
for whom they were originally created. These would be largely incomprehensible to the
outsider without backup information, as a result of the lack of shared context, but these
words provide evidence that: (a) the average native speaker possesses an inherent know
ledge of the language system and the ability to manipulate the rules in order to produce
never-before-heard words and expressions; and (b) the interlocutor is able to interpret the
words simply on the basis of shared contextual knowledge.
Clearly, the functions of these private words – essentially that of bonding among group
members – are markedly different from those of the more literate words invented for written
texts and destined for an unknown audience. The most curious feature of the entire corpus is
the surprisingly large number of words serving to name a remote control, including:
And this, the authors state, is only a small selection of those that were sent in! As we can
see, some of these are formed of a nonsense morpheme of purely phonological effect, but
the majority are productively formed derivatives – for example base + –er affix, serving
to create agentive nouns (that is, formed from verbal bases such as ‘command’, ‘zap’,
‘press’, ‘turn up’, ‘flick’, ‘click’) – thus perfectly law-abiding, even when the base is an
invented word. Others are existing lexemes that have been assigned new meanings, such
as ‘mutilator’ or ‘pilot’, neosemes similar to those appearing in science fiction texts, such
as ‘wheel’ or ‘jalopy’ in Philip K. Dick’s fiction, which do not mean what we might think,
while still others are fully transparent compounds such as ‘telly box’, ‘buttonbox’ (play-
ing on alliteration), ‘channel changer’ (again exploiting alliteration), or ‘channel-panel’
(presumably motivated by rhyme). A great many of these creative spoken words have
obscure morphological origins, but we must also bear in mind that they were probably
never written down until they were sent in for the survey, so the spellings are to be consid-
ered as approximations of the phonological structure. They do, nonetheless, bear witness
to the infinite variety of linguistic invention – and to the centrality of television within
domestic walls: the new family hearth.
The second observation regards the large number of words in the overall corpus that are
phonologically motivated, confirming what was noted earlier in relation to children’s litera-
ture. This might suggest that many of these playful words originate from children’s early
speech – words that were then adopted by family members and passed along to the next
generation – but as Hickey (2006: 162) has noted in his exhaustive taxonomy of productive
word-forming patterns in present-day English, ‘alliteration [as in ‘gas guzzler’, ‘mattress
money’, ‘road rage’] and rhyme [as in ‘pooper-scooper’, ‘dream team’, ‘pub grub’] are
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common . . . and indeed extend to nonce formations’. As with all nonce creations, Hickey
(2006: 162) reminds us, ‘the essential requirement is that they be readily interpretable to
hearers’. Naturally, the ‘hearers’ in this case are members of a restricted circle sharing the
same context. What we see here, once again, is that productive processes and creatively
formed words are bedfellows. These creations are largely based on canonical patterns, all of
them intentional coinages that rely on contextual clues for disambiguation.
In so far as kitchen table lingo, the most significant observation is that made by David
Crystal in closing the volume, ‘The words in this book may be new, but the processes of
word formation that they use are not’ (Lucas, Fennell, & Brooks, 2008: 208) – that is,
creative and productively formed words have a close family resemblance: that of siblings,
if not of identical twins.
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kneeling; and the humorous intention behind ‘muffin top’, a creative figurative compound
to indicate the roll of flesh bursting out at the waist of low-slung jeans. We might also
add the recently heard ‘Pulp Fashion’ as a humorous pun playing on the film title Pulp
Fiction and calling to mind numerous associations. But the decoding of such creatively
formed complex nominals of this sort often requires the aid of contextual backup, as we
will see shortly.
Although I agree with Langlotz (2006: 195) that wordplay is a vague term with no clear-cut
definition, it is nonetheless descriptive of a great many lexical creations coined by speakers in
a variety of communicative situations.
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longer carry the same metaphorical sense, because it would not allow the hearer to access
the original expression.
In Kuiper’s (2007) corpus of Cathy Wilcox cartoons, there are many examples of crea-
tive phonological deformation (‘A ruminant with a view’) or creative phoneme inversion
(as in ‘the ship is slowing’). In other examples cited by Miller (2014), such as ‘hate of
arts’ (for ‘eight of hearts’), or The Shaming of the True for The Taming of the Shrew, the
phonological inversion results in new rhyming expressions, with totally different semantic
content, but the accessibility of the original expression stored in the mental lexicon allows
the listener enjoyment as he or she recognises the clever phonological play involved in the
pun. These examples take us well beyond the creation of a single lexeme, but the variations
of fixed expressions are unquestionably cases of phono/morphological creativity. Once
again, it must be emphasised that creative deformations of this type can be appreciated
only by a listener who is familiar with the base expression.
Speakers continually invent new figurative expressions, which draw on all semantic areas.
Hickey (2006: 165) comments on the present-day figurative use of sports terminology, which
he says seems to have substituted former military metaphors. Such well-worn expressions
as ‘global player’, ‘a level playing field’, or ‘move the goalposts’ are but a few examples of
current sports metaphors in English, but speakers are constantly inventing others based on the
conceptual metaphors by which we live (see Lakoff & Johnson, 1980). (For a full discussion
of creativity in metaphor and metonomy, see Hidalgo-Downing, Chapter 6.)
We have already encountered examples of semantic shift in our survey of invented
words: so-called neosemes, which actually involve no invention at all, but the attribu-
tion of new semantic content to old words. Neosemes occur with a certain frequency in
science fiction. Likewise, in the kitchen table lingo, we encountered old words with new
meanings, such as ‘mutilator’ and ‘pilot’. Familiar words with new meanings can create
a certain disorientation or estrangement on the part of the reader, at least until sufficient
contextual clues are provided to allow decoding. Clearly, when a neoseme is employed in
direct personal interactions, comprehension is facilitated by gestures and shared context.
Semantic shift of this nature regularly occurs in our lexicon as ‘old’ words are given
new life when they are recycled to fulfil new naming needs. Such is the case of ‘cookies’:
originally meaning sweet biscuits, but now well known in computerspeak as files that may
be added to your computer when you visit a website. And what of ‘hardware’, ‘mouse’, and
‘Windows’, all metaphorical extensions of everyday words that have been recycled in the
domain of computer technology? Another example encountered in the kitchen table lingo
corpus is ‘kebab’, a foreign loan word widely known as a type of skewered meat, which in a
private world has come to signify the speed of an Internet connection. These few examples
of semantic creativity in the reutilisation of familiar words are evidence of the vitality of
our English lexicon.
Concluding reflections
Ultimately, lexical creativity resides in a speaker’s ability (that is, linguistic competence) to
exploit the system in novel ways by combining and recombining, substituting and modify-
ing phonological, morphological, lexical and phrasal elements of the language, in the effort
to create a novel word or expression to amuse or to communicate thoughts in an original
and effective manner (a factor of speaker performance). This often involves the stretch-
ing or deformation of grammatical rules and will be an intentional strategy resulting in an
unpredictable output. Some of these ‘creations’ may remain in currency for a period of time,
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lending greater expressive force to our language. Others will vanish immediately after their
first appearance, lost to our lexical patrimony (unless some enterprising linguist happens
along to preserve them).
Carter’s (2011: 337) insistence that ‘creativity is not . . . the exclusive preserve of the
individual genius or the pathological outsider’, but can be found in ‘ordinary, demotic, com-
mon language’ is as true for lexical invention as it is for all types of linguistic creativity. To
reiterate what was stated at the beginning of this chapter, creativity is a matter of degree,
not of kind. The literary genius employs the same strategies that we can witness in every-
day speech and writing. Creativity is a faculty possessed by each and every human being.
Nor is it a question of high and low creativity – in Cook’s (2011) words, ‘ordinary’ and
‘extraordinary’ creativity. As Carter (2004) affirms, on the basis of his research on the
Cambridge and Nottingham Corpus of Discourse in English (CANCODE), creativity is
pervasive in all human verbal interaction; the literary genius simply has greater ingenuity
in manifesting this creativity. Maybin and Swann (2006: 1, cited in Moon, 2008: 132) also
assert that language creativity includes both textual artistry and the construction of identity
in managing relationships.
Ricoeur (2000: 340–4) also affirms that human language is inventive despite the objec-
tive limits and codes that govern it. He speaks of the mediating role of imagination, which
constantly strains and stretches the laws and codes of language. Human ingenuity works
within these codes, either subverting them or applying them in original ways. Beyond all of
our reflections on language creativity and our many examples of creative lexical inventions,
there remains a vast ocean of theoretically possible ad hoc words as yet unexploited, and
speakers will never exhaust this wealth of possibilities.
At the outset, it was my intention to draw the limits of speaker creativity. After having
attempted to identify the prototypical characteristics of creativity, the word-forming pro-
cesses that animate it, the contexts in which it is most likely to surface, and the functions
that it serves, it has not been possible to trace a distinct line between creatively formed
words and productive processes. As we have seen, the same rules may inform productively
formed and creative words. Nor is the entry of a word in the official lexicon any indicator of
its origins (as creative or productively formed), because rule-breaking renegades may gain
officialdom even though they are not formed on the basis of ‘regular’ processes. Whether
they stick around or are destined for an early demise will depend solely on their utility as
a naming unit for some part of the wider language community and, possibly, also on their
ludic or expressive quality, but not on their rule-abiding behaviour. Many of these will
have violated the semantics or the grammar (or both) as the output of maverick wordplay.
Whether they remain on our tongues for decades or are fly-by-night visitors cannot be the
measure of their creativity.
Langlotz (2006: 6) defines creativity as ‘ingenious, artful or playful activities that are
unconventional in the very broad sense of not being subject to everyday routine’. This type
of creativity, he states, is ‘linked with intelligent human behaviour . . . and involves the
ability to develop or invent new and original ideas or products [that is, words] that have
not been encountered before’. Although Langlotz is concerned specifically with idioms,
typically thought to be fixed or frozen, his words apply equally to other types of lexical
invention. In this view, variability and creativity are inextricably bound, and the elastic
bounds of the system are the true wealth of the English lexicon.
Drawing our conclusions on the basis of the novel words and word-forming processes
that we have examined seems far more fruitful than engaging in interminable theoretical
discussions as to the precise nature of lexical creativity, and it allows us to outline the
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range and breadth of the word-forming processes involved. In synthesis, lexical creativity
is inspired by the communicative context; it is the product of speaker competence and the
result of performance strategies; it is triggered by a desire to amuse or draw attention to
the message. Even though it represents the intentions of an individual speaker, this crea-
tive ability, inherent in all competent speakers, is what permits the continual enrichment
of our lexicon.
Related topics
humour and language play; language, creativity, and cognition; metaphor and metonymy;
stylistics
Further reading
Miller, D. G. (2014) English Lexicogenesis, Oxford: Oxford University Press.
An in-depth historical overview of English word formation types, combining theoretical perspectives
with concrete examples.
Munat, J. (ed.) (2007) Lexical Creativity, Texts and Contexts, Amsterdam: John Benjamins.
Provides a wide panorama of various types of lexical creativity, examined in specific contexts and
discourse varieties, with abundant empirical data.
References
Adams, V. (2001) Complex Words in English, Harlow: Pearson.
Bagasheva, A., and Stamenov, C. (2013) ‘The ludic aspect of lexical inventiveness’, Quaderns de
Filologia: Estudis lingüístics, 18: 71–82.
Bauer, L. (1983) English Word-formation, Cambridge: Cambridge University Press.
Bauer, L. (2001) Morphological Productivity, Cambridge, Cambridge University Press.
Benczes, R. (2010) ‘Setting limits on creativity in the production and use of metaphorical and meto-
nymical compounds’, in A. Onysko and S. Michel (eds) Cognitive Perspectives on Word Formation,
Berlin: Mouton De Gruyter, pp. 219–41.
Carter, R. (2004) Language and Creativity: The Art of Common Talk, London/New York: Routledge.
Carter, R. (2011) ‘Epilogue: Creativity: postscripts and prospects’ in J. Swan, R. Pope, and R. Carter
(eds) Creativity in Language and Literature: The State of the Art, Basingstoke: Palgrave Macmillan,
pp. 334–49.
Chovanec, J. (2011) ‘Weapons of Ms Destruction: The subversive role of linguistic creativity’, in
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Bratislava: Univerzita Komenského, pp. 82–93.
Cook, G. (2011) ‘In defence of genius’, in J. Swan, R. Pope, and R. Carter (eds) Creativity in Language
and Literature: The State of the Art, Basingstoke: Palgrave Macmillan, pp. 290–303.
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6
Metaphor and metonymy
Laura Hidalgo-Downing
Key concepts
Let us start by defining briefly the key concepts approached in the present chapter: creativity;
metaphor; and metonymy.
Creativity
Creativity is a slippery concept, which has undergone various revisions and reformulations
over the history of human thought. Within the field of linguistics, there has been a shift
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from the Romantic prototype of creativity as being associated with the innate talent of an
individual, such as the gifted artist or scientist, towards a view of creativity as a quality
innate to all human beings, which can be manifested in all types of discourse (for example
Carter, 2004; Gibbs, 1999; Jones, 2010, 2012; Lakoff & Johnson, 1980; Maybin & Swann,
2006; Swann, Pope, & Carter, 2001). Thus creativity is currently considered as much a
feature of everyday language use and social practices as a feature of significant works of
art, scientific discoveries, or world-changing theories. This distinction has been referred
to as ‘“small c” creativity’ (everyday creativity) and ‘“big C” Creativity’ (world-changing
creativity) (Cameron, 2011; Jones, 2012). For the purposes of the present discussion, I find
the following definition of creativity particularly enlightening:
the ability to produce work that is both novel (i.e. original, unexpected) and appropriate
(i.e. adaptive concerning task constraint).
(Sternberg, 1999: 1)
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Thus the term ‘synergy’ is used in various disciplines, such as medicine, to refer to the
combined and often unpredictable effect that may arise when mixing or combining two sub
stances, entities, concepts, etc., such as the simultaneous intake of medicines and alcohol.
According to Apter (1989: 141), cognitive synergies involving two domains, concepts, etc.,
‘work together to produce an effect they could not produce separately’. This view can be
applied to phenomena such as metaphor, metonymy, humour, irony, and opposition, as
suggested above, in the sense that the relationship between the two domains or frames of
reference need not be a stable one with one single solution.
So far, an outline of creativity has been provided as the production of something that
is novel and contextually adaptive – which undergoes constant re-contextualisation – and
which involves the perception of two or more incongruous domains in an unstable relation
ship that requires a higher-level resolution and receives ‘social value’. More specifically, it
has been pointed out that, in current scholarly research, a distinction is made between ‘eve
ryday creativity’ and ‘world-changing’, or artistic, scientific, etc., creativity. Having said
this, I now turn to the definitions of metaphor and metonymy, and how these phenomena
relate to the creative process outlined so far.
METAPHOR
Semino (2008: 1, 2011: 1) defines metaphor as ‘the phenomenon whereby we talk and,
potentially, think, about something in terms of another’. We can observe this process in
example (1), which is a notice hanging on the door of the office of a colleague and friend
from the University of Hawaii at Manoa:
In the first place, this example illustrates what has been defined as ‘everyday creativity’:
the use of metaphorical expressions that make use of already existing or familiar scenarios
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(which are adaptive and appropriate for the context – in this case, the familiar concept
of illness) and at the same time give rise to a new way of seeing, thinking, or talking
about a particular phenomenon (monolingualism). In terms of conceptual metaphor theory
(CMT), an underlying conceptual metaphor can be identified in example (1), which is
activated by the word ‘cured’: monolingualism is an illness. Thus, in terms of CMT, the
properties of a source domain, illness, are mapped onto a target domain, monolingualism
(see Figure 6.1).
As pointed out by metaphor scholars (including Cameron, 2011; Cameron & Low,
1999; Forceville & Urios-Aparisi, 2009; Gibbs, 1994, 2008; Koller, 2004; Kövecses,
2002, 2005; Johnson, 1987; Lakoff, 1993; Lakoff & Johnson, 1980; Lakoff & Turner,
1989; Lakoff, Espensen, & Schwartz, 1991; Musolff & Zinken, 2009; Ruiz de Mendoza
Ibáñez & Pérez Hernández, 2011; Semino, 2008; Turner, 2014), the mapping of properties
from source to target domain is carried out as a whole structure, but is partial, so that only
certain features of the source are mapped onto the target. This is known as the process of
‘highlighting and hiding’ specific features in metaphorical and metonymic processes, in
such a way that a particular perspective is provided on the target domain. This process of
highlighting and hiding may have ideological motivations and implications, as we will see
below. In example (1), the fact of being monolingual is represented as an illness and not
as a skill or another positive property, and it thus implies that there is something negative
about monolingualism. The attributes of the concept illness that are mapped onto the target
involve assumptions – typically evaluative – such as:
ILLNESS MONOLINGUALISM
SOURCE DOMAIN TARGET DOMAIN
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Metaphor and metonymy
the fact that linguistic and cultural hybridity such as that of the Latin countries is something
to be valued, contrary to what has been historically the case.
METONYMY
While, in CMT, metaphor involves the mapping of features across two different domains,
metonymy is described as a process in which the mapping occurs within the same domain
(for example Barcelona, 2002; Benczes, Barcelona, & Ruiz de Mendoza Ibáñez, 2011; Ruiz
de Mendoza Ibáñez & Díez Velasco, 2002; Steen, 2005). According to Ruiz de Mendoza
Ibáñez and Díez Velasco (2002: 493), while, in metaphor, a schematic structure belonging
to a source domain is mapped onto a different schematic structure, the target, ‘metonymy
is used primarily for reference: we refer to an entity by means of another entity’. The high
lighting function pointed out with regard to metaphor is even more prominent in metonymy,
as argued by Barcelona (2002: 226, emphasis original): ‘The metonymic source projects
its conceptual structure onto that of the target, not by means of a systematic matching of
counterparts, but by conceptually foregrounding the source and backgrounding the target.’
Thus, in the metaphor identified in monolingualism can be cured, a correspondence or
structural matching between counterparts can be identified:
•• monolingualism is an illness;
•• monolingual people are ill people;
•• the cure to an illness is a medicine;
•• the cure to monolingualism is bilingualism or multilingualism;
•• illness is restrictive of bodily and mental functions; and
•• monolingualism is restrictive of bodily and mental functions, etc.
The main difference between metaphor and metonymy, according to numerous scho
lars, concerns ‘the domain-internal or domain-external nature of the mapping’ (Ruiz de
Mendoza Ibáñez & Díez Velasco, 2002: 496). Ruiz de Mendoza Ibáñez and Díez Velasco
(2002) distinguish between two main types of metonymy: one in which a main, or matrix,
domain stands for one of its subdomains (‘I don’t like Shakespeare’, meaning, for example
‘I don’t like Hamlet’); the other, one in which one of the subdomains stands for the main or
matrix domain (‘the head of the department’, where ‘head’ stands for the whole person or
even the department itself). The authors name the first type of metonymy ‘target-in-source
metonymy’ and the latter, ‘source-in-target metonymy’ (Ruiz de Mendoza Ibáñez & Díez
Velasco, 2002: 496). It is also interesting to point out that metonymies often appear in
connected chains in discourse and motivate metaphors, especially ontological metaphors.
The difference between the two types of metonymy is represented in Figures 6.2 and 6.3,
which Ruiz de Mendoza Ibáñez and Díez Velasco describe as processes of reduction and
expansion, respectively.
Example (2) illustrates the interaction of metaphor and metonymy in actual discourse
use. The example is taken from graffiti in the female bathrooms of the Universidad Com
plutense, Madrid, Spain:
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Department
Whole person
Head of
department
Shakespeare
Hamlet
We can first identify the metonymic relation between ‘flowers’ and ‘spring’ of the type that
we have defined as target-in-source, or expanding, metonymy, in which flowers stand for
spring (entities stand for a related event). Furthermore, the metonymy enables conceptual
metaphors such as spring is world revolution (triggered by the linguistic expressions ‘[T]
hey will never stop spring/Wo[r]ld revolution!’), flowers are protesters, and cutting is
silencing or killing, followed as a consequence by the metaphor cutting flowers is killing
or silencing protesters, triggered by the linguistic expressions ‘They can cut/all the flowers’.
As mentioned above, both the metonymy and the metaphors are contextually motivated by
the current sociohistorical situation of economic crisis and social protest. Thus the word
‘spring’ resonates with its previous uses in the media and in everyday language to refer to
the Arab Spring as a social movement of protest, or the 15-M Spanish movement of protest,
which had the sun (again metaphorically and metonymically associated with spring) as its
symbol and which protesters gather in the ‘Puerta del Sol’ (Sun Gate) in Madrid, or numerous
slogans making reference to social protest as spring. The resonance of spring as revolution
goes even further back in history to the ‘Carnation Revolution’ in Portugal in April 1975 and
the ‘Prague Spring’ of 1968, thus showing that the metaphoric and metonymic associations
between the source domain spring and the target domains social protest and revolution in
metaphor, and other domains such as flowers in metonymy, are recurrent in recent history
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and have been recontextualised and reused in various ways in order to produce new mean
ings by adapting already existing metaphors in order to conceptualise and understand new
situations. A well-known example is graffiti artist Banksy’s image of a protester throwing a
bunch of flowers instead of a weapon, as illustrated in Figure 6.4.
As in the previous examples on the metaphoric and metonymic relation between flowers,
spring and revolution, Banksy’s graffiti recontexualises this concept, adapting it to social street
protest, resonating with the images of numerous real photos of protesters throwing stones or
weapons at the police or other authorities. The image activates a reversal of the concept of
social protest, from violence to peace. This example is also interesting because it illustrates
the activation of an implicit shared narrative activated by a metaphorical frame. Metaphorical
frames may be verbal or visual; in this case, even if the example is a visual image, it is signifi
cant that the verbal narrative is activated in the viewer’s mind, providing a coherent solution to
the apparently incongruous image. This example provides a revision of the concept of linguistic
creativity as crossing the strict boundaries of the written or pronounced word.
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are also the tools for the creation of new ideas, language, and ideologies. Thus cognitive
linguists (including, among others, Gibbs, 1994, 2008; Kövecses, 2002, 2005, 2010; Lakoff,
1993; Lakoff & Johnson, 1980; Lakoff, Espensen, & Schwartz, 1991) have pointed towards
the pervasiveness of metaphorical thought as a feature of human experience. As argued by
Gibbs (1994: 1): ‘Metaphor, metonymy, irony and other tropes are not linguistic distortions
of literal mental thought but constitute basic schemes by which people conceptualize their
experience and the external world.’ This is illustrated in example (3), which is from an email
written by a friend from whom I had not heard for a long time:
Hola del pasado lejano. (Hi from the distant/far away past) (3)
This example illustrates the typical conventional conceptual metaphor time is space, by
means of which we understand a complex abstract concept such as time in terms of a more
basic concrete concept such as space. Thus time is understood as something that is perceived
as far away or close to the speakers. Once my friend and I met, and had caught up on what
had happened over the past twenty years, my friend’s emails’ subject heading changed to:
Hola del presente continuo. (Hi from the continuous present) (4)
The second metaphor in example (4) is a playful extension and recontextualisation of the
meaning of time used in previous emails by changing ‘past’ for ‘present’ and ‘distant/
far away’ for ‘continuous’. Additionally, ‘continuous’ not only makes reference to the
fact that the concept of time is now ongoing and dynamic, but also makes a subtle refer
ence to my own profession as a teacher of English and to a feature of the English tense
system. This example shows that metaphor is a dynamic process that changes motivated
by contextual cues.
Turning to example (2), the graffiti in the female toilets, the initial inscription was typically
further expanded by the writings of other students who visited the bathrooms. The following
are some of the notes added to the initial graffiti.
An ‘r’ is added to the word Wold, together with the expression idota! (idiot!) (5)
Examples (5) and (6) illustrate the collaborative nature of discourse in general, metaphori
cal creativity in particular, and the nature of graffiti as an interactive genre (see Carrington
& Dowdall, Chapter 26). Thus, while the original graffiti enhances the power of spring as a
source of social change and revolution, the writer in example (6) downplays the importance
given to this phenomenon by praising winter. The result is an ambiguous and unstable relation
between the concepts spring and winter, since it remains unclear whether the second writer
is being ironic about the initial enhancement of spring as revolution, is just not interested in
the social protest movement, or simply literally likes winter. In any case, the use of the term
‘winter’ is an example of everyday creativity in the sense that the writer uses a previous
conceptual metaphor, spring, in order to deconstruct it by means of reversal and opposition.
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This example plays with the already existing metaphor plan b is alternative action and
recontextualises it in the light of ecological considerations, thus activating two metaphors –
plan b is no alternative action and planet b is not a solution for ecological problems – thus
suggesting that it is becoming too late to control the social crisis (‘plan B’) and additionally
that there is no other place to which humanity can turn if we destroy our natural resources
(‘planet B’).
These observations lead to a last important point to be mentioned in this section – namely,
the performative nature of metaphor and metonymy as instigators of social action and
change, as the above examples have shown. As argued by Jones (2012: 7), making reference
to Fairclough, creativity involves:
The examples discussed so far illustrate what are known as ‘conventional’ (time is space),
and ‘recontextualised’ (spring is revolution) metaphors. A few words need to be said about
novel metaphors and how they become conventionalised.
A good example is the spring metaphor for social protest and revolution. This metaphor
was created some time in the past, when it was novel, and has now become conventionalised
and extended worldwide to refer to a specific historical form of social movement.
A similar kind of phenomenon is found in the metaphors that are used to name scientific
discoveries and technological inventions (for example Nerlich, Elliott, & Larson, 2009).
Thus a current example of metaphor in biogenetics is illustrated in example (8):
Apoptosis or programmed cell death is the process by which cells commit suicide for
the benefit of the organism as a whole (personal communication). (8)
This definition involves three different metaphors to describe the same phenomenon:
apoptosis, programmed cell death, and suicide. The first term, apoptosis, is an opaque
metaphor, used by professionals in the field of study and deriving from the Greek, mean
ing ‘the dropping of leaves in Autumn, or of petals from a flower’. In this metaphor, the
cell is talked about in terms of a plant; it thus gives rise to the conceptual metaphor a cell
is a plant.
The second linguistic expression, programmed cell death, is also a technical term used
by experts and foregrounds a different metaphor, the body is a machine, by which certain
processes such as that described above are part of a complex mechanism.
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Finally, the term suicide is a non-expert term used to make accessible the novel complex
scientific concept to a broader audience by means of the personification a cell is a person
who commits suicide.
This distinction between expert metaphors and metaphors addressed to a more gen
eral audience has been designated, respectively, ‘theory-constitutive’ and ‘pedagogical’
metaphors (Boyd, 1993 [1979]). The coexistence of different metaphors to describe the
same phenomenon has been pointed out by numerous scholars (such as Low, 2005),
and provides the means for speakers to understand a phenomenon from complementary
perspectives and different domains of experience. Finally, although the three scientific
metaphors were novel when they first appeared in 1977, they have now become conven
tionalised, as have numerous scientific metaphorical expressions such as ‘black hole’,
‘cosmic soup’, ‘big bang’, etc.
Historical perspectives
Metaphor and metonymy have been at the centre of the Western tradition of the study of
poetics, literariness, and rhetoric since the times of Aristotle (see Cockroft et al., 2014).
Aristole’s view of metaphor as an implicit comparison has had a great influence in the
definition and understanding of metaphor well into the twentieth century. Furthermore,
metaphor and metonymy have, for centuries, been approached as poetic resources used by
writers and rhetoricians to embellish speech. Understood in this sense, both metaphor and
metonymy have been conceived of as exceptional, or even ‘deviant’, uses of language and
prototypical instances of the individual creative mind (see Ortony, 1993 [1979]: 3). This
view has, in a way, persisted in initial approaches to the study of linguistics throughout the
twentieth century, during which phenomena such as metaphor, contradiction, or irony have
been interpreted as anomalies of semantic meaning and exceptions in the management of
pragmatic meaning – namely, the ‘flouting’ of maxims (Grice, 1977 [1975]) or the utterance
of indirect speech acts (Searle, 1977 [1975]) – thus implying that insincerity or failure to tell
the truth is involved in these phenomena.
Thus, example (1), monolingualism can be cured, would be analysed as follows from the
perspective of traditional semantic and pragmatic approaches:
•• In terms of Grice’s (1977 [1975]) notion of the cooperative principle and its articula
tion in four maxims (quantity, ‘tell as much information as is sufficient for the present
exchange’; quality, ‘tell the truth’; relevance, ‘be relevant’; manner, ‘avoid obscurity
and ambiguity’), example (1) flouts (that is, does not fulfil all of, but creates addi
tional pragmatic meaning to) the maxim of quality – that is, is not strictly speaking
true. However, the speaker compensates for the fact of not respecting the maxim of
truth by creating an additional pragmatic ‘implicature’, which can be spelled out as:
‘Monolingualism is not strictly speaking an illness but in a way can be understood as
some kind of impairment.’
•• In terms of Searle’s (1977 [1975]) distinction between direct and indirect speech acts,
example (1) would be an example of an indirect speech act, in the sense that the literal
meaning cannot be taken as true and is consequently infelicitous from the point of view
of the sincerity conditions required for a successful speech act. It can, however, also be
interpreted as an utterance or speech act ‘that stands for another’. In other words, as in
Grice’s theory, the utterance monolingualism can be cured stands for another, such as
the proposition outlined above (Grice’s implicature).
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These attempts to account for the properties of metaphor and metonymy as flouting of some
pragmatic principle have been further studied from the perspective of relevance theory (for
example Pilkington, 2000; Sperber & Wilson, 1995 [1986]). From the perspective of this
theory, speakers search for an ‘optimal’ relevant interpretation by means of a complex cog
nitive procedure of interpretation of implicatures and explicatures. In the case of metaphor,
the cognitive process would lead the speaker/reader to interpret the utterance as metaphoric
because it would be the ‘optimal’ solution.
At the moment in which these theories were developed, they certainly offered a way of
analysing metaphor and metonymy as instances of language use that may not necessarily be
limited to poetic language or literary language. However, it is still assumed that only one
interpretation is possible (either metaphoric or not; either the maxims are being followed or
not; the speech act is either direct or indirect; there is only one optimal relevant interpreta
tion of an utterance). This approach fails to account for the interpretations that have been
outlined above – that is, metaphoric and metonymic uses as potentially unstable creative
acts that may, or indeed usually, lend themselves to accept more than one interpretation.
This view certainly poses problems to centuries of linguistic theory based on Cartesian and
Aristotelian assumptions about the ‘logical’ nature of language, and of its semantics and
structure.
Present-day approaches to metaphor and metonymy derive from the work of scholars
such as Richards (1936), who introduced the terms ‘tenor’, ‘vehicle’, and ‘ground’ to refer
to the elements involved in the metaphorical construct, but also pointed to the ‘tension’ pre
sent in metaphor (Ortony, 1993 [1979]: 7; also see Charteris-Black, 2004). A second crucial
influence has been the work of Black (1993 [1979]), who stressed the important fact that
metaphor creates similarities that give rise to ‘new’ ways of perceiving the world. This view
is also developed by other scholars such as Reddy (1993 [1979]) and Goatly (2007), among
others. Further influence has derived from Glucksberg and Keysar’s (1993 [1979]: 401) view
of metaphors as assertions of categorisation.
The work of these scholars leads to the questioning of the ‘uniqueness’ view of metaphor
as a creative linguistic resource and as a semantic-pragmatic anomaly, and is fully devel
oped as CMT. Conceptual metaphor theory, influenced by the writings of scholars such
as Reddy (1993 [1979]) and Black (1993 [1979]), proposes an approach to metaphor and
metonymy as pervasive in human thought and as phenomena that are found in everyday
language, not only in literature. As pointed out at the outset of this chapter, metaphor and
metonymy are understood as processes of conceptual mappings between a source (what
Reddy calls the ‘vehicle’) and a target (what Reddy calls ‘tenor’) domain. While metaphor
involves cross-domain mapping (spring is revolution), metonymy involves within-domain
mapping (flowers stand for spring). Lakoff and Johnson (1980), Lakoff and Turner (1989),
and Kövecses (2002), among others, distinguish between ontological metaphors, structural
metaphors, and orientational metaphors.
Orientational metaphors are perhaps the most basic types of metaphor, since they are
based on what Lakoff and Johnson (1980) call ‘image schemas’: the more basic cognitive
structures that we use to interpret our basic spatial and embodied experience (up–down,
in–out, centre–periphery, path, movement, etc.). Orientational metaphors such as up–down
are typical of discourse such as economics:
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These image schemas and orientational metaphors in turn activate more complex ontologi
cal and structural metaphors. Thus an ontological metaphor involves the personification or
objectification of an entity, so in example (9) we find the ontological metaphor price is an
object – that is, a more abstract concept such as price (the target) is understood in terms of
a physical concrete entity (an object that can move up and down).
A further prototypical example of this kind is the life is a journey metaphor, which is
based on the path image schema:
In example (8) of the scientific metaphors of apoptosis offered earlier in this chapter, we
saw complementary examples of ontological metaphors to describe this phenomenon:
•• programmed cell death based on the body is a machine ontological metaphor in which
an animated entity (the body) is understood as an object (machine); and
•• cell suicide, based on the ontological metaphor the cell is a person who commits suicide,
which personifies an entity invisible to the naked eye.
Structural metaphors create complex networks of meaning that allow speakers to understand
complex experiential domains. For example, the concepts of emotions can be explained in
terms of metaphors that refer to the physical embodied and sensorimotor sensations associ
ated to those feelings, as in:
In love is a journey, for example, the target domain love is interpreted in terms of journey:
lovers are travellers; a love relationship is a journey; obstacles in a journey are problems in
a relationship; the end of a journey is the end of a relationship, etc.
Similarly, abstract concepts such as time can be interpreted by means of various metaphors
that draw from more basic domains of experiences or source domains:
Each source highlights a different perspective on the target, allowing different complementary
understandings of the complex time concept.
Conceptual metaphor theory draws a distinction between novel and conventional meta
phors, and in its initial stages pays particular attention to conventional metaphors such
as those illustrated above. These metaphors enable us to make sense of, and interpret, an
utterance coherently and, as argued by Kövecses (2005), are ‘culturally congruent’, in
the sense that our sociocultural background enables us to interpret the relation between
source and target domains as congruous or meaningful in spite of their being apparently
incongruous. Many of those metaphors that are deeply entrenched in various cultures are
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also known as ‘primary metaphors’ (Grady, 2005), such as purposes are destinations, and
underlie more complex structural metaphors (life is a journey). Novel metaphors, on the
other hand, are concepts that are used to name new phenomena in our experience, such
as scientific discoveries, everyday or artistic inventiveness, and innovation. In the last
years, particular attention has been paid to the fact that novel metaphors do not arise ‘from
scratch’, but rather make use of old or familiar experiential domains or scenarios in order
to provide a ‘twist’ that gives rise to the new meaning in a new context. Kövecses (2010)
argues that this process of metaphorical creativity may be related to an expansion or elabo
ration of the source or the target domains. A further distinction is drawn between universal
and contextual metaphors. Thus Kövecses (2010) argues that while universal metaphors
are based on embodiment, contextually triggered metaphors vary depending on various
factors such as the topic of discourse, the situation, or the sociocultural context.
With regard to metonymy, although this process has received more detailed attention
from scholars only in recent years, it is worth pointing out that the same view of conceptual
metaphor is applied to this phenomenon – that is, as pervasive in language and part of our
everyday language, as well as of more innovative uses. What is more interesting in recent
research is the attempt to study the mechanisms by which metonymies and metaphors occur
in clusters, and by mixing and combining different sources, thus giving rise to complex
processes in which metonymic chains activate ontological and structural metaphors.
A further contribution of cognitive scholars that has been very influential in the under
standing of metaphorical creativity is ‘blending theory’, or ‘conceptual integration theory’
(CIT) (see Fauconnier & Turner, 2002; Turner, 2014). According to these scholars, meta
phorical creativity can be better understood by means of a four-domain model, comprising
a general space, an input space, an output space, and the blend. What is crucial in this view
of metaphorical creativity is that the content of the blend – the innovative metaphor – is
not a direct result of the mapping of properties from an input to an output space, but rather
consists of emergent content.
This idea of emergent content is taken up in recent discourse approaches to metaphor,
which emphasise the recontextualising and collaborative nature of ‘innovative meta
phors’. This trend in metaphor and metonymy studies, although obviously derived from
CMT, pays greater attention to the influence of the actual contexts in which metaphors
are used and has received the name of ‘the discourse turn’ in metaphor studies (see,
among others, Cameron & Deignan, 2006; Cameron & Gibbs, 2008; Cameron & Low,
1999; Carter, 2004; Forceville & Urios-Aparisi, 2009; Gibbs, 2008; Hidalgo-Downing &
Kraljevic Mujic, 2013, Jones, 2012; Maybin & Swann, 2006; Pennycook, 2007; Semino,
2008; Semino, Deignan, & Littlemore, 2013). At present, the situation shows a pano
rama in which CMT, CIT, and discourse-based studies are being applied to a variety of
discourses, and to language as social and cultural practices, thus providing a complex
perspective on the way in which metaphor and metonymy, as linguistic and conceptual
phenomena, are understood in sociocultural contexts. The combination of these scholarly
trends has given interesting results, for example in critical discourse analysis (see, for
example, Charteris-Black, 2005; Koller, 2004), in which both CMT/CIT and discourse
analysis complement each other.
Indeed, Jones (2012) proposes the question of whether we may be facing a new change
of paradigm – namely, the view of metaphorical and metonymic creativity as performative
and collaborative endeavours, rather than as products produced by ‘gifted individuals’. That
is a view of metaphoric and metonymic creativity as a collective, ongoing phenomenon that
is constantly updated and revised, as outlined earlier in this chapter.
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Illustration
I now turn to the analysis of an advertisement, applying the view of metaphorical and
metonymic creativity outlined in this chapter.
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follows disambiguates the metonymy by means of a denial of the image: ‘Don’t laugh. Com
edy’s a serious matter for us.’ This implies that the preceding pictorial metonymy is meant
to be addressed to the receiver. What is relevant is that, once more, negation, opposition, and
reversal are used to manipulate metonymic meanings and introduce the following discourse,
which contains several further metonymies and metaphors.
British writers and comedians are described as ‘exercising their funny bones’, an
expression that activates the metonymy or synecdoche funny bones stand for come-
dian (part-for-whole) and the metaphor a comedian is a person doing exercise. A further
metonymy is found in ‘late-night laughs’, which can be spelled out as the laugh stands
for the person laughing (product-for-producer), and a metaphor and a further metonymy
in ‘comedians . . . .are bringing joy to over ten million Sky homes up and down the coun
try’. Thus the emotion of joy is represented as an object that can be taken to places – to
homes: joy is an object and ‘Sky homes’ activates the metonymy the home stands for
the persons who inhabit it. Finally, the country is represented in terms of the up–down
image schema and the orientational conventional metaphor north is up and south is down.
The advertisement can be said to make a creative use of metaphor and metonymy,
because even if the metaphors and metonymies are not particularly innovative, but rather
conventional, they produce the intended humorous effect that the advertising company
wishes to create, triggered by words related to humour such as ‘funny’, ‘laughs’, and ‘comedy’
in addition to the visual image of the laughing mouth.
It is based on the idea that metaphor in language exhibits indirect meaning, producing
local semantic incongruity, which needs to be connected to the encompassing frame
of a text, paragraph, sentence, clause or even phrase by some form of (non-literal)
comparison.
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With regard to the second approach, it is based on corpus tools and, in some cases, more
complex computational methods. However, scholars in general point towards the need to
consider the qualitative dimension of metaphor identification in addition to the quantita
tive information provided by the search of metaphorical keywords. In other words, corpus
tools and computational methods, and the qualitative identification of metaphorical mean
ings, need to complement each other, because quantification provides further information
regarding tendencies, frequencies, and underlying semantic prosodies in texts once the
metaphorical meaning is determined by qualitative means. A good example is the corpus
methodology followed by some scholars such as Charteris-Black (2004: 35), who identi
fies two stages in the identification of metaphors in a corpus of data. It is interesting to note
that these two stages are qualitative and that, as in the Pragglejaz Group (2007) methodo
logy, they involve a decision on how to identify ‘metaphor candidates’ (Charteris-Black,
2004: 35) in a sample of data. Thus Charteris-Black (2004: 35) proposes: first, a search
of metaphorical candidates related to the topic under study (which are to be considered as
potential metaphorical keywords); and secondly, that the metaphorical keywords then be
searched in the corpus and examined in their context of use in order to confirm whether
‘each use of a keyword is metaphoric or literal’. In other words, conclusions on the role of
metaphorical expressions in particular texts may be obtained by combining quantitative
and qualitative methods.
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Future directions
Within the possible ideas for future directions, the following paths seem to be particu
larly interesting options for further research. First, what is the relation between metaphor
and metonymy and other cognitive and discourse processes, such as image schemas,
narrative, humour, and opposition? How do these articulate the creative process? The
relationship between some of these features has been pointed out by several scholars
(see, for example, Forceville & Renckens, 2013, for the relationship between image sche
mas, narrative, and metaphor and metonymy; Giora, 2006, Hidalgo-Downing, Kraljevic
Mujic, & Núñez-Perucha, 2013, and Stubbs, 2005, for the relation between metaphor
and opposition; El-Refaie, 2009, and Hidalgo-Downing & Kraljevic Mujic, 2013, for the
relationship between humour and metaphor). Indeed, the present chapter has proposed
that these phenomena share the characteristics of being bisociative, synergetic, unstable
creative processes, as described earlier in the chapter, and need further research from
this perspective.
A further area of interest is the performative dimension of metaphoric and metonymic
creativity, and the consequent relationship between the verbal mode and other modes of
communication in the creative process. This has been illustrated by means of the analysis
of various linguistic instances of metaphoric and metonymic creativity, which have been
modified and expanded, as in graffiti. The discussion carried out in the present chapter
has also raised the question of metaphorical and metonymic creativity as collaborative and
collective endeavours, not as isolated acts of creation, especially within the domain of new
hybrid genres such as advertising, emails, and graffiti.
The importance of metaphor and metonymy as creating, reinforcing, or challenging ideolo
gies has already been mentioned, but certainly deserves further study, especially in the light
of cross-cultural and intercultural studies (see, for example, McArthur et al., 2012).
Further studies need to be carried out on how metaphor and metonymy are interpreted
and received by different audiences, as Forceville and Renckens (2013) and Gibbons (2013)
suggest, and has been observed in the discussion of the process of interpretation of the Sky
advertisement (Figure 6.5).
Finally, further attention needs to be paid to the discursive nature of metaphor and
metonymy, and further explorations are needed into the way in which processes of mix
ing and combining metaphors, chained metonymies, and extended metaphor contribute to
the understanding of discourse. Diachronic and longitudinal studies will also shed light
on the ways in which metaphor and metonymy both give shape to, and reflect, social and
cultural change and variation (see Frank, 2009; Hidalgo-Downing, Kraljevic Mujic, &
Núñez-Perucha, 2013; Musolff & Zinken, 2009).
Related topics
cognitive stylistics; everyday language creativity; language, creativity, and cognition;
literature and multimodality
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Further reading
Allan, K. (2008) Metaphor and Metonymy: A Diachronic Approach, Oxford: Wiley Blackwell.
This volume offers an interesting overview of the cognitive and sociocultural motivations of meta
phors and metonymies from a diachronic perspective. It draws from data from the Historical
Thesaurus of English, and explores three of the main concepts used to conceptualise human intel
ligence, the senses, density, and animals.
Brown, T. L. (2003) Making Truth: Metaphor in Science, Indianapolis, IN: University of Indiana Press.
This fascinating study provides insights into the way in which scientific ideas and discoveries are
conceptualised and communicated by means of metaphor and metonymy. It addresses the debate
on the issue of ‘scientific reality’, and the human attempt to understand, conceptualise, and com
municate concepts and experiences, mainly by means of metaphoric language.
Herrera-Soler, H., and White, M. (eds) (2012) Metaphor and Mills: Figurative Language in Business
and Economics, Berlin/New York: Mouton de Gruyter.
This volume provides the first complete overview of metaphor in the discourse of economics,
from a diachronic and cross-cultural perspective. It shows that metaphors are theory constitutive
in the discourse of economics, and thus perform crucial roles in which concepts are created and
communicated.
Picken, J. D. (2007) Literature, Metaphor, and the Foreign Language Learner, Basingstoke: Palgrave
Macmillan.
This volume provides a very useful overview of the role that figurative language plays in language
teaching, paying specific attention to the understanding, interpretation, evaluation, and incorpora
tion of metaphor into the curriculum and teaching/learning materials.
Pope, R. (2005) Creativity: Theory, History, Practice, London/New York: Routledge.
This is invaluable reading for scholars interested in creativity, and its relationship to metaphor and
metonymy. A comprehensive and innovative approach is provided, drawing from diverse sources
ranging from literature to scientific concepts.
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Humour and language play
Nancy D. Bell
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worn-out phrases that have typically been used in the past, changing them only slightly,
or perhaps not at all. For instance, one conventionally creative way in which to construct
humour is to wilfully misinterpret the pragmatic force of a conventional expression as literal.
Thus a would-be joker might answer the question, ‘Can I use your phone?’, with ‘I don’t
know – can you?’ This is minimally creative, and in fact can be seen as a formulaic joking
response to such questions. As such, it is unlikely to elicit much laughter, but a slight altera-
tion that makes the joke specific to the situation might receive a few chuckles: ‘Probably not
with your arms full of groceries like that!’ Again, however, this response involves a minor
change to the original formulaic response and cannot therefore be seen as highly original.
At the other end of the creativity spectrum, we find humour that meets with quizzical looks,
or perhaps even passes unrecognised as an attempt at humour because it is overly novel.
Some of Andy Kaufman’s performances, for instance, were not initially seen as humorous
by many and were only widely recognised in this way as the broader culture caught up to
his innovative style of humour. One example would be his foray into professional wrestling,
first exclusively against women, and later against Jerry Lawler, a popular wrestler at the
time. Although these bouts were staged, this was not apparent to most audience members at
the time, and Kaufman’s outrageous and insulting behaviour towards his opponents and their
fans upset many. It was only in later years and after the ruse was exposed that many came to
appreciate his audacity as an innovative form of comedic entertainment. It appears, then, that
humour may mark certain social, cognitive, and linguistic limits of creativity. Humour that
is highly appreciated by its audience will likely be that which combines appropriate amounts
of conventionality and originality to create something novel, yet recognisable to hearers.
In this chapter, I begin with a historical review of the mainly psychological research that
has focused on teasing apart the links between humour and creativity. I then look at ques-
tions that persist about this relationship, despite the consistent evidence for it. The review
then turns from psychological to linguistic contributions, examining current research on
the relationship between humour and creativity from a cognitive and social perspective,
respectively. Based on the research, recommendations for practice in workplaces, and in
second and foreign language classrooms, are proposed. Finally, I suggest directions for
future research.
In what follows, I focus mainly on humour production, rather than reception, because
the research for the latter is considerably less (see, however, reviews in Martin, 2007, and
O’Quin & Derks, 2011). In addition, although some of the work discussed here involves
children as participants, owing to space considerations I have excluded any systematic
examination of the large body of research that has examined children’s uses of humour,
language play, and creativity from a developmental perspective (but interested readers may
consult Bariaud, 1989; Bergen, 2006; Burriss & Tsao, 2002; Crystal, 1996; Martin, 2007:
229–41; Semrud-Clikeman & Glass, 2010).
Historical perspectives
In his seminal work on creativity, Arthur Koestler (1964) examined humour, art, and scien-
tific discovery, and saw each of these creative processes as ‘bisociative’. He coined this term
to describe a type of thinking that essentially brings together typically incongruous elements
to construct something new. Such thought processes, for Koestler (1964: 36), were emotional
and potentially turbulent, and he described bisociation as ‘a double-minded, transitory state
of unstable equilibrium where the balance of both emotion and thought is disturbed’. As
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reported by Ferris (1972), Koestler published an initial discussion of these ideas in a 1949
book; building on that scholarship, Ferris lays claim to having been the first to empirically
verify a link between humour and creativity in his 1957 dissertation. Although those early
works were built on a number of understandings of humour and laughter that are no longer
widely accepted, Koestler’s (1964) work, in particular, was seminal in linking creativity and
humour. Since that time, a steady stream of empirical research has reliably established a link
between the two.
These studies have often engaged participants in creating captions for cartoons, which
are then rated for funniness. Creativity has been assessed using psychometric testing, and
correlations between the two measures (funniness and creativity) have been established
(Brodzinsky & Rubien, 1976; Treadwell, 1970; Ziv, 1980). Similarly, Jurćová (1998) found
a positive relationship between humour and creativity, looking as well at the use of humour
to solve conflicts by rating the funniness of captions that participants wrote for drawings
depicting conflicts. More recently, psychometric tests alone have linked sense of humour
and creativity (Kováč, 1999). Furthermore, in a series of studies, Ziv (1976, 1983, 1989)
found that when a humorous stimulus (such as a cartoon, film, or audio recording) was pro-
vided prior to taking a test of creativity, the adolescent participants performed significantly
better than those who did not receive such a stimulus. Ziv (1983) also found that simply
instructing the participants to provide as many funny answers as possible on the creativity
test significantly raised their scores. Humour has also been operationalised in children
through peer nominations of funny students (Hauck & Thomas, 1972; Ziv, 1980), or more
elaborately by supplementing peer nominations with observations by teachers and trained
observers, and teacher ratings of student humour (Fabrizi & Pollio, 1987). These types of
humour rating were also found to correlate with scores on tests of creativity (although it
should be noted that Fabrizi and Pollio established a correlation only for the eleventh-graders
whom they studied, and not the seventh-graders). Using a psychometric test to measure
sense of humour and a drawing completion test to assess creativity, Humke and Schaefer
(1996) established a correlation between humour and non-verbal creativity in adults. A
similar result was found by Trevlas, Matsouka, and Zachopoulou (2003), who used tests of
playfulness and movement, respectively, to compare preschool children’s playfulness, of
which humour was one component, against their motor creativity.
While these studies examined humour production in relation to creativity, a smaller body
of work has focused on whether the ability to comprehend humour is linked to creativity,
with mixed results. Rouff (1975), for example, found a strong positive correlation between
a measure of creativity and humour comprehension for adults, as measured by scores on a
task requiring participants to explain cartoons. On the other hand, using psychometric tests
to assess both humour and creativity in eighth-graders, Couturier, Mansfield, and Gallagher
(1981) found that one measure of creativity correlated positively with one of the measures
of humour, but not the other. Furthermore, a non-verbal test of creativity showed a negative
relationship with both humour tests, which the authors suggest is the result of that measure
not tapping into an individual’s ability to construct new ideas quickly and coherently (that
is, ideational fluency), a factor that they note is thought to relate to humour comprehension.
The differences between the studies emphasising humour production and those examining
comprehension is not surprising, because the relationship between the two is not necessarily
symmetrical (Kozbelt & Nishioka, 2010; Moran et al., 2014). Having established that there
is indeed a relationship between humour and creativity, we turn now to additional issues that
complicate our understanding of that relationship.
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coherent whole, or is only partially resolved. Incongruity resolution humour, on the other
hand, satisfies this requirement, because the two incompatible elements are brought together
to make some sort of sense, if only within the joke – that is, the incongruity is fully resolved.
While not singled out for analysis, as in some other studies, creativity is one aspect of a bun-
dle of qualities referred to as ‘openness to experience, culture, or intellect’ in the five-factor
personality model. Individuals possessing this trait tend to appreciate nonsense humour to a
greater extent than those who do not score highly on this trait. They also tend to score more
highly on scales of liberalism, sensation seeking, and tolerance of ambiguity. On the other
hand, individuals preferring incongruity resolution humour tend to have low scores in these
traits, but higher in their counterparts. Thus, if the goal is to identify creative individuals, a
test of humour appreciation may provide an indication: those who enjoy nonsense humour
will be more prone to creativity.
Much of the research has considered creative thinking in relation to language play and
humour, as well as intelligence. Given the strong links among these three constructs, we
might expect individuals who exhibit these traits to engage in the types of intense, thought-
ful behaviour that often results in creative insights. However, Wycoff and Pryor (2003: 39)
suggest that ‘those who tend toward expressing smiles or laughs frequently may not be the
same individuals who engage in and enjoy effortful thinking’; rather, a humorous outlook
may be more a feature of one’s personality. Furthermore, as Ziv (1980, 1989) points out,
creative thought alone is not necessarily an adequate way in which to assess creativity,
asserting that action and outcomes must also be considered. As Ziv (1980: 162) explains,
‘creative behaviour involves the transformation of an idea – generally arrived at using
divergent thinking – into a product which has a certain social value’. Does humour also
spur creative action? On this topic, little work has been done. Ziv’s (1980, 1989) research
suggests that creative thinking, but not behaviour, is aided by humour; however, this would
seem to be an area in which further investigation is merited – particularly that which would
take into account factors such as group vs individual effort, social factors, and the precise
nature of the task.
The work discussed thus far has its home largely in cognitive and experimental psycho
logy, the historically dominant discipline for inquiry into both humour and creativity. As
such, the research discussed up to this point has focused largely on humour and creativity
as personality traits, the components of each, and the extent to which they are interrelated
or influence each other. In the following section, I consider what linguistics is adding to the
insights from psychology.
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Cognitive linguistics
Cognitive linguistic theorists (see Langlotz, Chapter 2) seek to understand how language
is internally represented and processed, and they do so by examining actual instances of
language use, taking into account the social context and the goals of language users as
they seek to create meaning. As a usage-based approach, cognitive linguistic theory is
particularly adept at delineating the relationship between formulaic or conventional and
creative language uses, and defining the cognitive mechanisms used to construct humour,
in particular. Furthermore, these scholars see the study of non-serious language use as a
way of advancing (cognitive) linguistic theory in general.
Bergen and Binsted (2004) represent one of the first examples of this sort of research.
They examined scalar humour, in which some entity is described using some form of the
structure ‘so X that Y’, as in ‘The reception to my talk was so cold that I saw students hud-
dling together for warmth’ (Bergen & Binsted, 2004: 7). Their analysis indicated that the
cognitive mechanisms used to create this type of humour are the same as those used in
serious discourse, but that the incongruity created between the typical (serious) use of a
particular construction expected by the hearer and the actual, unusual realisation, as well as
the resulting imagery (a phenomenon explored in greater depth in Bergen & Binsted, 2015),
created the humour. Thus speakers exploited a regularly occurring construction creatively.
In addition to the important assertion that humour relies on general-purpose cognitive mech-
anisms, they suggest that the study of humorous language serves as evidence of cognitive
representations of language (Bergen & Binsted, 2004: 12), in much the same way as speech
errors have been used as evidence of linguistic knowledge (for example Fromkin, 1973).
Bergen and Binsted (2004, 2015) call for an examination of language use that involves
creative and playful manipulations across the full range of linguistic practices, and this call
is echoed by Feyaerts (2006). He too finds that the same general cognitive mechanisms
used to construct conventional, serious texts are called upon for humour. He focuses specif-
ically on the figure-ground reversals (see also Veale, 2008) found in formulaic sequences
used in both witty headlines and in the conversational practice of ‘trumping’, in which the
hearer exploits some ambiguity in the speaker’s utterance in order to express disagreement.
His examination focuses on the semantics of conventional phrases and, like Bergen and
Binsted (2004, 2015), shows how the creative manipulations of them provide evidence for
a generalised set of cognitive mechanisms to explain both humorous and serious language
use and understanding.
The interplay between formulaic or merely typical constructions and their creative instan-
tiations is examined in relation to literary texts by Antonopoulou and Nikiforidou (2009;
see also Brône & Oben, 2013) to further specify the ways in which semi-productive and
semi-idiomatic constructions can be exploited for humour. For instance, they demonstrate
that treating a count noun as a mass noun contributes to a humorous interpretation, with
repeated constructions of this sort creating humorous coherence within a text. They focus
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on a passage from Martin Amis’s Dead Babies, in which an obese family struggles to fit
into a car. Normally countable body parts are presented as mass nouns, for example ‘arse
all over the gear-lever’, ‘a bit of arm’, and ‘some of my leg’ (Antonopoulou & Nikiforidou,
2009: 302). They note that this repetition is what creates humorous coherence within the
text. More recently, they have extended their analysis in an attempt to describe events larger
than the clause (Antonopoulou & Nikiforidou, 2011).
Working at the intersection of cognitive and computational linguistics, Tony Veale, along
with his colleagues, is developing an extensive body of research related to humour, creati
vity, and cognition. I focus here specifically on his work with humorous and ironic similes,
which highlights the risky nature of humorous language use and identifies the strategies
that speakers use to reduce the chance of miscommunication. As such, it also explores the
boundaries of linguistic creativity. Similes exist on a continuum from almost completely
formulaic (for example ‘as cute as a button’) to so creative as to require explanation (for
example Jerry Seinfeld’s description of comedian George Carlin as being ‘like a train hobo
with a chicken bone’, cited in Veale & Hao, 2009: 1376). Achieving the appropriate degree
of creativity is particularly crucial in the case of humour, where too little creativity will
result in a bland, unamusing simile, while an overly novel simile will require explanation,
likely ruining any humorous effects. In their analyses of thousands of similes harvested
from the Internet, Veale and Hao (2009; Veale, 2013) demonstrate how the use of ‘about’
in similes (for example ‘about as enjoyable as a funeral’) acts as a signal of playful or
humorous intent, indicating to the audience that a comparison is likely facetious. Although
many of the similes incorporating ‘about’ were indeed ironic, Hao and Veale (2010: 646)
describe it and other markers as ‘no more than heuristic clues’, and emphasise the need to
examine the conceptual basis of similes to determine whether they are not merely playful,
but specifically ironic. They suggest that a strong clue to the presence of irony is likely to
be that a simile has been constructed using a descriptor and an entity with incompatible or
contradictory qualities (as in ‘exciting’ and ‘funeral’), and that this is particularly likely to
be the case when either of the two parts already has a strong record of use for non-ironic
similes. This finding demonstrates again the interplay between formulaic or collocational
sequences and more creative constructions (for a review of computational creativity, see
Veale, Chapter 22).
Finally, although not working from a cognitive linguistic perspective, Ronneberger-
Sibold’s (2006) work on lexical blends is also worth mentioning here, because, like the
previous authors, she suggests that the study of playful and creative language use can con-
tribute to linguistic theory, specifically by providing evidence for linguistic competence, as
noted by Bergen and Binsted (2004) as well. Lexical blends are considered part of extra-
grammatical morphology because the constructions do not follow rules of morphology, and
Ronneberger-Sibold (2006) demonstrates how their degree of transparency is deliberately – if
intuitively – manipulated by language users. As evidence, she points to the differences in
her corpus of 612 blends between the more transparent literary blends and less transparent
blends created as brand names. She argues that the construction of literary blends, most
of which were satirical, must be somewhat apparent in order for the readers to grasp the
satire. Brand names, on the other hand, can be less transparent, because their function of
product identification can be fulfilled even if language users are unable to parse the blend.
These regularities provide evidence of an extragrammatical competence that allows users
to intuitively construct blends along a continuum of transparency.
From a cognitive linguistic perspective, then, the study of humorous creativity offers
not only a way in which to better understand the mechanisms of humour, but also a way
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in which to advance semantic theory. Complementing the perspectives discussed here are
those from scholars in sociolinguistics.
Sociolinguistics
Although language play and humour have long been appreciated in child language research
and studied from the perspective of development, as noted above, it is only more recently
that applied linguists and sociolinguists have begun to embrace those practices that deviate
from the norms associated with transactional speech, and which question the boundaries
of what is considered typical, normal, and often even acceptable or appropriate speech. In
particular, discussions of multilingualism, linguistic diversity, and globalisation are increas-
ingly identifying language play as central to the linguistic practices of multilingual societies
and individuals. This recognition shows up in a variety of different works and goes by a
number of different names. What these perspectives share, however, is a commitment to
examining linguistic and social diversity, including issues of identity. Increasingly, scholars
refer not only to the ways in which individuals deploy their linguistic resources, but also to
how they play with them. Furthermore, they often note how resources are used for purely
ludic ends, as well as for identity construction, critique, and resistance.
In work grounded in language ecology, for instance, Kramsch (2008: 402, emphasis
added) defines symbolic competence as ‘the ability to manipulate the conventional cat-
egories and societal norms of truthfulness, legitimacy, seriousness, and originality, and
the ability to reframe human thought and action’. Her concerns lie with foreign language
learners, and the authenticity and legitimacy of language use in a globalised world. She
sees second language use as potentially liberating, because it allows for ‘play, irony, dis-
tance, and the integration of language use into a freer realm of subjective perceptions and
meanings – the realm of the trickster’ (Kramsch, 2009: 43). Playful linguistic creativity
is also highlighted when multilingual practices are conceived of as ‘metrolingualism’ – a
term that Otsuji and Pennycook (2010: 244, emphasis added) explain ‘describes the ways
in which people of different and mixed backgrounds use, play with and negotiate identities
through language’, adding that ‘the focus here is not on elite game playing but the ludic
possibilities in the everyday’. Makoni and Pennycook (2012: 449) extend these defini-
tions and also call for an emphasis on creativity more generally, noting that ‘variability
in the use of and facility in the use of multilingualism as play compels us to reintroduce
the idea of individual creativity within multilingualism’. Similarly, scholarship that sees
multilingual practice and linguistic diversity through the lens of the Bakhtinian notion of
heteroglossia often emphasises, examines, and describes such (potentially) playful and
often humorous language practices as revoicing, parody, stylisation, irony, and crossing
(for example Blackledge & Creese, 2014; Blackledge, Creese, & Takhi, 2014; Blommaert
& Rampton, 2011; Rymes, 2014).
Sociolinguistic investigations that centre on diverse, playful, and humorous language
use can contribute to a reconceptualisation of language and linguistic diversity, an under-
standing of the sociocultural and political significance of such creative practices, and
greater insight into the processes of language change. Creative language use demon-
strates evolving norms and values through the changes that take place to linguistic norms
that are used in new, playful ways. As Blommaert and Rampton (2011: 7) explain, we
can observe ‘the emergence of structure out of agency’. Much of Rampton’s own work
has illustrated these processes and their social consequences (for example Rampton 1995,
1999, 2002, 2009). Sharma’s (2012) inquiry into the use of language on Facebook by
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the quality of responses (Derks & Hervas, 1988). Thus, in brainstorming types of activity in
which creative output is at a premium, leaders may want to allow humorous contributions
to continue, even when their instincts tell them that it is time to bring the interaction back
into a serious key.
In contrast to workplaces, classrooms – and perhaps language classrooms in particular –
can often be places in which humour occurs, whether sanctioned by the teacher or not. Here
too, as with the workplace leader, the teacher’s challenge is to productively harness that
energy for learning. Creative play with language may be particularly important in the second
language classroom in which students often grapple with questions of identity, because play-
ful language practices may help them to explore this. Along these lines, Kramsch (2008: 404)
encourages teachers to ‘leave room for and, indeed, encourage stylistic variation, irony,
humor, subversion’. Such spaces may not only broaden language learner repertoires, allow-
ing learners to express themselves in subtler ways with a range of linguistic resources, but
these types of interaction may also help learners to retain the meanings of new lexical items
(Bell, 2012). In addition to recognising the educational potential of language play for stu-
dents, its contribution to the well-being of teachers is a less explored, but noteworthy, topic
(Bullough, 2012). Teaching is a profession that requires creativity, flexibility, and innovative
problem solving, yet increasingly many teachers work under highly regimented conditions,
particularly when standardised tests are of great importance. An infusion of humour into
classrooms that work under these conditions may contribute to an opening up of the stric-
tures imposed on teachers and may increase their well-being.
Future directions
Numerous specific questions about the nature of, and relationship among, language, humour,
and creativity can be identified through this review. Here, however, I touch on two broad
areas of inquiry that seem promising from an applied linguistic perspective: social aspects;
and language change.
While cognitive aspects of the intersection of humour and creativity have received
ample attention from psychologists, the social aspects are only starting to be explored. This
will require the use of a broader range of research methods, including corpus linguistics,
ethnographies, and discourse analyses. These studies must be conducted across a variety
of contexts and language groups in order to provide the greatest insight (see, for example,
Chang, 2003, on Chinese linguistic creativity, and Maynard, 2007, on Japanese). The rich
descriptions of creative and humorous language that such research can yield will illumi-
nate the relationship between creativity and formulaicity in the construction of humour.
Failed humour, which can lend insight into the social and cognitive limits to creativity in
humour, can also be studied in this way (Bell, 2015). With a greater understanding of the
relationship between humour and creativity in interaction, we are likely to find additional
workplace, pedagogical, and therapeutic applications.
The study of humour, language play, and creativity can also lend insight to our under-
standing of language, as suggested above, and, more specifically, language change. Hints of
this are already seen in some of the literature on language play and creativity. For instance,
Ronneberger-Sibold’s (2006) work on lexical blends, discussed earlier, notes that, despite
their deliberate, planned development, the structure of blends by individual innovators is the
same as that which emerged in German diachronically. She suggests that a combination of
individual language users’ intuitions about the transparency of different types of blend, cou-
pled with their language-using experiences, which signalled to them which forms allowed
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Humour and language play
them to be more or less comprehensible, led both the deliberate and the spontaneous blend
creators to the same end point. Thus her examination of language play revealed new patterns
created from the same types of knowledge and communicative pressure. Larsen-Freeman and
Cameron (2008) articulate more clearly what was merely suggested by Larsen-Freeman
(1997) regarding the possible relationship between playful language practices and change
in linguistic systems. They suggest that, for example, when the innovations that teenage
language users develop are repeated, broader change can result, particularly as innovations
spread quickly among and across groups. Although humour and language play are creative
practices that have been largely undervalued by the linguistic community, it is becoming
clear that their study may have more to contribute to many areas of linguistic inquiry.
Related topics
computational approaches to language and creativity; creativity in second language learning;
everyday language creativity; language, creativity, and cognition
Further reading
Cook, G. (2000) Language Play, Language Learning, Oxford: Oxford University Press.
Cook’s seminal work on language play provides a thorough review of the concept, as well as
consideration of its significance for second language development.
Kozbelt, A. (2014) ‘Creativity’, in S. Attardo (ed.) Encyclopedia of Humor Studies, vol. 1, Thousand
Oaks, CA: Sage.
This entry provides a brief, interdisciplinary review, similar to that presented in this chapter, but
grounded in humour research.
Raskin, V. (2008) The Primer of Humor Research, New York: Mouton de Gruyter.
Designed as an entry point into humour scholarship, this volume provides in-depth reviews of
humour research conducted within specific disciplines.
Veale, T. (2012) Exploding the Creativity Myth: The Computation Foundations of Linguistic
Creativity, London: Bloomsbury.
In this text, Veale provides an accessible overview of the work that he has done on cognition and
creativity, with one chapter devoted specifically to humour.
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8
Constructed languages
Douglas Ball
Introduction
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Constructed languages
Salo (2004) provides a reference grammar of Sindarin (although there are some students of
Tolkien’s languages who view this more as a work describing ‘Neo-Sindarin’ – Sindarin in
Salo’s conception – rather than a precise description of Tolkien’s work). Quenya has yet to
be documented in a book-length reference work.
Apart from Quenya and Sindarin, there are many more parafictional languages in fantasy;
in fact, it appears that the visibility of parafictional conlangs is on the rise (see the discus-
sion below). In this chapter, I will limit my discussion of the role(s) that this kind of conlang
can play within literary works, but greater explorations have been made in the literature: in
Stockwell (2006); and, more extensively, in Cheyne (2008).
Some conlangs are created for testing hypotheses about language or, at least, for explor-
ing the logical conclusions of particular viewpoints on language. This class of conlang is
often termed an ‘engineered language’, or engelang. The most famous engelang is argu-
ably Loglan, a language created in the 1950s by American sociologist James Cooke Brown
(1960) to test whether an allegedly radically different language would change people’s
thought patterns. Loglan additionally employs a certain number of ideas from formal logic
in its design, and thus also represents the class of engelangs that have explored ideas from
logic in language.
The creation of a large number of conlangs – although few that are particularly visible – is
driven by the particular aesthetic views of their creator. While it is probably the case that
all conlangs have this property to a degree, conlangs that centrally have this aesthetically
driven purpose are generally known as ‘artistic languages’, or artlangs. One aesthetic driv-
ing some artlangers is the creation of a language that could, quite plausibly, be found in the
external world. Conlangs with this purpose could be termed ‘naturalistic languages’. Other
artlangers are driven by their own internal sensibilities, which might not reflect natural lan-
guages particularly closely. The resulting languages are very personal forms of expression
for their creators and, in fact, may be secret. These languages are often referred to as ‘per-
sonal languages’. In principle, it seems that a naturalistic language could also be a personal
language, but in practice the two sets of artlangs are generally considered distinct within the
conlanging community. Few ‘pure’ artlangs are well known outside of the conlanging com-
munity, so which should be considered most famous is a bit unclear. But one could consider
all of Tolkien’s languages as examples, because they appear to have begun their existence
as artlangs before moving on to become parafictional languages.
As a final means of classifying conlangs, it is seen as useful to provide some information
about the source of the language’s vocabulary, much as it has been useful to designate which
language contributed the majority of the vocabulary in a pidgin or creole. Conlangs having
vocabulary not closely modelled on any known language – non-constructed or constructed –
are generally termed ‘a priori languages’. Conlangs in which the vocabulary is derived from
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some previously attested language are known as ‘a posteriori languages’. The lexicons of
some a posteriori languages might be difficult to distinguish from a pidgin or creole, at least
at first glance. A collection of a posteriori languages has been, and continues to be, created
around certain historical ‘what if’ scenarios, giving rise to the conlanging analogue of the
literary subgenre of alternative history. One such conlang is Andrew Smith’s Brithenig, a
fictional Celtic-influenced Romance language of Britain, imagined to exist in a world in
which Romano-British culture persisted in Britannia because there was no Anglo-Saxon
settlement of the British Isles.
Historical perspectives
As a result of the often secretive nature of conlanging, the history of the activity is some-
what incomplete. Nevertheless, there are indications that conlanging has been pursued by
some for a long time. In writing up this section’s summary history, I have relied heavily on
the accessibly written historical information provided in Okrent (2009).
What is considered to be the first recorded conlang was Lingua Ignota, created by Hildegard
von Bingen, a twelfth-century German churchwoman and polymath. However, Lingua Ignota
is more noted as a list of vocabulary items than a vocabulary plus grammar. For a thorough
discussion of Hildegard’s work, see Higley (2007).
In the 1600s, the number of attested conlangs increased, perhaps not incidentally given
the (fairly recent) advances in book technology and in mathematical notation systems. As
Okrent (2009) points out, much of the conlanging from this time until the early-to-mid twen-
tieth century has been predicated on the view that language is imperfect and is in need of
fixing. This entails that language has several ‘problems’: the ‘problem’ with which most
seventeenth-century conlangers were preoccupied is how meaning is conveyed in language.
This preoccupation gave rise to what could be considered the age of philosophical engelangs.
Conlangs from this era, such as John Wilkins’ Universal Language of 1668, sought to exhaus-
tively categorise the world, and then rework the expression of this categorisation through a
completely transparent and compositional system. That is, given a taxonomy of the world,
certain symbols/sounds could be assigned to basic primitive notions (and only to them).
These symbols/sounds could then be recombined in principled ways to yield all necessary
concepts, expressed in a clear and unambiguous way. Wilkins’ language may be the most
comprehensive and well documented of the languages of this era, but similar projects were
pursued by other independently famous intellectuals of the era, including philosopher René
Descartes and mathematician Gottfried Leibniz. Given that the seventeenth-century engel-
angs were designed to be grounded in reality, which for most Enlightenment-era thinkers had
one true form, these languages had the additional benefit of being universal: any human, with
knowledge of how the world works generally and how the form-meaning mapping worked
in a particular engelang, could express anything, which could be unambiguously interpreted
by others. This circumvented another ‘problem’ of language: not all humans speak the same
one, making communication between some individuals difficult, if not impossible.
This latter ‘problem’ – overcoming the barriers to cross-cultural communication – was
the central focus of nineteenth-century conlangers. This era in conlanging could be seen as
the age of the auxlang. Esperanto (developed in 1887) is the most well-known product of
this era, but it is hardly the only one. Esperanto was anteceded, for instance, by Volapük
in 1879, a language created by German priest Johann Schleyer. An example of Volapük is
given in example (4):
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Both Esperanto and Volapük were constructed on similar principles: they include elements
of pre-existing languages (although the languages are exclusively European in origin) to
make the language-learning process easier.
Overcoming the cross-cultural barrier was also behind the invention of Solresol in
1827 by Frenchman Jean-François Sudre. However, instead of taking words from various
European languages, Solresol is grounded in the idea that music is literally the universal
language. Thus the basic units of sound system of Solresol are the seven pitches of the
Western diatonic scale (referred to by their names in French). An example of Solresol is
given in example (5):
While the twentieth century saw some continuation of the age of auxlangs, several new
strands of conlanging appeared. One was a return to engelanging, in light of several new
ideas about the nature of language. Both Loglan in 1955, and its offspring Lojban in 1987,
were part of this trend. Loglan was expressively invented to test the Sapir-Whorf hypothesis –
that is, the view that the structure of a language limits, or at least affects, the worldviews or
cognitive processes of its speakers – but both of these engelangs also ‘borrowed’ ideas or
concerns from several other previous eras of conlanging: a basis in predicate logic or a math-
ematical system (akin to the seventeenth-century conlangs); and using various pre-existing
languages as a lexical source (akin to nineteenth-century conlangs). However, Lojban did
cast a considerably wider cross-linguistic net than any nineteenth-century auxlang, includ-
ing the non-European Arabic, Hindi, and Chinese as part of the collection of its models. An
example of Lojban is given in example (6):
Furthermore, Loglan was by no means the only twentieth-century conlang to consider the
Sapir-Whorf hypothesis: Suzette Hagen Elgin’s (1982) Láadan was also influenced by the
promise of testing the Sapir-Whorf hypothesis, even while not including any other design
principles found in Loglan or Lojban.
The other significant twentieth-century development is most well known from the work
of J. R. R. Tolkien. A prolific conlanger, Tolkien was influenced by his philological interests
(or perhaps it was the other way around), and thus devised whole sets of different histori-
cal sound changes in his languages and traced the etymologies of his words back to their
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original source. Thus Tolkien seems to have pioneered the application of ideas from the
academic study of language to conlanging in an era (the first three decades of the twentieth
century) during which that was not so common. His conlanging work also was very much art
for art’s sake: his languages carried no promise of expressing thought clearly (or at least no
more clearly than natural languages) and no promise of solving any sort of communication
problem. These attitudes, however inexplicit, coupled with the widespread popularity that
Tolkien achieved through his novels, seem to have allowed the artlang to come into its own
as a conlang form – although the artlang may have been headed in that direction anyway: lin-
guist M. A. R. Barker’s collection of languages (most notably, Tsolyáni), created apparently
independently of Tolkien, share many properties with Tolkien’s work. Barker’s languages
were also art for art’s sake, used natural languages as a model, and, in fact, were developed
for an external source: an early role-playing game, The Empire of the Petal Throne. The rise
of the artlang, regardless of its precise historical origins, leads directly to some of the more
recent developments in conlanging, to which I now turn.
Current contributions
The use of conlangs in fictional worlds also began to play a significant role in television
shows in the first part of the 2010s, although earlier shows had included conlangs as part of
their story-telling: The Land of the Lost (1974–76), using Pakuni, created by linguist Victoria
Fromkin; and Dark Skies (1996–97), using Thhtmaa, created by linguist Matt Pearson.
The HBO series Game of Thrones, which premiered in 2011, has included the languages
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of Dothraki and High Valyrian, both created by David Peterson. Dothraki is spoken by a
cultural group distinct from that of most of the main characters in the show. An example of
Dothraki is given in example (8):
Materials for learning Dothraki have been published in Peterson (2014). High Valyrian, in
contrast to Dothraki, is employed as a dead language of cultural import within the Game of
Thrones universe.
The Syfy series Defiance, which premiered in 2013, has also featured languages designed
by David Peterson: Castithan, Irathient, and Indojisnen. Each of these languages is spoken by
extraterrestial species that are on Earth within the context of the story.
While I am aware of no systematic studies to back this up, it is very likely that the
increased visibility of conlangs in television and film has inspired an increasing number of
people to engage in the activity of conlanging compared with previously, when constructed
languages were not nearly as visible.
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event known as the Language Creation Conference (LCC) has emerged as the largest and
most regular conlanging gathering. First held in 2006, the LCC has become a biennial event
at which conlangers and other interested parties can get together to discuss intellectual issues
related to conlanging, as well as to celebrate the activity. To date, it has been held in several
different locales in the United States and has also been held in the Netherlands.
Let me detail these strategies to a greater extent, additionally noting where, within the
conlanging world, each has been most frequently used.
The use of one’s own intuitions or preferences is very much in keeping with the activity
of inventing a language: conlangers are in control of their own languages. Furthermore, the
use of intuitions is a very useful ‘shortcut’: the totality of any language is enormous, but
because all conlangers already use at least one language, they can rely on their previous
experiences with that language to reduce the enormity and therefore make creation a bit
more feasible. When used in moderation, the use of one’s intuitions is unproblematic, but
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some portion of the language creation process is likely widespread, even if in-depth use of
natural languages as models is restricted to the set of naturalistic conlangers.
The third strategy involves using structures that seem to be, or actually are, easy to learn.
This represents a different approach from the first two strategies – but its appearance is not
surprising, given that all conlangs start out as languages without first-language learners:
why not include structures that might more easily allow learners (including, perhaps most
importantly, the creator) to pick up the language? In spite of the potential for widespread
use, this strategy seems to be most favoured by auxlangers. In fact, auxlang creators often
laud their creation’s (supposed) ease of learnability as a selling point in favour of adopting
it. Indeed, ‘supposed’ reflects a key aspect of how this strategy has generally been incor-
porated into conlanging: learnability arguments given by the auxlangers do not go beyond
mere assertion that their language is quite easy to learn (albeit that being able to prove that
a language is easily learnable is, ironically enough, not easy). Furthermore, those who make
these kinds of arguments do not seem to take into account the fact that ease of learning
one language can be a function of the learner’s native language, as well as other languages
to which he or she may have been exposed. Nevertheless, there do seem to be languages
that could provide apt points of comparison for auxlangers’ creations: creoles and pidgins.
These languages, especially the latter class, appear to have some structural simplifications
that allow for ease of learning. Yet most auxlangers seem to be unaware of the similarities
between their creations and pidgins/creoles; consequently, connections between auxlangs
and these contact-induced languages have hitherto not been made. Moreover, as tailor-made
as the strategy of using ‘easy’ structures might be for auxlangs, not all conceits or aesthet-
ics are amenable to it. In fact, this strategy seems to be rather antithetical to the naturalistic
realist approach, which looks to create a conlang with peculiarities rather than a conlang that
(necessarily) is easy to learn.
Finally, conlangers have employed a fourth strategy: using a pre-existing theory or
conception of how language in general works to guide their creation. Like several of the
other strategies, this strategy is probably utilised to a certain extent by all conlangers: every
conlang represents an answer to the question ‘What is a possible language?’, and so every
conlang embodies particular theoretical views on how languages work. In fact, using one’s
intuitions about how languages work in one’s own conlanging (the first strategy discussed
above) is to work within one’s conception of language, so, in some instances, this fourth
strategy is indistinct from (some part of) the first. But when one considers how this strategy
is used by a certain strand of conlangers – engelangers – differences do emerge. As noted at
the outset of this chapter, engelangs, by their very nature, deal squarely with foundational
ideas about the nature of language. So, to successfully create an engelang, one must be very
aware of the nature of one’s conceit and how that might interact with the language’s design.
For example, if the goal is to create ‘the totally unambiguous language’, the conlanger must
have a good handle on what the nature of ambiguity in language is and how this issue is to
be circumvented or otherwise resolved. Like realist conlanging, engelanging also requires a
high level of expertise in the areas that engelang is manipulating, and for this reason may not
be appealing (or useful) to particular other subclasses of conlangers.
Nevertheless, the strategy of using pre-existing notions can be useful in creating para-
fictional languages too. Most (fictional) speakers of parafictional conlangs have a (quasi-)
symbolic purpose within their work or, at the very least, are intended to evoke some ideas
about language in general or about speakers of particular languages. Although not the same
sort of conception with which engelangers work, these ‘literary’ preconceptions can be
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Regardless of conceit, though, the lexicon of most conlangs is likely to be of a similar size
to that of natural languages: quite large. The creation of the lexicon is, then, quite a daunting
task of its own – one that requires some creativity to even start the process. While there is
no single, easy, ready-made ‘shortcut’, some creative lexicon-creation aids have emerged.
A basic starting point is a ‘Swadesh list’ (Swadesh, 1952, 1955; see also Gudschinsky,
1956). Although the ‘list’ actually comprises several lists of varying size and was originally
designed to explore genetic relationships, one of the lists (and it does not matter which) can
be repurposed as a tool for creating a basic set of vocabulary: conlangers could create roots
for all of the items on that list (or use the list to come up with more appropriate roots to be
created). This process could be repeated with other available lists, even such as those given
as aids in foreign-language textbooks.
There is also a tradition, within the conlanging community, of forcing necessity to be the
mother of invention, in terms of creating lexical items. Trying to create texts in a conlang
is one way in which the necessary necessity has been induced. (Creating such texts also
has the added benefit of acting as a testing ground for grammatical structures.) The Tower
of Babel story from the Book of Genesis is one text that many conlangers have translated,
in part because of the irony involved with the outcome of the story versus the addition
of a new conlang to the world. But some conlangers have taken this to an even higher
level, composing lots of original texts in their language. Some even go as far as writing
personal journal entries in their language – the conlang providing a line of security against
any would-be readers. Another way in which lexical creation has been pursued is through
word-a-day invention activities. An exemplar of this practice is Lexember, whereby a
word is created for each day of December. The event, which includes posting the new word
to social media, also provides conlangers and conlang aficionados a space in which to
celebrate language creation.
Conlanging as art?
As the discussion in this chapter indicates, the creative process involved with con-
langing has some similarities with other artistic pursuits, such as creative writing, pro-
duction of visual artwork, and music composition (and, in fact, many conlangers also
engage in some or all of these pursuits in addition to their conlanging). This raises the
question of whether or not conlanging should be considered an art. While providing
anything close to a definitive answer is outside the scope of this chapter, it is interesting
to note some of the interesting differences that conlanging has from these other ‘tried
and true’ artistic pursuits.
Conlanging differs most notably from the ‘tried and true’ artistic pursuits in that it seems
to lack an obvious, ready-made consumable product. While books, films, plays, paintings,
artwork, and albums are produced to showcase (or, to the more economically minded, sell)
creative writing, the visual arts, or music, respectively, it is not entirely clear what the con-
sumable version of a conlang should be. This is undoubtedly related to the fact that creating a
constructed language is an extremely open-ended project. It is not at all clear what constitutes
a complete language, and in fact a particular conlanging project can go on for years without
an identifiable end point. Of course, grammars, dictionaries, and teach-yourself books have
been produced, suggesting that these might be considered the consumable products of con-
langing, but these items themselves give rise to another impediment to the appreciation of
conlanging as an art: they, in fact, require a certain amount of specialised knowledge to be
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consumed – namely, what language is. Consequently, these materials do not offer an easy
point of entry on a par with music, artwork, or films, which can be experienced more readily
and then interpreted by the average person. So, even if conlanging is to be considered an art,
it seems as though it must be regarded as a niche creative endeavour, since its consumption
is not straightforward, both in terms of the kind of end product expected and the consuming
public’s ability to consume any such end product.
Future directions
Because the scholarly study of constructed languages is still in its infancy, many avenues
of inquiry surrounding these languages are still to be explored. For linguists interested
in the limits of language structure and what sorts of constraints the mind might impose
on that structure, conlangs have the potential to provide some new and interesting data
on the subject. While conlangs are unquestionably much more conscious creations than
are natural languages, they are still languages. Furthermore, several conlangs have been
created with the explicit conceit of being alien languages (Klingon and Na’vi being two
well-known examples). Impressionistically, even these ‘alien’ languages seem to have a
human language quality to them, raising the question of whether language creators can
escape their own cognitive capabilities and biases in their creations. By exploring this
and related questions, perhaps conlangs, too, can provide some insight into the faculty or
faculties that underlie language.
For the more sociolinguistically minded, there are other numerous underexplored areas.
While some demographic and social data has been collected by conlanger Sally Caves
via informal surveys on The Conlang Mailing List and some ethnographic data on the
conlanging community is provided by Okrent (2009), even a fundamental question of pre-
cisely who conlangs are and where they live is not very well understood. Further questions,
such as whether conlanging affects how certain individuals establish their social/linguistic
identity, whether it produces, or is produced with, certain language attitudes, or otherwise
interacts with creation or maintenance of certain speech communities, are also presently
underexplored. Some of the essays in Adams (2011) offer an introduction to understanding
these questions, although more work remains to be done.
For scholars interested more squarely in creativity, constructed languages offer yet
another area in which creative practice could be examined. As noted throughout this chapter,
conlangs have several unique characteristics that distinguish them from other artistic
endeavours; thus conlanging projects bring out some unique creative choices and processes
(as well as some familiar ones). The ideas presented represent some preliminary views
about understanding how the conlanging creative process works; doubtlessly, future work
could add to, challenge, or refine these understandings.
Within the domain of conlangs themselves, the most intriguing area to watch in the future
will be the use of parafictional languages in media. Having become more common in the
last ten or fifteen years, it remains to be seen whether the conlanging trend will persist and
become a staple of productions (at least in certain genres), or whether it will prove to be only
a passing fad. It is conceivable that the way in which this pop culture aspect unfolds could
very well influence the amount and rate of the study of conlangs academically. Furthermore,
the use of conlangs seems to be restricted, at the present, to work within the science fiction or
fantasy genres. Whether conlanging will ever be employed in other genres is also something
to watch in the future.
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However, the fact that some of the recent uses of conlangs in the media have occurred in
fairly high-profile venues certainly seems to have raised awareness of conlanging activity.
So even if the overall presence of conlangs in the media were to decrease, we might hope
that this awareness will allow the activity of conlanging to escape permanently the obscurity
within which it has historically lingered.
Related topics
everyday language creativity; lexical creativity
Further reading
Adams, M. (ed.) (2011) From Elvish to Klingon: Exploring Invented Languages, Oxford: Oxford
University Press.
This collection of papers includes discussions of several well-known conlangs, including Tolkien’s
languages, Esperanto, and Klingon.
Higley, S. L. (2000) ‘Audience, uglossia, and CONLANG: Inventing languages on the Internet’, M/C:
A Journal of Media and Culture, 3(1). Available online at http://journal.media-culture.org.au/0003/
languages.php [accessed 31 October 2014].
This article looks at the role of the Internet in creating new conlanging communities and as a means
of ‘publishing’ a conlang.
Okrent, A. (2009) In the Land of Invented Languages: Esperanto Rock Stars, Klingon Poets, Loglan
Lovers, and the Mad Dreamers Who Tried to Build a Perfect Language, New York: Spiegel & Grau.
This book offers one of the most in-depth explorations of conlanging to date, covering the history
of conlanging, as well as the author’s own experiences with the Esperanto, Klingon, and Loglan
communities.
Rosenfelder, M. (2010) The Language Construction Kit, Chicago, IL: Yonagu Books.
A book-length version of part of the author’s website, this book provides a framework and ideas for
creating one’s own language.
Tolkien, J. R. R. (1983 [1931]) ‘A secret vice’, in C. Tolkien (ed.) The Monsters, Critics, and Other
Essays, Boston, MA: Houghton Mifflin, pp. 198–223.
This essay details Tolkien’s personal conlanging history, as well as his thoughts on how the activity
of conlanging might be approached.
References
Adams, M. (ed.) (2011) From Elvish to Klingon: Exploring Invented Languages, Oxford: Oxford
University Press.
Brown, J. C. (1960) ‘Loglan’, Scientific American, 202(6): 43–63.
Cheyne, R. (2008) ‘Created languages in science fiction’, Science Fiction Studies, 35(3): 386–403.
Gajewski, B. (1902) Grammar of Solresol. Available online at http://mozai.com/writing/not_mine/
solresol/ [accessed 31 October 2014].
Gledhill, C. (2000) The Grammar of Esperanto: A Corpus-based Description, Munich: Lincom Europa.
Gudschinsky, S. (1956) ‘The ABC’s of lexicostatistics (glottochronology)’, Word, 12(2): 175–210.
Higley, S. (2007) Hildegard of Bingen’s Unknown Language: An Edition, Translation, Discussion,
New York: Palgrave Macmillan.
Learn Na’vi (2012) ‘Grammar’. Available online at http://learnnavi.org/navi-grammar/ [accessed 16
October 2014].
Nicholas, N., and Strader A. (2000) The Klingon Hamlet: The Restored Klingon Version, New York:
Pocket Books.
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Okrand, M. (1992) The Klingon Dictionary, 2nd edn, New York: Pocket Books.
Okrent, A. (2009) In the Land of Invented Languages: Esperanto Rock Stars, Klingon Poets, Loglan
Lovers, and the Mad Dreamers Who Tried to Build a Perfect Language, New York: Spiegel & Grau.
Peterson, D. J. (2014) Living Language Dothraki: A Conversation Language Course, New York:
Living Language.
Post, A. A. (1890) Comprehensive Volapük Grammar, Mattapan, MA: A. A. Post.
Salo, D. (2004) A Gateway to Sindarin, Salt Lake City, UT: University of Utah Press.
Stockwell, P. (2006) ‘Invented languages in literature’, in K. Brown (ed.) Encyclopaedia of Language
and Linguistics, 2nd edn, Oxford: Elsevier, pp. 6–10.
Swadesh, M. (1952) ‘Lexicostatistic dating of prehistoric ethnic contacts’, Proceedings of American
Philosophical Society, 96: 452–63.
Swadesh, M. (1955) ‘Towards greater accuracy in lexicostatistic dating’, International Journal of
American Linguistics, 21: 121–37.
Turner, R., and Nicholas, N. (2002) Lojban for Beginners. Available online at http://www.tlg.uci.
edu/~opoudjis/lojbanbrochure/lessons.paperback.pdf [accessed 30 October 2014].
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9
Creativity and interdiscursive
performance in professional
communication
Vijay K. Bhatia
Introduction
Jones (2012: 1) very aptly asks: ‘Does creativity reside in texts . . . or does it reside in people?’
He continues:
Most studies in the humanities, in literary and art criticism, have taken an almost exclu-
sively product based approach to creativity . . . While some have sought to contextualize
creative works in their social or historical contexts or to glean from them evidence of the
workings of the artist’s mind, the starting point has nearly always been the text.
(Jones, 2012: 1)
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Creativity and interdiscursive performance in professional communication
I have discussed elsewhere some aspects of appropriation of such resources (both text-
internal, as well as text-external) in corporate disclosure reports (Bhatia, 2008) to achieve
their corporate objectives, as well as their ‘private intentions’, and also in international
commercial arbitration contexts leading to the interdiscursive colonisation of arbitration
practices by litigation practices (Bhatia, 2012). In this chapter, I would like to take the
argument further by claiming that, often, this kind of appropriation is meant to achieve
interdiscursive creativity in the authors’ writing, which essentially helps them to give
effect to relatively novel forms of generic constructs in response to not-so-conventional
situational contexts. However, before considering this aspect of creativity in professional
discourse, I would like to give a brief account of the nature and function of ‘intertextuality’
and ‘interdiscursivity’ in professional discourse, which, within the framework of critical
genre theory, I view as interdiscursive performance (Bhatia, forthcoming).
We can begin by assuming that intertextuality refers to the use of prior texts transforming
the past into the present (Bakhtin, 1986; Foucault, 1981; Kristeva, 1980). Interdiscursivity,
on the other hand, refers to more innovative attempts to create various forms of hybrid and
relatively novel genres by appropriating or exploiting established conventions or discoursal
resources associated with other genres and professional practices. Interdiscursivity thus
accounts for a variety of discursive and professional practices, often resulting in ‘mixing’,
‘embedding’, and ‘bending’ of generic norms in specialised contexts (Bhatia, 1995, 1997,
2004). Interdiscursivity thus can be viewed as appropriation of semiotic resources (which
may include textual, semantic, sociopragmatic, and generic) across any two or more levels
of discourse realisation – especially, those of genre, professional practice, and disciplinary
or institutional cultures (see Bhatia, 2010a, for a detailed account). Appropriations across
texts thus give rise to intertextual relations, whereas appropriations across professional genres,
practices, and cultures constitute interdiscursive relations.
One of the most interesting aspects of such restructuring of discourse boundaries is that,
more often than not, such restructuring can be viewed as a key interdiscursive resource for
creativity, which, I would like to claim, is primarily responsible for the versatility in genre
construction in professional discourses.
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Let me give a brief account of what I consider crucial for interpreting interdiscursivity as
appropriation of generic resources. As I pointed out earlier (Bhatia, 2010a), interdiscursivity
refers to the appropriation of the text-external generic resources, which are primarily of three
kinds, that make a particular genre possible (Bhatia, 2004):‘discursive practices’; ‘discursive
procedures’; and different manifestations of ‘professional cultures and identities’, including
professional, organisational, institutional, and disciplinary, as well as ethnic and national
identities, to name a few.
Discursive practices, on the one hand, are essentially the outcome of specific discursive
procedures; on the other hand, they are embedded in specific institutional cultures, and realise
various forms of identities – professional and institutional, as well as individual. Discursive
practices also include factors such as the choice of a particular genre to achieve a specific
objective, and a set of appropriate and effective modes of communication associated with a
specific genre. Discursive procedures are related to factors associated with the characteristics
of participants who are authorised to make a valid and appropriate contribution, and include
participatory mechanisms, which determine what kind of contribution a particular participant
is allowed to make and at what stage of the genre construction process, and the other contrib-
uting genres that have a valid and justifiable input to the document under construction. Both
of these factors, discursive practices and discursive procedures, inevitably take place within
the context of typical disciplinary, institutional, and professional cultures, which validate a
particular genre and establish sociocultural identities.
It is important to note here that interdiscursivity functions essentially across discursive
events and is often based on shared generic or contextual characteristics across two or more
discursive constructs; hence some understanding of these shared features is a necessary
condition to an adequate understanding of the new construct. Although interdiscursivity has
been viewed as a function of appropriation of generic resources across various kinds of
contextual boundaries and across genres, such as professional practices, professional identi-
ties, and cultures (see, for details, Bhatia, 2004, 2010a, 2012), in addition to these forms
of appropriation it is also necessary to identify at least two other forms of management
of discursive resources: the management and manipulation of ‘discursive space’ (Bhatia,
2014); and the exploitation of available ‘participant management systems’ (Bhatia, 2010b)
to meet professionally shared expectations and objectives, often by mixing ‘private inten-
tions’ and ‘shared objectives’, on the one hand, and meeting and invariably exploiting the
expectations of multiple audiences, on the other. It may also be pointed out that often these
appropriations, whether text-internal or text-external, discursively operate simultaneously
to realise the intended meaning and are often achieved through the rhetorical processes of
‘recontextualisation’, ‘reformulation’, ‘reframing’, or ‘resemiotisation’. The full range of
appropriations can be represented as in Figure 9.1.
Interdiscursivity, as discussed here, is thus an important function of how members of
professional communities participating in a specific discursive act – or, more appropri-
ately, genre – assume a variety of different roles to give expression to their discursive
actions. Consider a typical doctor–patient consultation, in which different discourses are
interdiscursively mixed to produce a hybrid of different discourses, consisting of the
patient’s narration of symptoms, the doctor’s diagnostic response to symptoms leading
to prescription of drugs, often including a set of instructions for the nurse, and then the
pharmacist’s attempt to turn prescription to medication (Jones, 2013). It may also include
the doctor’s advice and instructions, often incorporating reassurance about the patient’s
condition, all of them within the same sociopragmatic space. Thus, in addition to the
role of a specialist, collaborator, and mediator, the doctor also needs to facilitate mutual
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Hybridity
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• accounting discourse, which forms a major part of the annual report, duly endorsed and
certified by public accountants;
• financial discourse, in the form of what is conventionally known as the financial review
section of the report;
• public relations discourse, in the form of the chairman’s letter to shareholders, for
which public accounting firms do not take any responsibility; and
• legal discourse, which forms a major part of disclaimers, often necessary to comprehend
the full implications of the information disclosed in the report.
Obviously, the most important section of the annual report consists of the accounting infor-
mation, which essentially incorporates numbers displayed in the form of tables, graphs, and
calculations of various kinds. These numbers are originally proposed by the corporation,
and are then certified by public accountants to be true and honest representations of the prof-
its and losses of the company or corporation in question.
The financial discourse, on the
other hand, offers a review of the company’s performance based on the numbers certified by
the public accountants, although not certified by them. It is written by financial managers in
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the corporation, who generally offer the corporate view of the performance of the company,
apparently on the basis of the information included in the accounting section, to which they
often refer, albeit selectively. However, there may not always be any explicit relationship
between the two forms of discourse. They are positioned in the same interdiscursive space,
perhaps to give the impression that one is a true representation, or at least a reflection, of the
other, rather than an authoritative interpretation of the other. This strategic appropriation or
manipulation of interdiscursive space is meant to project a positive impression in the minds
of various stakeholders.
The third kind of discourse, which most readers can understand, is the chairman’s state-
ment, which, in reality, is nothing more than public relations discourse, giving the predictions
and projections based on the company performance in the reporting year. Once again, it can
be considered at least twice removed from the reality of the accounting discourse, but is
generally believed to be based on the certified numbers given elsewhere in the annual report.
It is interesting to note that the accounting discourse, which is accessible only to insiders,
is strategically appropriated and recontextualised to create the financial discourse, which is
relatively more accessible than the former. Since the two are put together and there are fre-
quent references to accounting information, the readers are likely to get the impression that
the financial discourse must be a true interpretation of the accounting discourse. However, it
is likely that any such ‘resemiotisation’ (Iedema, 2003) of the accounting information may
not necessarily be a consistent and true representation of the statistical information, and may
even lead to varying interpretations, but the reader is less likely to question if the two sec-
tions share the same discursive space. The financial review therefore is a resemiotisation of
a ‘convenient selection’ of the accounting discourse meant for those corporate stakeholders
who do not have either enough expertise or time to understand the full implications of the
accounting discourse. There is an expectation that this section of financial discourse will take
into account the main features of the annual report, and there is also an expectation that there
will be an adequate degree of referential help available for the reader to go through relevant
sections of related textual and numerical information.
Let us consider the discourse of public relations, mentioned briefly above. This discourse,
of course, is a further resemiotisation of the earlier discourses, and is meant to reassure
stakeholders that the performance of the company is reasonably strong and the future seems
even better than the past. There are a few references to facts and figures, which form an
integral part of the two earlier discourses, and most of the estimations and predictions are
based on impressions and hopes of the chairman. The three discourses, which are taken from
the same annual report of a public listed company, are placed in a particular order within
the discursive space of the same corporate document, co-constructing the intended meaning
and serving a rather typical corporate objective of informing stakeholders, as well as public
monitoring authorities, about the performance of the company in the preceding year, while at
the same time giving a rather positive impression of the company’s performance to its share-
holders in order not to precipitate an undesirable downward trend in share price movement.
The three discourses also vary considerably in terms of the technicality and complexity
of information, but the most interesting aspect of such reports is that it is the technically
complex accounting discourse that has the maximum amount of credibility, in that it is this
discourse that is certified by the public accounting firms. As the discourses become less
technical, they become less credible, because they reflect only partially the realities of the
certified accounting discourse as they are successively recontextualised.
The three discourses thus tend to serve two very different purposes: the accounting
discourse and, to a lesser degree, the financial discourse tend to report accurately, on the
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basis of figures and a recontextualised selection of these, the corporate performance in the
preceding year; the chairman’s letter is meant to promote a positive image of the company
to its shareholders in order to sustain their confidence in future corporate performance. All
of these discourses are products of very different corporate practices: one centrally located
in the conventional and legally required practice of auditing corporate results; the other,
an instance of marketing and public relations practice to promote the interest and image of
the company. However, the three discourses are strategically placed in the same document,
thus establishing an interesting interdiscursive relationship. The real motivation for plac-
ing these discourses within the boundaries of the same corporate annual report is that such
interdiscursive proximity is likely to lend marketing and public relations discourse the
same factual reliability, and hence credibility, that is often presupposed based on the use of
numerical data in accounting discourse. The public relations discourse, on its own, is likely
to be viewed by the intended audience of shareholders as a promotional effort, but when
it is placed in the context of the accounting discourse, it is likely to raise the legitimate
presupposition that it may be drawing its conclusions from the accounting numbers, which
have been certified by a public authority and accepted by the controlling government agen-
cies. Many of the minority shareholders, the numbers of which have increased considerably
in recent years, often lack expertise, and sometimes even the linguistic skills, to fully
understand the implications of the accounting or even the financial discourse in the annual
report, but when they see the chairman’s letter to shareholders in the same report, which is
‘assumed’ to be based on the accounting data, they are likely to take at least some of the
predictions and speculative statements in the letter rather more seriously than otherwise.
Nevertheless, stock exchanges and other public monitoring bodies everywhere have listing
rules that contain specific provisions to protect minority shareholders, ensuring that they are
given sufficient information through ongoing disclosures to make informed decisions on their
investments. Baker & McKenzie, in its April 2002 ‘Corporate Alert’, cites an interesting case
from Australia, GPG (Australia Trading) Pty Ltd v GIO Australia Holdings Ltd [2001] FCA
1761], in which a shareholder successfully sued GIO for losses for publishing a misleading
or deceptive notice in relation to corporate disclosures. Corporations, for their part, guard
against any possible (intended or unintended) overestimations, unsupported predictions, or
speculative statements in their public relations discourses, and often include yet another form
of discourse that is popularly known as the ‘legal disclaimer’, which essentially disclaims all
that is claimed in the annual report. Every claim made in the corporate disclosure documents
is systematically disclaimed through typical legal statements along the lines that:
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Creativity and interdiscursive performance in professional communication
Public
Accounting Financial relation
discourse discourse discourse
Legal
disclaimer
It is obvious from this discussion that, by using interdiscursivity as a resource with which
to understand creativity in corporate and other professional genres and practices, what we
are doing is demystifying professional intentions and motivations as part of professional
practices – that is, we are attempting to investigate authors’ mindsets, as evidenced by their
interdiscursive appropriations.
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Vijay K. Bhatia
News report,
review, or
advertorial
Advertisements
of each of these accounts is typical of advertisements (Bhatia, 2004), including some of the
crucial rhetorical moves, such as ‘anticipating the needs of potential customers’, ‘offering
of service’, ‘essential detailing of the service’, ‘endorsements’, subtle indications of how
to ‘seek further information’, and ending with ‘cost and incentives’. Strange though it may
seem, but perfectly justifiable in this case, the ‘endorsement’ is by one of the instructors
of the company itself, leaving one to wonder whether it is really an advertorial or a spon-
sored feature. The rhetorical structures of the other two service providers included there are
almost exact repetitions of this one. The first can be illustrated as in Table 9.1.
Potential customers’ needs Most primary school students nominate arts and craft as their favourite
subject. The sense of freedom and self-expression the subject provides
offers a welcome respite from daily demands of school.
Offering services During the summer holidays there is a wide variety of courses to choose
from catering to children’s artistic interests.
Endorsements “Summer time is holiday season, and it’s a great time for children
to explore different artistic talents away from their normal school
studies,” says Aidan Wong, an instructor at the Pottery Workshop.
“Working with clay, in particular, is a good choice for them to express
themselves and create whatever they want.”
Soliciting response The Pottery Workshop (www.potteryworkshop.com.cn) in Central runs
a summer holiday workshop on ceramic hand-building techniques. All
works made during the course will be functional and artistic.
Details of the service The programme involves four two-hour sessions for children aged six
and above. Classes are held on Tuesday and Thursday mornings
throughout July and August.
Costs and incentives The cost is HK$1,800, including tuition, equipment and materials.
However, there are additional costs for firing finished works
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It is interesting to note that the editorial or a sponsored feature – whatever we decide to view
it as – is, in fact, a sequence of three mini-advertisements, all with a consistent rhetorical struc-
ture of a typical advertisement, with endorsements from specialists who sometimes represent
the individual companies in question. It is a bit difficult to say if it is a paid feature, in which
case it would be a subtle way of buying advertising space, with the ‘voice’ of the newspaper
promoting the individual products: a very clever and ingenious way of exploiting discursive
space in order to express what I have called ‘private intentions’ within the ‘socially accepted
communicative purposes’ (Bhatia, 1995: 1). ‘Advertorial’, though a relatively recent form of
‘mixed genre’ (Bhatia, 2004), has a ‘socially accepted communicative purpose’ of reviewing
a product or service, but in this case it incorporates ‘embedded advertisements’, thus quite
creatively exploiting available discursive space on the top half of the newspaper page.
Other instances of such popularisations can be found in brochures and leaflets issued by gov-
ernments for information regarding health policies and guidelines on new legislation, among
many other such efforts. Popularisations are therefore by far the most prolific category in
which we find large-scale appropriations of disciplinary discourses for information or enter-
tainment purposes in public space. Examples include, among others: business and scientific
reports in newspapers and magazines for lay readers; sports reports in newspapers; science
fiction, both in print form, and on television and in film; travel-related television programmes;
television programmes and films on law and medicine, such as hospital dramas, and detective
and forensic dramas; and documentaries and dramas based on real-life events. All such forms
are creatively reconceptualised (and often recontextualised, or resemiotised) hybrid forma-
tions that seem to serve a mixture of different, but related, communicative purposes.
Concluding remarks
In this chapter, I have made an attempt to explore the nature of the creative exploita-
tion of interdiscursive sociopragmatic space, claiming that interdiscursivity is central to
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Vijay K. Bhatia
Related topics
creativity and discourse analysis; everyday language creativity
Further reading
Bhatia, V. K. (2010a) ‘Interdiscursivity in professional discourse’, Discourse and Communication,
4(1): 32–50.
This article gives a comprehensive account of interdiscursive appropriation in professional genres.
Candlin, C. N., and Maley, Y. (1997) ‘Intertextuality and interdiscursivity in the discourse of alterna-
tive dispute resolution’, in B.-L. Gunnarsson, P. Linnel, and B. Nordberg (eds) The Construction of
Professional Discourse, London: Longman, pp. 201–22.
This is a very useful account of some aspects of interdiscursivity in spoken discourse.
Fairclough, N. (1993) ‘Critical discourse analysis and the marketization of public discourse: The
universities’, Discourse and Society, 4(2): 133–68.
This article gives an insightful account of discoursal hybridity in public discourses.
Gotti, M. (2014) ‘Reformulation and recontextualization in popularization discourse’, Ibérica, 27:
15–34.
This article looks at the process of discourse popularisation of disciplinary discourses.
References
Bakhtin, M. M. (1986) Speech Genres and Other Late Essays, Austin, TX: University of Texas
Press.
Bhatia, V. K. (1993) Analysing Genre: Language Use in Professional Settings, London: Longman.
Bhatia, V. K. (1995) ‘Genre-mixing and in professional communication: The case of “private intentions”
v. “socially recognised purposes”’, in P. Bruthiaux, T. Boswood, and B. Bertha (eds) Explorations
in English for Professional Communication, Hong Kong: City University of Hong Kong, pp. 1–19.
Bhatia, V. K. (1997) ‘Genre-mixing in academic introductions’, English for Specific Purposes, 16(3):
181–96.
Bhatia, V. K. (2004) Worlds of Written Discourse: A Genre-based View, London: Continuum
International.
Bhatia, V. K. (2008) ‘Genre analysis, ESP and professional practice’, English for Specific Purposes,
27(2): 161–74.
Bhatia, V. K. (2010a) ‘Interdiscursivity in professional discourse’, Discourse and Communication,
4(1): 32–50.
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Creativity and interdiscursive performance in professional communication
Bhatia, V. K. (2010b) ‘Drafting legislative provisions: challenges and opportunities’, The Loophole,
December, pp. 5–15.
Bhatia, V. K. (2012) ‘Critical reflections on genre analysis’, Ibérica, 24: 17–28.
Bhatia, V. K. (2014) ‘Managing interdiscursive space in professional communication’, in J. Bateman,
V. K. Bhatia, and P. Evangilisti (eds) Evolution in Genres, Bern: Peter Lang, pp. 95–113.
Bhatia, V. K. (forthcoming) Critical Genre Analysis: Investigating Interdiscursive Performance in
Professional Practice, London: Routledge.
Calsamiglia, H., and van Dijk, T. A. (2004) ‘Popularization discourse and knowledge about the
genome’, Discourse Society, 15(4): 369–89.
Candlin, C. N., and Maley, Y. (1997) ‘Intertextuality and interdiscursivity in the discourse of alterna-
tive dispute resolution’, in B.-L. Gunnarsson, P. Linnel, and B. Nordberg (eds) The Construction of
Professional Discourse, London: Longman, pp. 201–22.
Fairclough, N. (1992) Discourse and Social Change, London: Polity Press.
Fairclough, N. (1993) ‘Critical discourse analysis and the marketization of public discourse: The
universities’, Discourse and Society, 4(2): 133–68.
Fairclough, N. (1995) Critical Discourse Analysis: The Critical Study of Language, London: Longman.
Featherstone, M. (1991) Consumer Culture and Postmodernism, London: Sage.
Foucault, M. (1981) The Archaeology of Knowledge, New York: Pantheon Books.
Gotti, M. (2014) ‘Reformulation and recontextualization in popularization discourse’, Ibérica, 27:
15–34.
Iedema, R. (2003) ‘Multimodality, resemiotization extending the analysis of discourse as multi-semiotic
practice’, Visual Communication, 2(1): 29–57.
Jones, R. H. (2012) Discourse and Creativity, Harlow: Pearson.
Jones, R. H. (2013) Health and Risk Communication: An Applied Linguistic Perspective, London:
Routledge.
Kristeva, J. (1980) ‘Word, dialogue and novel’, in J. Kristeva (ed.) Desire in Language, Oxford:
Blackwell, pp. 64–91.
Swales, J. M. (1990) Genre Analysis: English in Academic and Research Settings, Cambridge:
Cambridge University Press.
Swales, J. M. (1998) Other Floors, Other Voices: A Textography of a Small University Building,
London: Lawrence Erlbaum Associates.
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10
Discourses of creativity
Camilla Nelson
Introduction
Historians of the creative idea have traditionally taken what might be called a substantialist
approach to their object of study, so that creativity has been quite commonly understood as
an ideal or essential reality that exists outside and beyond the cultural and historical field.
The result of this approach is that the manifold possibilities of history have been progres-
sively reduced to a narrative about approaches to, or departures from, this fixed constant, so
that the task of the historian becomes one not of theorisation, but of identifying and describ-
ing pure and unadulterated forms of the idea, or unmasking corrupt and alienated versions
(Nelson, 2010). Hence, for example, even an exemplary scholar such as Raymond Williams
(2001: 37), in his influential histories of the creative idea, is concerned to designate the suc-
cessive historical figures who have come ‘very near to’ apprehending creativity for what it
really is, or else depart from this extrahistorical constant in ways that Williams (1985: 84)
judges to be ‘confusing and at times seriously misleading’.
The effects of substantialism are particularly apparent in histories that implicitly or
explicitly rely on the secularisation hypothesis as a form of explication (Blumenberg, 1985:
3–123). In these histories, creativity is framed as a secularised form of a once-religious idea,
with its earliest articulations most commonly evidenced in the tradition of the divine anal-
ogy, a Western literary tradition that represented nature as God’s art and saw human art as
an activity that paralleled nature (for example Conrad, 2007; Dawson, 2005; Tatarkiewcz,
1980; Weiner, 2000; Williams, 1985: 84). However, although these histories broadly support
the idea of creativity as a secularised form of the sacred, they seldom agree on the specific
nature of the tradition that was secularised. Modern works tend to place emphasis on the
advent of romanticism, drawing on M. H. Abrams’ (1971) theory of a dramatic ‘revolution
in epistemology’ at the turn of the eighteenth century that engendered a new understanding
of imagination, commonly citing Coleridge’s theistic vision of imagination as central to this
process, for example. Others are committed to tracing a more gradual intellectual lineage that
stresses romanticism as a significant turning point in a much longer narrative that stretches
back to the Renaissance (as argued by Williams, 1985, 2001), to Francis Bacon (as argued by
James Engell, 1981), or to the Greeks and Romans (as argued by Paul Oskar Kristeller, 1983;
Milton C. Nahm, 1947, 1956; Wladislaw Tatarkiewcz, 1980). Indeed, in more recent times,
inspired by the interest in creativity engendered by the creative industries phenomenon, the
goal of much contemporary scholarship has been to trace the lineage – and, in this sense, the
legitimacy – of the creative idea as far back as possible, so that a vague, although allegedly
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unbroken, line appears to stretch from Tony Blair’s ‘Cool Britannia’ right back to Genesis
(for example Negus & Pickering, 2004; Pope, 2005; see also a parallel American example,
Weiner, 2000). Further layers of legitimacy are often added by reference to non-Western
traditions, specifically by collecting the creation myths of other cultures. Although this has
obviously been done with the laudable intention of disrupting Western ideologies and belief
systems, there is a serious and persistent problem in the way in which the Western tradition
continues to frame and organise the analysis, resulting in a further buttressing of Western
ideologies, rather than the opposite (see, for example, Pope, 2005; Weiner, 2000). It should
also be noted that the religious or quasi-religious framing of the narrative excludes much
attention being paid to the tradition of the rational artist, which is as old as, if not older and
more venerable than, that of the inspired. It glaringly omits the craft-based traditions that
dominated Western art for the 2,000 years prior to the modern era – the era in which art and
craft were suddenly produced as antonyms for one another (Nelson, 2010: 54–64; Shiner,
2003). In histories with epic time spans ranging from 2,000–4,000 to as much as 40,000
years, a small handful of artists have been picked out to serve as ‘heralds’ or ‘harbingers’ for
a contemporary form of the creative idea – while numerous others are either marginalised
or dispensed with altogether. Indeed, some of these works on the creative idea would better
be regarded not as histories, but as ‘myths of origin’ that have been designed to progress a
variety of institutional agendas in the present.
A central problem with the religious or quasi-religious framing of the historical narrative
(whether presented as a casting off of religion or a repurposing of religion to other ends) is
that it produces a particular form of the creative idea as something mysterious, inspired, and
rare. The consequence is that certain artefacts of human creativity, such as art and literature,
are regularly elevated by bestowing upon them the mantel of the secularised form of the
sacred. Conversely, everyday forms of creativity are constructed as debased or pale imita-
tions of what were apparently once great, lofty, or spiritual constructs (‘big “C” Creativity’
as opposed to ‘little “c” creativity’, for example). Hence, even Raymond Williams (1985: 84)
argued, in his influential study of the creative idea, that:
difficulty arises when a word once intended, and often still intended, to embody a high
and serious claim, becomes so conventional, as a description of certain types of general
activity, that it is applied to practices which, in the absence of the convention, nobody
would think of making such claims.
He goes on to infer that creative writing groups are therefore engaged in intrinsically
debased forms of literature and that advertising ‘creatives’ are engaged in intrinsically debased
forms of art.
Using the tools of discourse analysis, this chapter explores the possibilities inherent in stud-
ying the emergence of the concept of creativity not as an extrahistorical or substantial ideal,
but in the material context of its shifting historical conditions of formation. In understanding
creativity as a discursively constituted object, the chapter is concerned to draw attention to
the numerous distortions involved in taking what is essentially a modern variant of the crea-
tive idea and projecting it backwards over time, constructing teleological histories. Instead,
it draws attention to the myriad ways in which the creative idea has been understood – as
expression, self-realisation, production, revolution, life, adaptation, and reconstruction, for
example (Joas, 1996: 70–144) – as well as the ways in which the creative idea has, at various
points in its history, been shaped by the ideologies of individualism, the ideas of democracy
and freedom, the rise of capitalism, and indeed the foundations of the modern nation state.
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Indeed, the problem is perhaps more complex than the need to understand that ideas are
not substantial, extrahistorical, essential, or eternal. There is also a need to account for the
elements of contingency in their historical formation. In order to better understand the his-
tory of the creative idea, the critic may therefore be forced to look beyond traditional models
of the history of ideas towards a history of language and discourse. This invariably entails a
willingness to examine a second order of discourse – that is, to trace the categorical ground
that gives rise to a particular order of discourse in order to identify the shifts and fractures as
they make way for new arrangements of thought. This is particularly useful in attempting to
trace the history of an idea such as creativity, which rarely takes coherent form in the work of
a single ‘great philosopher’, although it finds differential expressions in works of philosophy
in diverse cultural and intellectual traditions from Herder to Marx, and Nietzsche to Dewey.
Just as significantly, the creative idea is also to be found scattered across the language of
popular culture, and these rhetorical asides, prolix flourishes, angry and enraged demands,
or half-articulated yearnings, while they are seldom worked out into an enduring or even
coherent system, nevertheless collectively warrant more attention.
This chapter will argue that the creative idea, as a specifically human possession, was
profoundly shaped less by religious or artistic, than by natural scientific, ideas about crea-
tion. It will argue that although the creative idea has received its most characteristic – or,
at least, commonest – expression in art, the origins of the idea do not in fact lie in the
discourse of art. Rather, the modern Western form of the creative idea as a specifically
human possession is better understood as the product of new forms of thought entering
into the wider cultural field from the emergent biological and life sciences, finding differ-
ential expression in diverse social fields both within and beyond the world of art, including
politics, commerce, economics, and, most significantly, education. It argues that Western
developments in the discourse of creativity therefore need to be explained not purely in
terms of shifts within discourses internal to art, but also in terms of developments within
the natural sciences themselves.
In so doing, the chapter draws on a methodology that understands creativity not as an
innate human attribute, but as a discourse (Foucault, 1984: 76–100, 1994) – that is, as the
product of certain groupings of statements that are enacted in a specific cultural context
or contexts, drawing their logic from a set of common-sense assumptions to produce
commonly accepted forms of knowledge. It attempts to analyse how such statements
gravitate towards certain categories, concepts, and themes, and to examine what has been
written and said on those subjects in order to analyse how they give rise to norms, values,
and conventions. It attempts to understand how flows of knowledge and discourse give
rise to material institutions and practices, through which they are regulated and perpetu-
ated. In this way, the chapter is especially concerned to draw attention to what is deeply
cultural in what might be called the ‘becoming biological’ of the creative idea – a term
that is here used to designate a process whereby an idea that evolves historically at the
end of the eighteenth century is, by the outset of the twentieth century, rendered a ‘natural’
attribute of the human person.
Historical perspectives
The advent of mass digitisation projects across the arts and sciences has allowed scholars to
examine how words and statements move across texts located in theatres of intellectual and
cultural life that were previously too far apart to have attracted attention. Figure 10.1 shows
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the results of a Google Ngram search, a lexical graphing tool that charts the yearly count
of selected letter combinations found within the 5.2 million books digitised by Google,
plotting on a chart those results for which there are more than forty appearances a year,
averaged against the number of books printed. There are, of course, numerous dangers to
be encountered in this kind of word searching. Not only can optical recognition tools be
unreliable, but also the more significant problem is that the contents of digital archives
have been preselected. In the case of Google Books, they reflect the cultural prejudices
of generations of academic librarians, whose biases have traditionally favoured the edu-
cated elites. The featured search excludes vernacular writings, such as diaries and letters.
It excludes ephemera, such as newspapers and pamphlets (although these can be located
in other richer archives). It also excludes all of the important aspects of language that do
not inhere in printed words. Nevertheless, the results of a Google Ngram search for the
English words ‘creative’ and ‘creativity’ are suggestive. There is no sudden proliferation
of the term in the eighteenth century; rather, the word appears to gain traction in the mid-
nineteenth century, a period much derided by Romantic scholars, although French historian
Jules Michelet (1860: 385) self-consciously styled it un âge créateur (‘a creative age’).
Most obviously, Figure 10.1 demonstrates a massive increase in usage in the twentieth cen-
tury, giving much encouragement to the handful of scholars who have speculated that the
creative idea is largely a creature of heroic modernism. At the very least, the results of the
n-gram search tend to support the suspicion that the history of the creative idea was cultur-
ally overdetermined in the modern period – that this is the period in which the discourse
becomes codified.
However, what an n-gram cannot show is how the logic of a word shifts. An analysis of
frequency reveals nothing about the ways in which words change their meaning (the fea-
tured data does not even filter for religious usage, for example). Moreover, the patterns of
usage and the fields in which they occur are obscured. It is only a closer contextual analysis
that can reveal that, despite the regularity of its appearance, the word ‘creative’ is often used
to stipulate different things. Phrases such as ‘creative power’, ‘creative force’, and ‘crea-
tive energy’ tended to hold sway in the nineteenth century before dissipating. Moreover,
0.00400%
0.00350%
Creative
0.00300%
0.00250%
0.00200%
0.00150%
Creativity
0.00100%
0.00050%
0.00000%
1700 1750 1800 1850 1900 1950 2000
Figure 10.1 Use of the English terms ‘creative’ and ‘creativity’ between 1700 and 2000,
measured by a Google Ngram
Source: http://www.google.com [accessed 10 August 2014]
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these expressions are mobilised within the context of a surprisingly wide range of social
activities – unexpectedly, particularly in newspaper archives, which do not appear on the
featured graph, phrases such as the ‘creative power of railways’, the ‘creative power of
steam’, the ‘creative power of capital’, and ‘creative industry’ are not atypical usages, for
example. Indeed, in the course of the century, the word ‘creative’ not infrequently appeared
divorced from any kind of artistic practice. Disraeli, for example, despaired that ‘great’ art
would ever be made in Britain, despite the ‘multifarious pursuits of this active and creative
people’ (Art Journal, 1862: 122). Henry Adams (1889: 124–5) penned a similar lament with
respect to the ‘vast creative power’ of the American people, which had led to improvements
in wool carding and cotton printing, but not to the production of art. Indeed, the merging of
a vocabulary of creative powers with industrial imperatives was not an uncommon feature
of the educational field, with authorities as far away as Australia being asked to recognise
the ‘true nature and place of the industrial instinct, as the creative instinct’ (Sydney Morning
Herald, 1888), although the most systematic working out of this idea is perhaps found in
the growth of the kindergarten movement in the United States (Nelson, 2014). Indeed, even
Matthew Arnold (1865: 4), who undoubtedly leaned towards art as his organising princi-
ple when he proclaimed that ‘a free creative activity, is the true function of man’, avowed
that men (seldom women) ‘can have [creative activity] in well doing, they may have it in
learning, they may even have it in criticising’. Indeed, in one of the small handful of early
English usages of the noun ‘creativity’, academic Charles Henry Pearson (1859: 260), in
transliterating from the French, also divorces the creative idea from the idea of imagination,
declaring that the English possessed ‘eminently the deductive and comparative faculties,
and the organ of creativity’, in comparison to the French, who were ‘imaginative’, but not
‘creative’. In short, the word ‘creative’, as it was used in the nineteenth century, is not con-
sistent with the logic of high art, but with a popular scientific vocabulary of creative forces,
powers, ethers, and energies that people used to describe a sense of agency in the rapidly
changing world around them.
Secondly, it is noticeable that the cultural proliferation of the abstract noun ‘creativity’
is much later than most critics would have anticipated. Although my own research demon-
strates that the word ‘creativity’ appears irregularly in a range of books and letters stretching
back to the 1850s (the Oxford English Dictionary cites a coinage of 1875: Burchfield &
Simpson, 1989), it is only in the mid-twentieth century that the abstract noun occurs with
enough frequency to be plotted on the n-gram graph (Figure 10.1). In many ways, the word
‘creativity’, when it proliferates in the mid-twentieth century, appears less as an extension
of the nineteenth-century term, in as much as it gains intelligibility measured against vari-
ous post-Darwinian ways of thinking about natural creation (as featured in the work of John
Dewey, for example), than it does in ways that are then heavily recodified via a heady mix
of politics, psychology, art practice, and education, and the institutional imperatives of the
American cold war context. This is one of the principal contexts in which, as historians Jamie
Cohen-Cole (2009) and Michael Bycroft (2012) have cogently argued, scientists constructed
a new psychological theory of creativity ‘directly on top of a foundation of popular wisdom’
(Cohen-Cole, 2009: 241). Indeed, according to the Trésor de la langue francaise (‘Treasury
of the French Language’) (Imbs & Quemada, 1971–94: 444) and Historisches Worterbuch
der Philosophie (‘Historical Dictionary of Philosophy’) (Ritter, Gründer, & Gabriel, 1971:
1195), the French and German nouns créativité and Kreativität, although they have strong
roots in continental European traditions, are actually Anglo-American derivatives that were
exported back to Europe via the discipline of psychology, along with a new set of cultural
frameworks in the mid-twentieth century, whereby they displaced earlier European terms.
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and birth. Lamarck’s was one of the many scientific narratives emerging in this period that
struck out against the biblical account of creation. The idea of spontaneous generation and
change – of a self-sufficient, self-propelling nature capable of creating and transforming
itself without God or autocracy – ushered in a new understanding of the world in which
change and potential for change came to be considered both natural and normal, and the
creative idea as a specifically human possession became thinkable – and, indeed, familiar.
Put more cautiously, the creative idea expresses an intellectual transformation that is
congruent with the emergence of a new set of biological theories that flourished from the
late eighteenth century onwards. However, in surveying the diverse scientific theories of the
time, including not only Lamarck, but also Erasmus Darwin, Goethe, Blumenbach, Mesmer,
and many others, it also becomes clear that the emergence of the creative idea cannot be
equated with any simple or straightforward shift from a static to a dynamic view of nature,
because the principal theoretical constructs that made up the field of the natural sciences –
including ‘life’, ‘evolution’, and ‘organism’, for example – were themselves undergoing
a series of transformations. There were vitalist and epigenetic models of creation, dualist
and non-dualist, materialist and idealist. If there were a similarity that they shared, it was
that they collectively seemed to represent a struggle to insert a dynamic element within a
preformist matrix of thought (that is, a struggle to escape the idea that everything that a
creature, and indeed the wider world, was to become had been pre-programmed by God at
creation). Natural philosophers wanted to account for the changes that were observable in
the world around them, but also wanted to account for change within a structure that would
continue to allow nature to be elaborated as an orderly system.
Consider Coleridge, for instance. Despite its dramatic appeal, the vision of nature as
matter in motion represented a troubling vision to this increasingly conservative poet, phi-
losopher, and theologian. For Coleridge, what was popularly coming to be called ‘creative
power’ was not a law of nature, but a principle of religion. He readily perceived the need
to understand matter as energy in dynamic flux, but he was equally outraged by the new
breed of scientists (the word was coined in 1834) who were attempting to explain creation
as a kind of spontaneous or self-sufficient growth. For Coleridge, Lamarckian zoology,
Geoffroyan anatomy, Erasmus Darwin, and what he fatefully called ‘Darwinising’ were the
‘diseased fruit’ of the French Revolution. The idea of self-evolving or creative powers being
ascribed to nature gave sanction to further diseased ideas, up to and including an atomistic
and democratic vision of society in which, as Coleridge (1959: 757) wrote in a letter in
1817 to Lord Liverpool, every ‘atom has an equal claim with every other atom’. In short,
the ‘plebification’ of science in the ‘lecture bazaars’ of dissenters at the nascent University
of London and in the medical schools, with their ‘ouran Outang theology’, was sowing the
seeds of popular revolt (Coleridge, 1830: 68–70).
It was not a coincidence that Coleridge produced his own counter-evolutionary theory of
life, fashioning an effective transcendental alternative to evolutionary materialism, which,
for many years, successfully circumscribed British advances in biology within a conservative
frame (Desmond, 1989, 2002). It was also not a coincidence that the forms of ideation found
in these scientific works provided the philosophical framework for Coleridge’s famous the-
ory of imagination (Levere, 2002), which, since the mid-twentieth century, has been rendered
central in Anglo-American histories of the creative idea (for example Engell, 1981; Williams,
2001). Coleridge’s famous statement on the ‘Primary Imagination’ is, like his ‘Theory of
Life’, derived from Christian Platonism and defined in strictly religious terms as the ‘living
Power and prime Agent of all human perception, and as a repetition in the finite mind of the
eternal act of creation in the infinite I AM’ (Coleridge, 1817: 295). According to Coleridge,
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primary imagination operates as an innate ‘Idea’ – a mark of God’s grace – that organises the
flux of the world and brings coherence to otherwise chaotic sense impressions in the same
way as the ‘living Power’ of ‘Life’ organises matter in biology. It is a version of the creative
idea that is primarily theological and which valorises spirituality over materiality, stability
over change, synthesis and unity over multiplicity, and order, hierarchy, and harmony over
chaos, anarchy, and conflict. The same model was subsequently put to use in combatting the
move towards religious emancipation in Coleridge’s (1830) best-known work of political
philosophy On Church and State. It also occasioned his famous parting of ways with Words-
worth, whose empirical associative theory of imagination Coleridge relates directly to the
dangers of evolutionary biology. As Coleridge wrote in 1815 in the letter that signalled the
end of one of the great literary friendships of the century:
I understood that you would . . . have exploded the absurd notion of . . . Darwin, and all
the countless Believers – even (strange to say) among Xtians [Christians] of Man’s hav-
ing progressed from an Ouran Ooutang state – so contrary to all History, to all Religion,
nay, to all Possibility – to have affirmed a Fall in some sense
(Coleridge, 1959: 574–5)
The Christian narrative of the ‘fall of man’ tends to govern Coleridge’s version of the creative
idea (man, thus fallen, is forced to seek redemption in some transcendental region). Modern
forms of the creative idea tend to be governed by secular narratives of the ‘ascent of man’
(Bronowski’s 1973 documentary of the same name being a case in point). The pivotal posi-
tion that Coleridge holds in Anglo-American histories of the creative idea is perhaps better
understood as a product of what Tim Milnes (1999: 321) once called the ‘looking glass’
effect of Romantic theory, arguing that the tangled webs of Romantic thought have perhaps
proved too amenable to the need for ‘modern theory’s desire to see itself reflected there’. This
was a process perhaps begun in the dehistoricising impulses of I. A. Richards’ Coleridge on
Imagination, in which Richards (1935: 10) attempted to separate what he called a ‘relevant
psychology’ from what he called the ‘huge ill-assorted fabric of philosophic and theological
beliefs which is not, I think, a relevant part of it’. Later works systematically restyled roman-
ticism as the ‘dramatic revolution in art and ideas’ that set in motion the ‘modern cultural
phenomena of the avant-garde’ (Peckham, 1951, 1970: 25). In this respect, it is necessary
to acknowledge the layered ways in which these works sought to contribute to modernism’s
own narrative of legitimacy – legitimating the creative idea as an evolved form of romanti-
cism by demonstrating that, as Jonathan Culler (2001: 173) has perspicaciously argued with
respect to the works of M. H. Abrams, a ‘whole series of contemporary critical concepts,
including those that one had thought of as anti-romantic, had in fact been formulated by
Coleridge and other Romantic critics’.
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Siljander, Kivela, & Sutinen, 2012). It was perhaps Herder, more than any other philoso-
pher, who gave distinctive shape to what is now called the bildung tradition, and this is
one of the many reasons why Joas (1996: 70–144) gives Herder’s work pre-eminence in
his history of the creative idea. Indeed, Elias Palti (1999: 336–7) has argued that Herder’s
work anticipated the programme of science illustrated in novels such as Frankenstein by
several decades. Moreover, in considering the emergence of the creative idea in the field
of education, it becomes clear that the creative idea was also influential in the emergence
of the modern idea of the ‘self’ not as ‘organism’, but as ‘subject’ (Seigel, 2005: 332–60).
Herder’s work is distinctive for the way in which it constructs the creative idea in material
and anthropological, rather than transcendental or spiritual, terms. For Herder, nature – that
is, material reality – was the ground of physics, as well as metaphysics, of active and creative
powers. Human beings, according to Herder, were not innately endowed with the ‘faculty
of Reason’ as Kant would have it (or the ‘primary imagination’ as Coleridge reconceived
Kant); rather, man’s reason was destined to be developed – that is, cultivated, or rather self-
cultivated. Hence thought is neither abstract nor universal, but is the sum of the education of
man. Once again, Herder’s version of the creative idea is clearly derived from a preformist
scientific matrix into which he constantly struggled to insert a dynamic element, drawing
largely on the work of Albrecht Haller, from whose botanical and anatomical investigations
Herder derived his theory of Kraft, or ‘creative powers’ (Palti, 1999). Herder’s was a sys-
tem of thought in which a human organism worked out its own mode of being constituted
partly from a God-given ‘inner germ’ and partly from the environment in which it nurtured
itself. For Herder, bildung referred to a process of both unfolding and interaction, whereby
everything existed in a state of stretching and striving to become exactly what it was – to be,
in this sense, self-realised (self-realisation being a paradigm for the creative idea that retains
popularity to this day).
Herder’s (1772) version of the creative idea was perhaps most accessibly put forward
in his Essay on the Origins of Language, an essay in which he argued that philosophers
of language had hitherto ignored the practical workings of the human mind as it struggles
to understand and make use of words. According to Herder, thought takes place within,
and is structured by, language. Hence the ‘reflective’ consciousness, or ‘circumspection’,
that gives rise to language also transforms the inner life of human beings. For this reason,
thought is not abstract or culturally neutral, but is intimately bound up with the language
in which human beings are socialised and is shaped by a particular worldview. Although
Herder characteristically likened a human being to a ‘plant’ or a ‘tree’ – that is, to something
that ‘grows’ and can be ‘cultivated’ in an agrarian sense – he is also constantly at pains to
make it clear that human beings are not children of nature, but products of society. Indeed,
this emphasis on the socially constructed nature of language gives rise to a theme that domi-
nates the history of the creative idea well into the modern era – namely, the idea of a creative
individual linked by a common language to a common culture: an idea that was guided by
an apprehension of the creative functions of language as it was embodied not only in the
work of poets or writers, but also in the everyday language of the ordinary people who have
shaped – and continue to shape – that language.
In Herder’s hands, bildung came to embody a dizzying array of challenges to Enlightenment
rationality. Unusually for a clergyman, he argued that bildung could not be secured from
God or from the privilege of aristocratic birth, but only through the activation of individual
character. His philosophy was eventually to include the novel propositions that the genesis
of ‘creative’ human making lay in irregularity and chance, that the struggle against needs
and wants produces change, that the lack of knowledge produces innovation, and that the
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wrestling with error produces improvement. Creative energy – what he called Kraft, meaning
‘creative powers’ or ‘life force’ – was, according to Herder, a kind of undirected explosiveness,
containing productive consequences and constructive potential. Human beings are centres
of power, endowed with agency and creative capacity:
Whatever the influence of the [external] climate, every man, every animal, every plant,
has its own climate. For every living being absorbs all the external influences in a manner
peculiar to itself, and modifies them according to his organic powers.
(Herder, 2010 [1784–91]: 293)
Herder’s theory of artistic production was also significant for what might be called its
proto-democratic aspect. In the late eighteenth century, the idea that the ‘folk’ possessed a
culture – that the ‘folk’ were not a rabble or a mob, but a ‘people’ – had tremendous politi-
cal novelty. The emergence of the idea of a people’s culture also gave shape to the concept
of the nation: not a nation predicated on boundaries that had been drawn upon a map in
the wake of bloody wars or marriages between tyrants, but a nation conceived (in the lan-
guage of the natural sciences) as a ‘natural growth’. The bildung tradition was increasingly
articulated within a dynamic in which the self was created as a complement or catalyst to
the national, with varied political results. It was used in diverse ways to link the creative
idea to the idea of the nation and the national culture, entangling the creative idea with the
history of the modern nation state in ways which resonate to this day.
Herder’s ideas were not disseminated through his own works, but more often through the
reworking of his ideas in the books of others, and often in the works of those with whom
he was in disagreement (Arnold, Kloocke, & Menze, 2009; Forster, 2012). Humboldt, for
example, built on Herder’s ideas, but was interested in offering a more radical validation of
Kant’s idea of human freedom by giving reflective consciousness power over the material
world. Hegel also built on Herder’s ideas, but understood individual freedom to be realised
not through culture, but through ‘the State’. Marx famously turned Hegel’s work upside
down, stripping it of its abstractions (spirit does not make man; man makes spirit). But, for
Herder, freedom was an abstraction, and therefore a fiction. His philosophy sought not free-
dom, but a kind of limited spontaneity for individuals – a kind of creativity – that guaranteed
to each its own particular character.
However, despite the great subtleties of Herder’s philosophy, in terms of the creative
idea bildung was circumscribed by a notion of creativity within fixed limits: the possibility
of self-realisation was predicated on an idea of the individual unfolding within destiny.
To allow creativity to be radical and open-ended would require a reconfiguration of the
century’s most deeply held beliefs. This challenge came once again from the domain of
the natural sciences – this time in the guise of Charles Darwin. However, the impact of the
Darwinian revolution on diverse fields of knowledge, as Bowler (1988) has argued, was
somewhat delayed.
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game). This challenge was famously expanded by Adam Smith, whose articulation of the
principles of the division of labour, and the concepts of productive and unproductive labour,
gave currency to the belief that the wealth indeed could be ‘created’. This is a territory that
has been little explored. However, Mirowski (1994) has demonstrated the extent to which
biological metaphors were a shaping force in the works of Francois Quesnay, Adam Smith,
Alfred Marshall, Stanley Jevons, Karl Marx, and Joseph Schumpeter. Following this logic,
it may be possible to read the plethora of biological metaphors that flourished in political
economy as part of a wider struggle to insert a dynamic element into a ‘fixist’ view of nature.
Consider, for example, Malthus’ famous metaphor of the beggar at ‘nature’s feast’ who has
‘no claim of right to the smallest portion of food’:
At nature’s mighty feast there is no vacant cover for him. She tells him to be gone, and
will quickly execute her own orders, if he does not work upon the compassion of some
of her guests. If these guests get up and make room for him, other intruders immedi-
ately appear . . . The order and harmony of the feast is disturbed, the plenty that before
reigned is changed into scarcity; and the happiness of the guests is destroyed
(Malthus, 1803: 531)
This was the image that helped to make Malthus, as his biographer James Bonar (1885: 1)
put it, the ‘best abused man in Europe’. William Hazlitt, Percy Shelley, and even Robert
Southey attempted to refute Malthus’ metaphor. But it was probably Marx who, in continu-
ing the tirade against Malthus at mid-century, effectively shifted the grounds away from the
ethics of distribution towards the ‘Promethean’ idea that man-made capital, science, and
labour could substitute for natural resources indefinitely. Indeed, the idea that L’homme est
son propre Prométhée (‘humanity is its own Prometheus’), as Michelet (1893–98 [1869]:
vii) wrote in a separate context, adapting Vico’s phrase, was increasingly found in reports on
commercial projects in the popular press, where the capacity to break through the Malthusian
cycle was increasingly said to reside in the abstract, if not mystical, ‘creative power’ that was
attached to the forces of production.
A particularly vivid example is found in the works of Andrew Ure, who not only invokes
biological images to portray the industrialist as the ‘life force’ (Ure, 1835: 108) or ‘elemen-
tal power’ that has been made to ‘animate millions of complex organs’, but also frequently
mixes his biological metaphors with images of a more mechanistic origin, so that ‘self-
acting’ and ‘automatic’ machines are deemed capable of ‘infusing into wood, iron and brass
an intelligent agency’ (Ure, 1835: 2). The insertion of mechanistic images into natural meta-
phors is also a feature of the popular press, in which mechanical and biological metaphors
are commonly found sitting untroubled alongside each other. Machines are portrayed as
‘vital’ and ‘self-animating’, in a creative fantasy in which iron rails and telegraph wires
give ‘birth’ to wealth and new markets; hence the popularity of expressions such as the
‘creative power of machinery’, the ‘creative power of free trade’, and the ‘creative power
of capital’. Indeed, one of the most celebrated creative objects of the nineteenth century
was not poetry, but the railway, and the ‘creative power of railways’ (Morning Post, 1847)
was repeatedly extolled in both the metropolis and its colonies, such as Australia, where the
‘rise and progress’ of cities was perennially attributed to the ‘creative power of railways’
(South Australian Register, 1848), which were, to quote yet another American example, a
‘wonderful mechanical appliance for the elevation of a country in creative power’: ‘I know
that the thing looks strange: but, sir, the railroad itself is a strange and wondrous thing. It is
a creative power’ (Athens Post, 1856).
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The ‘creative’ and ‘life-giving’ power attributed to commerce and industry was so pro-
nounced that it inevitably drew the ire of contemporary clerics. Thomas Chalmers (1832: 60),
for example, in the year before he railed against the new evolutionary biology in the first of
the Bridgewater Treatises, published a work on political economy that drew attention to
what he characterised as the increasingly widespread error ‘that men should have been led
to imagine as if commerce had a commencing and a creative virtue’. Against this heresy,
Chalmers (1832: 80) was at pains to reassert the religious dimensions of what he saw as the
profoundly erroneous belief that ‘there was a creative and an emanating power in capital
which could overleap’ the limits of nature. This metaphysical unease repeatedly registered
in the economic imaginings of writers such as Dickens, Carlyle, and Zola (Conrad, 2007:
315–36). However, the most enduring attack on the new vogue for creative metaphors came
from Karl Marx, who castigated the industrialists and economists for equating humanity
with machinery and conferring creative ‘life’ upon capital. As Marx indelibly wrote, when
a worker sells his labour-power as abstract labour in the form of a value, he alienates his
own creative power: the worker ‘impoverishes himself because the creative power of his
labour establishes itself as the power of capital, as an alien power confronting him’ (Marx,
2005 [1858]: 660). He continues: ‘It is clear, therefore, that the worker cannot become rich
in the exchange, since in exchange for his labour capacity as a fixed, available magnitude,
he surrenders its creative power, like Esau his birthright for a mess of pottage’ (Marx, 2005
[1858]: 307). The Marxian ideal of creative self-realisation through work has particular
poignancy for being forged against the image of the spectral monster of ‘creative capital,
sucking its living soul out of labour’ (Marx, 2005 [1858]: 660).
Darwin famously claimed that his theory of evolution was forged following a reading of
Malthus – and, eventually, Darwin’s work would give rise to a new form of the creative idea
for a world in which human beings were no longer destined to unfold naturally in orderly
or preformed ways, but to engage in acts of self-making defiance of nature’s indifference.
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The Romantic systems of the nineteenth century had valorised change, but only change
within fixed limits. In terms of the creative idea, what was revolutionary in Darwin’s work
did not centre on the radical disenchantment of the world, the remorseless transformation
of soul into psyche, or the disappearance of God or religion; rather, the idea of experience
itself was transformed. As Dewey (1917: 23) put it:
Genuine projection of the novel, deliberate variation and invention, [were] idle fictions
in [the pre-Darwinian] version of experience. If there ever was creation, it all took place
at a remote period. Since then, the world has only recited lessons.
In this older version of experience, the possibilities for any genuine accretion of novelty –
particularly in any ontological sense – were radically foreclosed. Variation was subordinate
to unity, flux was subordinate to order, philosophy and art therefore aimed at unity and
synthesis, and the operations of randomness and chance that were integral to the emergence
of the new form of the creative idea were largely unthinkable. ‘Change as change [was]
mere flux and lapse; it insults intelligence’, wrote Dewey (1910: 6–7): ‘Genuinely to know
[was] to grasp a permanent end that realises itself through changes, holding them thereby
within the metes and bounds of fixed truth.’ Against these grand, permanent, and digni-
fied abstractions, what Darwin had offered was, as Herschel famously put it, ‘the law of
higgledy-pigglety’ (quoted in Darwin, 1859b). In Dewey, experience is understood to be
essentially creative. Situated creativity becomes the fundamental concept. The individual in
experience is possessed of ‘creative intelligence’ and is the ‘bearer of a creatively employed
mind’ (Dewey, 1917: iii). Man ceases to be a ‘fallen creature’, as Coleridge believed, and
becomes a ‘problem-solving animal’ – and the way in which he or she solves problems, in
and through the material world, is said to be creative.
Dewey’s work represents one of the many ways in which the creative idea encountered
the foundations of the emerging discipline of psychology (another being through Freud). He
disposed, for example, of the concept of innate ideas, so cherished by Romantic visionaries:
It soon becomes obvious that while there is assuredly something a priori – that is to say,
native, unlearned, original – in human experience, that something is not knowledge, but
is activities made possible by means of established connexions [sic] of neurons. This
empirical fact does not solve the orthodox problem; it dissolves it. It shows that the
problem was misconceived, and solution sought by both parties in the wrong direction.
(Dewey, 1917: 19)
Dewey’s work had a profound impact on American culture, especially in progressive educa-
tion. However, Dewey’s reconstruction of the creative idea was to be radically transformed
in the cold war era – an age in which traditional notions of individual genius were refash-
ioned, drawing directly on popular notions of creativity then circulating in the arts. In this
respect, what needs to be addressed is a parallel history running counter to the movements
outlined in this chapter: one that focuses on the discourses within modernism through which
art was relentlessly envisioned as a metaphor for the creative idea, and the creative idea was
eventually to be produced as a category of art.
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published Educational Wastelands in 1953, and MGM released the Blackboard Jungle in
1955 to a major public outcry. Newspapers carried interviews with critics under headlines
such as ‘Mass Produced Mediocrity’ (Chicago Daily Tribune, 1956a) and ‘The Worship
of Mediocrity’ (Chicago Daily Tribune, 1956b). Amidst the furore, the Russians launched
the Sputnik – and the education crisis spilled onto the front page. Progressive education
promoted conformity and ‘group-think’, argued critics such as Hyman Rickover (1959: 21),
better known as the man who directed the development of the atomic submarine, whereas
a ‘future dependent on creative brains’ (Rickover, 1959: 31) required a qualitatively differ-
ent kind of education that was capable of producing ‘inner-directed, obstreperous, creative
people; sworn enemies of routine and the status quo’ (Rickover, 1959: 22). In opposition to
totalitarian Russia, the United States needed to support the kind of ‘freedom essential to the
creative worker’ (Rickover, 1959: 21).
One of the striking features of this new formation of the creative idea was that it was
defined culturally and scientifically in proximity to historically specific ideas about
democracy and freedom, and in opposition to ideas about conformity and authoritarian-
ism. In the social sciences, for example, the mid-twentieth century saw the growth of
publications expressing fears about conformity, such as David Reisman’s (1950) classic
work of sociology, The Lonely Crowd. For American liberals, conformity was particularly
worrying, because it revealed a crucial lack of distance between American and Russian
models of politics. In contrast to authoritarianism, cold war intellectuals sought to propose,
and indeed implement, a positive model of American citizenship, one of the most highly
valued attributes of which was creativity (Cohen-Cole, 2009).
In the wake of the Sputnik, the US government passed far-reaching legislation in the
form of the National Defense Education Act of 1958, providing unprecedented funding
for universities, colleges, and schools. In his presidential address to the American Psy-
chological Association, J. P. Guildford (1950: 445) called scientific neglect of creativity
‘appalling’. Bibliographic surveys indicate that there were as many studies of creativity
published between 1950 and 1965 as there had been in the previous 200 years. Much of
this work grew out of, or was funded by, military and defence concerns, and was spurred
on by the perceived failure of educators to produce the original geniuses that the news-
papers seemingly demanded.
This was the political and intellectual climate in which E. Paul Torrance (1966) studied
developmental aspects of creativity and their practical application in education, focusing
on fostering individualism and developing imagination among gifted and talented chil-
dren. Torrance developed a series of tests based upon Guilford’s divergent thinking model
that were popularised not only as a diagnostic instrument, but also, more influentially, as
a teaching tool. The Torrance Tests for Creative Thinking (TTCT) targeted specific traits,
including fluency, flexibility, originality, and problem solving. Children were asked to find
multiple uses for everyday objects, such as tin cans, to make responses to various drawings,
and to predict the outcomes of a range of situations (Torrance, 1966).
Tests like the TTCT, as Sawyer (2012: 46–52ff) has argued, tended to privilege a
singular historical understanding of creativity that valued individual creativity over group
creativity, exceptionalism over everyday creativity, and Western cultural constructs over
non-Western ideas. The TTCT was also predicated upon, as Baer (2011: 312) has argued,
a definition of creativity as consisting in ‘coming up with wild ideas’. Whether or not
social scientists continue to believe, like Torrance, that the creative idea is usefully consti-
tuted by ‘long lists’ of ‘wild and crazy ideas’, or, like Baer (2011: 312), believe that such
a definition of creativity is ‘warped’ and ‘harmful’, tests and teaching tools such as the
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Camilla Nelson
Future directions
Keith Sawyer (2012: 7) has argued that, ‘to explain creativity, we first need to agree on what
it is, and this turns out to be surprisingly difficult’. This chapter has attempted to demon-
strate that this question cannot be answered by any simple accounting for the ways in which
the idea of creativity has shifted from period to period, or culture to culture. Still less is it a
matter of finding neural correlates in human consciousness for what I have argued are essen-
tially discursive fictions. The creative idea is not something to be ‘discovered’ so much as
it is a cultural construction or invention. Nevertheless, to draw attention to the discursive,
and therefore fictional, nature of the idea is not to argue that that there is no such thing as
creativity – for discourse has a weight, and a materiality, and a productive power. Rather, it
points towards a need for a reflexive and culturally sensitive understanding of creativity that
is capable of acknowledging the ways in which the creative idea has been shaped by – and
has become a constant focus for – the cultural anxieties of our age.
Related topics
creativity and dialogue; creativity and discourse analysis; everyday language creativity
Further reading
Foucault, M. (1994) The Order of Things: An Archaeology of the Human Sciences, New York:
Vintage/Random House.
Foucault’s classic argument with respect to the emergence of ‘modern man’ as a historical cate
gory – that is, the result of a specific series of discourses and discursive practices – remains a
central and indispensible model for discourse analysis.
Joas, H. (1996) ‘Metaphors of creativity’, in The Creativity of Action, Cambridge: Polity Press,
pp. 70–144.
Hans Joas’ attempt to reconstruct a sociological theory of action according to a pragmatist concep-
tion of creativity is a less obvious choice. However, this chapter in his book draws attention to
democratic, as opposed to elitist, traditions of creativity, and the analysis of the historical emergence
of a range of linguistic metaphors, from Herder’s expressivism through to Dewey’s metaphors of
adaptation, is invaluable.
Mason, J. H. (2003) The Value of Creativity: The Origins and Emergence of a Modern Belief,
Farnham: Ashgate.
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This is one of the few historical works to question whether an entity such as creativity can be said
to exist prior to its articulation in language. Although this question is not resolved, the way in which
Mason posits the central novelty of eighteenth-century concepts, locating them as products of wider
transformations in commerce, economics, and politics, is invaluable.
References
Abrams, M. H. (1971) The Mirror and the Lamp: Romantic Theory and the Critical Tradition,
New York: Oxford University Press.
Adams, H. (1889) History of the United States, New York: Scribners.
Arnold, G., Kloocke, K., and Menze, E. (2009) ‘Herder’s reception and influence’, in H. Adler and
W. Koepke (eds) A Companion to the Works of Johann Gottfried Herder, Rochester, NY: Camden
House, pp. 391–420.
Arnold, M. (1865) Essays in Criticism, London: Macmillan.
Art Journal, The (1862) ‘Art in Parliament’, 1: 122.
Athens Post (1856) ‘Triumph of railways’, 14 March, p. 1.
Baer, J. (2011) ‘How divergent thinking tests mislead us: Are the Torrance Tests still relevant in the
21st century? The Division 10 debate’, Psychology of Aesthetics, Creativity, and the Arts, 5(4):
309–13.
Bergson, H. (1907) L’Évolution Créatrice, Paris: Les Presses Universitaires de France.
Bestor, A. (1953) Educational Wastelands, Urbana, IL: University of Illinois Press.
Blumenberg, H. (1985) ‘Secularisation: Critique of a categorical historical wrong’, in H. Blumenberg
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pp. 3–124.
Bonar, J. (1885) Malthus and His Work, London: Macmillan.
Bowler, P. J. (1984) Evolution: The History of an Idea, Baltimore, MD: Johns Hopkins University
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Bowler, P. J. (1988) The Non-Darwinian Revolution: Reinterpreting a Historical Myth, Berkeley, CA:
University of California Press.
Bronowski, J. (dir.) (1973) The Ascent of Man, London: British Broadcasting Corporation.
Burchfield, R., and Simpson, J. (eds) (1989) Oxford English Dictionary, 2nd edn, Oxford: Oxford
University Press.
Bycroft, M. (2012) ‘Psychology, psychologists, and the creativity movement: The lives of method
inside and outside the cold war’, in M. Solovey and H. Craven (eds) Cold War Social Science:
Knowledge Production, Liberal Democracy and Human Nature, New York: Palgrave Macmillan,
pp. 197–214.
Chalmers, T. (1832) On Political Economy: In Connexion with the Moral State and Moral Prospects
of Society, Glasgow: William Collins.
Chicago Daily Tribune (1956a) ‘Mass produced mediocrity’, 28 November, p. 16.
Chicago Daily Tribune (1956b) ‘The worship of mediocrity’, 6 July, p. 12.
Cohen-Cole, J. (2009) ‘The creative American: Cold war salons, social science, and the cure for
modern society’, Isis, 100(2): 219–62.
Coleridge, S. T. (1817) Biographia Literaria, London: Rest Fenner.
Coleridge, S. T. (1830) On the Constitution of the Church and State, London: Hurst, Chance & Co.
Coleridge, S. T. (1959) Collected Letters, Vol. IV: 1815–19, ed. E. L. Griggs, Oxford: Clarendon
Press.
Conrad, P. (2007) Creation: Artists, Gods, and Origins, London: Thames & Hudson.
Culler, J. (2001) ‘The mirror stage’, in The Pursuit of Signs: Semiotics, Literature, Deconstruction,
London: Routledge, pp. 172–87.
Darwin, C. (1859a) On the Origin of Species, London: John Murray.
Darwin, C. (1859b) Letter to Lyell, 10 December, Darwin correspondence database, entry 2575.
Available online at http://www.darwinproject.ac.uk [accessed 20 May 2015].
Dawson, P. (2005) ‘From imagination to creativity’, in Creative Writing and the New Humanities,
London: Routledge, pp. 21–47.
Desmond, A. (1989) The Politics of Evolution: Morphology, Medicine and Reform in Radical London,
Chicago, IL: Chicago University Press.
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Literary creativity
Part II
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11
Literariness
David S. Miall
Introduction
Historical perspective
The term ‘literariness’ was introduced by the Russian formalist critic and theorist Roman
Jakobson in 1921, in a paper in which he stated: ‘The object of study in literary science is
not literature but “literariness,” that is, what makes a given work a literary work’ (quoted
in Eichenbaum, 1971: 8, emphasis original). In other words, Jakobson argued, what distin-
guishes the formal method is ‘that the object of literary science, as literary science, ought
to be the investigation of the specific properties of literary material, of the properties that
distinguish such material from material of any other kind’ (Jakobson, 1921, quoted in
Eichenbaum, 1971: 7) – although the secondary features of such materials render it ame-
nable to being employed in other disciplines, such as when we examine a literary work
for the light it casts on psychological, historical, or ideological issues.
But as Erlich (1981: 198), a historian of the Russian formalist movement, puts it, the
formalist commitment was to ‘the frame of mind produced by that passionate search for
the differentia of literature which was the starting point of Formalist theorizing’. Thus
we ask: what characterises a particular literary work? What specific feature best ensures
its contrast to any other work and makes it unique? Its intrinsic quality – that which con-
stitutes its literariness – came to be called its dominant, the constituent that also enables
us to experience its unity (Erlich, 1981: 199). In poetry, for example, this is likely to be
the rhythm, since this influences in turn other components, such as phonetic or figurative
materials. In Dickens’s novel Little Dorrit, the dominant is plot, according to Shklovsky
(quoted in Erlich, 1981: 246).
The term ‘literariness’ has been important, whether in the context of close, stylistic
analysis of literature, or as a term in the disputed claim that there is no feature, or set of
features, that can be shown to make literature unique. In this chapter, I will offer a brief
review of some representative arguments on both sides, from which I will conclude that
there is no specific set of features to which we can attribute literariness. But I will then
mainly be concerned with offering a perspective drawn from theoretical and empirical
studies of literary reading. I will conclude that literariness is a product of the interaction
between a literary text, characterised by stylistic or narrative features, and an attentive
reader, who is led to experience empathy or absorption.
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The term ‘Russian formalism’ refers to two groups of literary theorists: the Moscow
linguistic circle, which came together in 1915; and the Society for the Study of Poetic
Language, or Opojaz, which formed in St Petersburg in 1916. The term was actually one
of opprobrium, given to it by its Marxist critics, who accused the group of denying the
relevance of historical materialism. Beginning in 1924, serious criticism included Leon
Trotsky’s (1924) Literature and Revolution. Trotsky accused the groups of doing little
more than counting syllables and analysing syntax, while ignoring the social significance
of literature (Erlich, 1981: 102–1). The formalists – those scholars who continued to make
important contributions – survived into the later 1920s. Jakobson, however, left Russia in
1920 for Czechoslovakia, where he completed a doctorate and attained a professorship
at Masaryk University. He introduced formalist methods to the study of Czech poetry
and helped to found the Prague linguistic circle, whose contribution to the concept of
literariness will be mentioned later in the chapter.
Among other significant concepts in the early history of formalism are the distinc-
tion between practical language and poetic language made by Jakubinsky in his articles
of 1916 and taken up by Opojaz. In practical language, the elements (syllables, mor-
phemes, etc.) are intended for communication only; in poetic language, they have an
autonomous value that contributes to poetic meaning. This distinction helped to shift the
critical focus away from psychology, sociology, aesthetics, and other standard concerns
of the literary critics of the time, towards linguistics as a scientific approach for eluci-
dating the aural properties of poetry. In this move, formalism appropriated the claim of
the futurist poets of the time to a ‘transrational’ language, seen as ‘the utmost baring
of autonomous value’ in poetic language (Eichenbaum, 1971: 9). While not unique to
poetry, it was said to be characteristic of it, although a specific poet engaged in writing
poetically may be unaware at the time of the transrational implications of what he or
she is writing. Thus the first major preoccupation of the formalists of Opojaz was the
value of the sound of poetry, and here Shklovsky achieved an important shift of atten-
tion: rather than focusing on the sheer sound of poetry, which invited impressionistic
interpretations (this being most evident in the poetry of contemporary symbolist poets),
such as onomatopoeia or ‘painting with sounds’, he argued for the effects arising from
the articulatory aspects of poetry. It may be, he said, ‘that a large part of the pleasure
poetry gives us stems from its articulatory aspect – from a special dance of the organs of
speech’ (quoted in Eichenbaum, 1971: 10).
An analysis of literariness
To take an example, in ‘The Sick Rose’ by Blake (1794: 37), the rhythm of the first line is
evidently at variance with the remainder of the poem, until (perhaps) near the end in line 7:
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The first line contains three evident stresses (Rose / thou / sick), and a space representing
a fourth stress at the end of the line that is unvoiced. The rhythm of this line would feel
disrupted if the second line were to follow immediately without the delay called for by
aligning the stresses in a pattern of two-stress lines (2 + 2 in line 1). To make a musical
analogy, the first line would be a bar in 3/4 time when it should be 4/4, whereas the rest of
the poem exhibits bars of 2/4 time – a contrast that clearly makes line 1 feel out of place.
Only in line 7 do we see an echo of this, with the possibility of three stresses (dark / sec– /
love), which perhaps disrupts the rhythmic pattern intentionally in view of the coming dis-
solution of the ‘Rose’ – although here two stresses seem acceptable (dark / love), depending
on where the reader wishes to place the emphasis. The literariness of the poem lies in part,
then, in its rhythmic and somewhat conflicted rhyme scheme. It lies especially, I would
suggest, in the missing stress at the end of line 1. The diminution of the transrational
force of this suggestive absence can readily be mirrored by supplying a word or two, for
example ‘O Rose, thou art sick to death’; ‘O Rose, thou art sick and sore’; or ‘O Rose,
thou art sick with loss’. This, we might say, rectifies the rhythm, but tends to trivialise
the poetic force of the line.
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to formalist theory (also known as ‘Art as device’) – has been influential in particular
thanks to its translation into English in 1965 in a book of readings (Lemon & Reis,
1965). In this essay, we can trace the emergence of other features that contributed to the
concept of literariness. As Shklovsky shows at its outset, the prevalent view that ‘[a]rt is
thinking in images’ (Shklovsky, 1965 [1917]: 5–6), promulgated by the Russian theorist
Potebnya, is an inadequate basis for a literary theory or for the work of literary inter-
pretation. It is said to make for ‘economy of mental effort’ (Shklovsky, 1965 [1917]: 5)
in explaining the unknown in terms of the known – that is, the familiar image helps us
to assimilate the unfamiliar. In particular, Shklovsky stages an argument on aesthetic
cognition with the social philosopher Herbert Spencer (1882). Art, says Spencer, is the
better for limiting its requirements on the attention of the reader or viewer. The ideas
of the artwork must be understood with ‘the least possible mental effort’ (Shklovsky,
1965 [1917]: 9). In fact, Shklovsky (1965 [1917]: 12, emphasis original) points out, the
situation is quite the reverse: ‘[A]rt exists that one may recover the sensation of life;
it exists to make one feel things, to make the stone stony.’ Too much of life, claims
Shklovsky, simply passes us by in a series of habitual behaviours. In a diary entry that
Shklovsky cites, Tolstoy describes cleaning a room, then being unable to remember
whether he had attended to the room or not: ‘[I]f the whole complex lives of many
people go on unconsciously, then such lives are as if they had never been’ (Shklovsky,
1965 [1917]: 12). As Shklovsky (1965 [1917]: 12) puts it: ‘Habitualization devours
works, clothes, furniture, one’s wife, and the fear of war.’ We may regard art as one of
the remedies for this lack of awareness. He then adds a comment that, as we will see,
becomes a key principle of later empirical work on literary reading: ‘The technique of
art is to make objects “unfamiliar,” to make forms difficult, to increase the difficulty
and length of perception because the process of perception is an aesthetic end in itself
and must be prolonged’ (Shklovsky, 1965 [1917]: 12). Shklovsky draws on several
works by Tolstoy to illustrate his claim: in each, there is a process of ‘defamiliarisation’
(in Russian, ostraneniye) that makes familiar ideas or objects strange. In one, Tolstoy
is presenting flogging in an unusual way: ‘. . . to strip people who have broken the law,
to hurl them to the floor, and to rap on their bottoms with switches, . . . to lash about
on the naked buttocks’ (Shklovsky, 1965 [1917]: 13). As Shklovsky points out, one of
Tolstoy’s achievements is that the familiar name for the idea (here, ‘flogging’) is not
mentioned; it is as though we are meeting it for the first time. Another technique for
defamiliarising that he mentions is the ‘roughening’ of poetic language promoted by Leo
Jakubinsky, one of whose techniques was the repetition of identical sounds (Shklovsky,
1965 [1917]: 22). Pushkin too was known for the deliberate roughnesss of the verse in
his poetry, a device that ‘impeded’ the reading process.
Shklovsky’s essay offers not only a preliminary contribution to a theory of literariness,
but also concepts with psychological significance that have been taken up and elaborated in
later studies of literary response. One of these concepts, central to Shklovsky’s approach,
is the impedance experienced by the literary reader and the suggestion that this is brought
about by unusual verbal effects, such as in the Tolstoy story, which omits the name of the
object he is describing. Thus Shklovsky (1965 [1917]: 12) tells us to expect the reading
process to be prolonged, to be more difficult – to expect to feel more when arresting verbal
artefacts are encountered and for the state induced in us by such perceptions to seem an end
in itself. This, as we will see, is a set of testable propositions: not only can they be assigned
a place in a theory of literature, but they can also be confirmed empirically as measurable
components of literary reading (Miall & Kuiken, 1994).
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As is evident, this definition distinguishes actions with which we are thoroughly familiar from
those that strike us as odd or anomalous (as the sight of flogging would do, in a culture that
had never known corporal punishment). Mukařovský (1964: 19) has yet to apply this to poetry:
In this way, the components of the poetic text, such as rhythm, metaphor, or alliteration, draw
the attention of the reader as objects of verbal pleasure in their own right, not because of their
significance in helping to frame the meaning of the poem. The foregrounding of different
components of a poem occurs systematically, but it cannot occur within a text as a whole:
‘[T]he simultaneous foregrounding of all the components of a work of poetry is unthink-
able’, says Mukařovský (1964: 20). If we consider Blake’s ‘The Sick Rose’, however, this
might seem possible, given the shortness of the poem: the rhythm, as we have already seen,
is anomalous; there is only one rhymed couplet (joy and destroy); and ‘Rose’ has a common
meaning, which seems deautomatised as the poem unfolds, suggesting several less usual
meanings that would be hard to identify. Does each line contain some foregrounded feature?
But another way of regarding the poem is in terms of its context, whereby it points sideways
to related passages that occur throughout Blake’s two books Songs of Innocence (1789)
and Songs of Experience (1793–4). This creates a framework of issues that serves to clarify
(by foregrounding) what function this poem has in the collection as a whole, for example
by echoing questions about diseased, damaged, or thwarted sexuality that occur elsewhere
(such as in ‘Ah! Sun-flower’, or ‘London’).
The arrival of the Russian group in Prague benefited Prague scholarship as much as
the Russians benefited from their contacts in Prague, since both drew on closely similar
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concepts of language and aesthetics. Their collaboration resulted in joint manifestos such
as one published in 1935, which presents the claim that only poetry ‘enables us to experi-
ence the act of speech in its totality and reveals to us language not as a ready-made static
system but as creative energy’ (Erlich, 1981: 157).
In discussion of how art can be evaluated, Mukařovský indicates that there are no rules:
The problem in evaluating is to determine how and to what extent a given component
fulfils the function proper to it in the total structure; the yardstick is given by the context
of a given structure and does not apply to any other context.
(Mukařovský, quoted in Garvin, 1964: 26)
Thus any measure that we wish to apply must be intrinsic to the work; we cannot import
it from outside. There are no ‘rules’, as Edmund Burke (1990: 49) puts it: ‘[A]rt can never
give the rules that make an art’ (but compare Attridge, 2004: 12).
Critical debates
Opposition to literariness
This makes the theory of literature interestingly complex: what is the relation of literari-
ness to literature? What counts as literature if the components of literariness are liable to
shift their meaning from one work to another (that is, what is plot in a novel if it can be
as unstable as that of Tristram Shandy, as noted by Shklovsky)? The standard view of
literature as developed by the formalists was strongly criticised by Terry Eagleton (1983)
in his book Literary Theory: An Introduction. Theory is essential, for, in the words of
Eagleton (1983: viii), ‘without some kind of theory, however unreflective and implicit,
we would not know what a “literary work” was in the first place, or how we were to read
it’. Thus Eagleton (1983: 3) dismisses much of the account of the formalists: he discredits
the claim that literature has its own internal laws, and that ‘[i]t was made of words, not of
objects or feelings’. According to the formalists, literature was an assembly of ‘devices’,
which worked to ‘defamiliarize’ the act of reading (Eagleton, 1983: 3). Defamiliarisation,
however, implies deviation from a norm. Eagleton (1983: 5) questions whether there is or
ever has been such a thing: ‘The idea that there is a single “normal” language, a common
currency shared equally by all members of society, is an illusion.’ The formalists (in their
early writings, at least) ‘were not out to define “literature”, but “literariness” – special uses
of language, which could be found in “literary” texts but also in many places outside them’
(Eagleton, 1983: 5). But, he claims, ‘[l]iterature, in the sense of a set of works of assured
and unalterable value, distinguished by certain shared inherent properties, does not exist’
(Eagleton, 1983: 11). With sufficient historical time and shifts in values, even Shakespeare
could come to be considered not literature.
This aphoristic comment of Eagleton’s sums up the problem that he and other recent
theorists have set – that is, that literariness lies not in a set of literary devices, but in how
people relate themselves to a particular piece of writing: ‘There is no “essence” of literature
whatever’ (Eagleton, 1983: 9). In overstating his case here, Eagleton indicates how we
might locate an answer to the problematics of the missing ‘essence’. In brief, the ‘essence’
is not a fabulation – it is not merely missing; rather, essence lies in the rules of growth and
change created at each encounter with a literary work, at each repetition of its formal struc-
tures – and the incentive to experience its difference from any other literary work is given by
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its peculiar language or waywardness of plot or characterisation. Between the most striking
and original literary work and the work that is dull and unoriginal lies a continuum (com-
pare Stankiewicz, 1961, cited in Pratt, 1977: 25), along which some works are of doubtful
essence: they will be read by certain readers with interest, but disregarded by others. But at
each level, to borrow Burke’s (1990: 49) terms again, ‘art can never give the rules that make
an art’ – except that additional issues come into play when the rules of a given work low on
the continuum appear to be stereotyped or ungenerative.
The Russian and Czech contribution to poetics that I have outlined initiated an important
debate over the question of literariness. This was a central concept for these groups of theo-
rists, but has been dismissed as an illusion in more recent thinking, such as in the opening
chapter, ‘The “poetic language” fallacy’, to Marie Louise Pratt’s (1977) book Toward a
Speech Act Theory of Literary Discourse. Pratt’s primary focus is on the difference from
ordinary language said to be evident in literary texts. This sets the text apart from and above
ordinary language and society, while it conceals its underlying ideology – in which claim,
she sees a reinstatement of the art for art’s sake position (Pratt, 1977: xvi). According to
Jakobson (1935), however, this view, which equated poetic and aesthetic functions, was
discarded early in formalist history. In Jakobson’s (1978 [1935]: 83) account, ‘this equation
is unquestionably erroneous: a poetic work is not confined to aesthetic function alone, but has
in addition many other functions’. These might include a scientific account or the writing of
letters (Darwin’s On the Origin of Species has been considered poetry; Keats’ Letters convey
key statements in his poetic theory). The poetic work, adds Jakobson (1978 [1935]: 84), is
one ‘whose aesthetic function is its dominant’.
At the beginning of her first chapter, Pratt (1997: 3–4) raises an important issue: citing
Eichenbaum on the opposition of poetic and practical language, she remarks how this pro-
motes the idea that literary language functions differently from ordinary language (compare
Stockwell, 2012: 138–9), and that this results from the visible properties of poetic language
that ordinary or prosaic language lacks. But this difference has never been tested, says Pratt.
No one has troubled to examine whether the various literary devices also exist outside litera-
ture: ‘Examples from literature are virtually never accompanied by data from extraliterary
discourse’ (Pratt, 1977: 5). Even the shifting terminology devised in naming the non-literary
should be cause for concern: ‘That the poeticians themselves have never been able to agree
on a term for designating nonliterature should have led them to doubt the existence of any
such monolith’ (Pratt, 1977: 6).
While it is true that non-literary language as viewed by the formalists was never esta
blished with its own range of specific functions or forms, Pratt’s book appeared a decade or
more ahead of the empirical studies that would help to establish the validity of the contrast
in linguistic and psychological frameworks (Hanauer, 1996; Hoffstaedter, 1987; Miall &
Kuiken, 1994; van Peer, 1986). Meanwhile, other difficulties with ordinary language fol-
low. For instance, the formalist Brik (cited in Pratt, 1977: 13) claims that verse is regulated
‘by the laws of rhythmic syntax, that is, a syntax in which the usual syntactic laws are com-
plicated by rhythmic requirements’. Pratt finds Brik problematic here, since Brik is said to
assume ‘that rhythmic organization is alien to non-literary discourse and can thus be taken
as a distinctive feature of the poetic language’, and that rhythm does not arise for those con-
cerned with syntax (Pratt, 1977: 13). Similarly in her attack on Levin’s (1962) book, Pratt
takes issue with his concept of form, as ‘dummy structures’ in ordinary language, waiting to
be filled in; according to Pratt, the contrast appears to be with meaningful, poetic structures
as a part of the context for the creation of poetry, unlike non-literary language. Pratt here
overlooks the great variety of ‘dummy structures’ that occur in everyday life, from making
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a will to direct debit instructions for the bank, none of which will be found to contain much
poetic language (however this is defined).
Perhaps a more important problem is that Pratt (1977: 24) imposes the binarism of the
poetic/nonopoetic formula in her readings of Havranek and Mukařovský, whereas it is clear
that both assume that poetic features are present in literature, but function differently from
how they function in ordinary language. Pratt also objects to the collapsing of the binary dis-
tinction of poetic and ordinary language to a continuum model. This is supposed to threaten
‘the belief that intrinsic textual properties constitute “literariness” ’ (Pratt, 1977: 26). What
is missing from her argument is a recognition of the difference between incidental, random
occurrences of such features in contrast to their organised role in literature. Pratt continues
by noting the difficulty of assigning literariness to prose, whereas the literariness of verse
is well established: this calls for clarification and Pratt (1977: 26) remarks again on ‘the
poetic/nonpoetic dichotomy [which] raises the problem of empirical verification that . . .
the binary opposition was designed to avoid in the first place’. In contrast, she appeals to the
speech act approach to literature (which we will not pursue here), which:
. . . enables and indeed requires us to describe and define literature in the same terms
used to describe and define all other kinds of discourse. It thus does away with the
distortive and misleading concepts of ‘poetic’ and ‘ordinary’ language.
(Pratt, 1977: 88, emphasis original)
This creates another problem, however: it may efface what is distinctive about literature
before it is decided how to describe and define it – and such a move would at the same time
threaten the disappearance of literariness, since any features held in common by ordinary
and poetic language would be familiar, whereas any feature unique to the literary would be
invisible.
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There is, of course, a common fantasy of the independent, the natural reader, of men
and women quite alone with the text, making sense of it by their own unaided efforts,
uncontaminated by givens and presuppositions, by prejudices and doctrines, especially
not anything that might be called theory, or (especially) Theory . . . But no one ever did
read de novo, raw, naturally; understanding never came that easily.
But, as Rose shows through historical evidence, the reality is rather different, and
surprising – and it calls into question the assertions of a number of recent theorists. As
Rose (2001: 4) puts it:
Rose notes that working-class readers are said to have no interest in reading the literary
classics. As Rose (2001: 4) puts it, this is a theory that ‘has no visible means of support’.
I cite below an extract from one of the accounts that Rose mentions. The author, Richard
Hillyer (born 1901), was the son of a cowman in a poor Northamptonshire village, Byfield,
near Billington. He attended elementary school in the village until about the age of 11.
Hillyer says the lessons meant nothing to him, but the teacher, Mr Wickens, had a question
period on Wednesday afternoons. Hillyer asked what a ‘poet laureate’ was – a term that he
had seen in a newspaper. The question interested Wickens:
So, for ten minutes, he let himself go on it, and education began for me. There was Ben
Jonson, the butt of canary wine, birthday odes and all the rest of it. I was fascinated. My
mind was being broken out of its shell. Here were wonderful things to know. Things
that went beyond the small utilities of our lives, which was all that school had seemed to
concern itself with until then. Knowledge of this sort could make all times, and places,
your own.
(Hillyer, 1967: 29)
In addition, the children were allowed to choose from a small library of books for half an
hour of reading on Friday afternoon.
Among them were a few poems of Tennyson, printed on brittle, brownish paper, with a
gaudy cover. It said on the title page that he was ‘Poet Laureate’ and that set me want-
ing to read them. The coloured words flashed out and entranced my fancy. They drew
pictures in the mind. Words became magical, incantations, abracadabra which called up
spirits. My dormant imagination opened like a flower in the sun. Life at home was drab,
and colourless, with nothing to light up the dull monotony of the unchanging days. Here
in books was a limitless world that I could have for my own. It was like coming up from
the bottom of the ocean and seeing the universe for the first time.
(Hillyer, 1967: 30)
Among other books that Hillyer mentions appreciating were the novels of Dickens, which
he borrowed from other houses in the village. These were ‘knocked about old copies that
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had been picked up at a rummage sale for a penny, or thrown in with a heap of odds and ends
to make a bargain for sixpence’ (Hillyer, 1967: 31).
Notable in Hillyer’s comments here are remarks that anticipate more recent approaches
to literature: the text world theory – the delight in literary language, especially imagery and
sound (‘incantations’). It would be of interest to conduct a stylistic analysis of this and other
extracts from these memoirs of reading, to establish what aspects of poetic language appear
to occur as if naturally to these readers.
I cite one other example, that of J. R. Clynes (1869–1949), who became a union leader
and Labour Cabinet minister. In his memoirs, Clynes says that his father was illiterate,
but that ‘he and my mother taught me the essentials of knowledge. Two sisters by their
great helpfulness increased my chances. My schoolmaster taught me nothing except a
fear of birching and a hatred of formal education’ (Clynes, 1937: 28). He continues: ‘My
school days have no pleasant memories’ (Clynes, 1937: 28). Clynes (1937: 29) went to
work part-time at the age of 10 in a cotton factory at Oldham, while continuing to attend
school. At school:
When we had been set poetry to learn at school I had furtively read on and on, avidly
anxious for more, careless of punishments earned because I refused the drudgery of
repeating one passage or another until it became a mere meaningless chant.
(Clynes, 1937: 31)
While in the factory, Clynes remembers some lines of Milton from Paradise Lost, previously
learned ‘because I loved them’. Situated amidst the machines, ‘I stood there, transfixed and
dazed, while the “horrid front of dreadful length and dazzling arms” (Bk I, 563–4) swept
forward at me, and only just in time did I skip swiftly back out of reach’ – as if, through
Milton’s eyes, he saw the cotton looms advancing to attack him. ‘After that the machinery
had a different meaning for me; dimly I perceived the ordained perfection of its sweetly-
running, magnificent rhythm’ (Clynes, 1937: 31) – and Clynes recites poetry to himself
while working to the rhythm of the machines.
These extracts, and others like them, suggest that literariness is intrinsic to the experience
of literary reading – that it is waiting to be discovered.
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in question has influenced their reading. Reading can also be influenced from outside the
text, as it were. After the researcher chooses a suitable text, he or she tells readers in advance
that the text is taken either from a literary story or a recent story in a newspaper. Does
the preliminary orientation towards its genre influence the reader? (For other examples of
empirical designs, see Miall, 2006.)
These three designs can be adapted to investigate a number of empirical questions:
manipulation of a text feature; within-text differences, such as foregrounding; and the
framing of a reading by preliminary genre categorisation. In the next section, I present
an empirical study of foregrounding based on the manipulation paradigm and discuss its
implications for understanding literariness in more detail.
Literary reading has had a number of claims made for its efficacy in understanding others
(that is, empathy), moral development, outgroup perception, etc. But are such effects dis-
tinctive to literature, or merely a result of the contents of the text being read? In other words,
does literary quality have any systematic value in bringing about such effects? If so, how are
literary qualities (that is, literariness) recognised or defined? Mukařovský was responsible
for the term ‘foregrounding’ – that is, the bringing to our attention of important and effec-
tive features of the literary text. The literary device is said to have the effect of disrupting
or prolonging perception, thus renewing our understanding of the world around us. Other
explanations of the effect of literature involve instructive content, empathy of the reader, or
textual features other than foregrounding. Hakemulder (2004) points out that none of these
explanations involve features distinctive to literary reading and that foregrounding itself
occurs frequently in non-literary contexts, although its presence there is usually unsystem-
atic and has little influence on the reader. A metaphor in a newspaper article, for instance,
may be more likely to irritate a reader rather than interest or entertain her.
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reduced the foregrounding. Foregrounding in the poem was predicted to increase the read-
er’s appreciation for Nabokov’s treatment of love. The manipulated version was designed
to remove all foregrounding. Participants answered both appreciation measures and per-
ception measures – that is, questions about the perceived complexity of the poem, such as
whether they understood the poem, whether it had more than one level of interpretation,
whether it was ambiguous, or whether it contained unnamed implications. The study also
included a questionnaire on the participant’s concept of love, consisting of thirteen bipolar
adjective scales (for example fragile–strong, temporal–permanent, etc.). Since experience
of literary reading was considered likely to affect the outcome, readers were also asked
about how much time they had spent reading during the week prior to the experiment.
Participants in the experimental groups read the poem, and answered the evaluation and
perceived complexity questions, then repeated the procedure by rereading the poem and
answering the questions again.
Results showed that some significant shifts in predicted directions occurred. In particu-
lar, the overall appreciation scores for the Nabokov poem were markedly higher than for
the Rushdie passage used in experiment 1. Emergent effects that showed significant shifts
for the original, but not the manipulated, version of the poem included seeing new aspects
at second reading, whether the poem was enjoyable, and whether a third reading would be
richer. Results from the bipolar adjectives test produced several interpretable factors, cor-
responding to those that were projected: at the second level, eternal love; at a third level,
that eternal love is transitory (an implication of Nabokov’s poem).
Appreciation measures also showed several significant findings. On enjoyment, the high
foregrounding group shifted upwards, from a first reading of 4.78 to 5.30 at second reading.
The low foregrounding group, in contrast, scored lower on the second reading, at 4.37 and
3.93, respectively. Emergent effects that occurred for second readings showed higher scores
for those reading the original poem. For example, for new aspects perceived at the second
reading, poem readers scored 3.78 compared with 2.62 for those receiving the manipulated
version. For whether readers would benefit from a third reading, mean scores were 4.37
(original version) and 3.06 (manipulated version). Emergent effects, if they were present,
occurred unconsciously, since there were no reports that the text was easier to understand
on a second reading, nor that its ambiguity or implicit meaning were better detected – but
this is not surprising: such meanings may not occur consciously until a poem has been read
a dozen times. The literariness of a given text may be difficult to experience for some readers
with some texts.
Conclusion
Not any text can trigger a literary reading. Conventions may be responsible for the recogni-
tion of literary text features (see Schmidt, 1982), but the present studies show that it is more
likely in many cases that text features are responsible for triggering conventions. Literary
reading, then, is an interaction of text variables and reader variables (if attempting a defini-
tion of literariness, this is a place to start). The finding that reported that reading frequency,
as measured in Hakemulder’s (2004) experiment 2, made no contribution to depth of appre-
ciation suggests that immediate experience of the text plays a key role. As Hakemulder
(2004: 213) puts it, it is the experiencing of textual features that seems to cause emergent
literary effects: features such as narrator ambiguity, free indirect discourse, or foreground-
ing may direct a reader’s attention to the text world being created as he or she reads. This
autonomy of the text is one way of regarding the experience of literariness. That readers
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are aware of such emergent effects indicates a predisposition to be moved (in complex
ways) by the act of literary reading, especially when supported by states of absorption or
immersion – of being ‘lost in a book’. To put it another way, literariness includes recogni-
tion of foregrounding and can, at the same time, raise awareness of the phenomena of the
external world – in the case of the present studies, the experience of immigrants and the
transience of love. Literariness thus involves both a feeling for the textures and dynamics
of the literary work, and an immersion in the ambivalence of the human predicaments that
are represented in it.
Related topics
cognitive stylistics; literary narrative; literary stylistics and creativity; poetry and poetics
Further readings
Attridge, D. (2004) The Singularity of Literature, London: Routledge.
This is one of the most succinct and forceful statements on what is distinctive about literary texts.
Leech, G. (2008) Language in Literature: Style and Foregrounding, Harlow: Pearson Longman.
Leech, a prominent leader of the British stylistics school, offers a detailed and extensive account of
the range of stylistic features that occur in literary texts.
Miall, D. S. (2006) Literary Reading: Empirical and Theoretical Studies, New York: Peter Lang.
This comprises extensive coverage of empirical studies of reading – their aims, scope, and limitations –
all described from the perspective of an empirical scholar.
Stockwell, P. (2012) Texture: A Cognitive Aesthetics of Reading, Edinburgh: Edinburgh University
Press.
Stockwell makes an important contribution to explaining literary reading from the perspective of
cognitive poetics.
van Peer, W. (ed.) (2008) The Quality of Literature: Linguistic Studies in Literary Evaluation,
Amsterdam: John Benjamins.
A range of different perspectives on the contentious problem of evaluating literary works are
presented in this text, edited by a noted theorist of empirical studies.
References
Attridge, D. (2004) The Singularity of Literature, London: Routledge.
Blake, W. (1794) Songs of Innocence and of Experience, London: William Blake.
Burke, E. (1990) A Philosophic Enquiry into the Origin of Our Ideas of the Sublime and Beautiful, ed.
A. Phillips, Oxford: Oxford University Press. (Original work first published 1757.)
Clynes, J. R. (1937) Memoirs: 1869–1924, London: Hutchinson.
Cunningham, V. (2002) Reading after Theory, Oxford: Blackwell.
Dixon, P., Bortolussi, M., Twilley, L. C., and Leung, A. (1993) ‘Literary processing and interpreta-
tion: Towards empirical foundations’, Poetics, 22(1): 5–33.
Eagleton, T. (1983) Literary Theory: An Introduction, Oxford: Blackwell.
Eichenbaum, B. M. (1971) ‘The theory of the formal method’, in L. Matejka and K. Pomorska (eds)
Readings in Russian Poetics: Formalist and Structuralist Views, Ann Arbor, MI: Michigan Slavic
Publications, pp. 3–37.
Erlich, V. (1981) Russian Formalism: History – Doctrine, 3rd edn, New Haven, CT: Yale University
Press.
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Garvin, P. L. (ed.) (1964) A Prague School Reader on Esthetics, Literary Structure, and Style,
Washington, DC: Georgetown University Press.
Green, M. C. (2004) ‘Transportation into narrative worlds: The role of prior knowledge and perceived
realism’, Discourse Processes, 38(2): 247–66.
Hakemulder, J. F. (2004) ‘Foregrounding and its effect on readers’ perception’, Discourse Processes,
38(2): 193–218.
Hanauer, D. (1996) ‘Integrations of phonetic and graphic features in poetic text categorization
judgements’, Poetics, 23(5): 363–80.
Hillyer, R. (1967) Country Boy, London: Hodder & Stoughton.
Hoffstaedter, P. (1987) ‘Poetic text processing and its empirical investigation’, Poetics, 16(1): 75–91.
Jakobson, R. (1978 [1935]) ‘The dominant’, in L. Matejka and K. Pomorska (eds) Readings in Russian
Poetics: Formalist and Structuralist Views, Ann Arbor, MI: Michigan Slavic Publications, pp. 82–7.
Lemon, L. T., and Reis, M. J. (eds) (1965) Russian Formalist Criticism: Four Essays, Lincoln, NE:
University of Nebraska Press.
Levin, S. R. (1962) Linguistic Structures in Poetry, The Hague: Mouton.
Martindale, C. (1990) The Clockwork Muse: The Predictability of Artistic Change, New York: Basic
Books.
Miall, D. S. (2006) ‘Empirical approaches to studying literary readers: The state of the discipline’,
Book History, 9(1): 291–311.
Miall, D. S., and Kuiken, D. (1994) ‘Foregrounding, defamiliarization and affect: Responses to literary
stories’, Poetics, 22(5): 389–421.
Mukařovský, J. (1964) ‘Standard language and poetic language’, in P. L. Garvin. (ed.) A Prague
School Reader on Esthetics, Literary Structure, and Style, Washington, DC: Georgetown University
Press, pp. 17–30.
Pratt, M. L. (1977) Toward a Speech Act Theory of Literary Discourse, Bloomington, IN: Indiana
University Press.
Rose, J. (2001) The Intellectual Life of the British Working Classes, New Haven, CT: Yale University
Press.
Schmidt, S. (1982) Foundations for the Empirical Study of Literature: The Components of a Basic
Theory, trans. R. de Beaugrande, Hamburg: Buske.
Shklovsky, V. (1965 [1917]) ‘Art as technique’, in L. T. Lemon and J. R. Marion (eds) Russian
Formalist Criticism: Four Essays, Lincoln, NE: University of Nebraska Press, pp. 3–24.
Spencer, H. (1882) The Philosophy of Style, New York: Humboldt Library.
Stockwell, P. (2012) Texture: A Cognitive Aesthetics of Reading, Edinburgh: Edinburgh University Press.
Trotsky, L. (1925 [1924]) Literature and Revolution, ed. W. Keach, New York: International Publishers.
van Peer, W. (1986) Stylistics and Psychology: Investigations of Foregrounding, London: Croom Helm.
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12
Literary stylistics and creativity
Geoff Hall
Introduction
The study of creativity is arguably central to the discipline of stylistics. An important
way in which to understand stylistics is as the study of a distinctive style in a work or
an author, or a genre or a period. A distinct style is taken to create distinct significance
(compare Wales, 2011: ‘Style’; ‘Stylistics’). Creativity, in turn, is generally understood
now as valued and unexpected innovation, making new connections (for example Jones,
2012). Stylistics thus fundamentally begins from a textual study of what is new, different,
or distinctive about language use in a text. The interest, however, is not purely linguistic,
but functional, in the sense that linguistic choices are taken to represent meaningful
choices. In more recent times therefore, as I shall show, stylistics has moved from a
purely textual search for distinctiveness and innovation to a broader understanding of
language use as discourse, with the result that notions such as ‘value’ and the expected
or unexpected aspects of language use must necessarily involve study of the production,
reception, and dissemination of texts in specific contexts without which, it is now felt,
formal features cannot be fully described and understood. Who exactly notices or values
these features, and why might that be? Beyond this, though, stylistics now ranges far
beyond the study of classic mainstream literature: literary stylistics remains at the centre
of much stylistic writing and research, and literature is prototypically understood (even
when this is problematised) as ‘valued literature’ – texts valued, especially in modern
times, for their innovatory properties. Thus literary stylistics can be claimed to be centrally
concerned with the study of linguistic and discursive creativity in literary texts.
Formalist stylistics
The teaching of stylistics usually begins with the fundamental notion still of ‘deviant’
language, which is ‘foregrounded’ for readers’ attention by being unusually formulated,
the form drawing attention to itself as in Jakobson’s (1960) celebrated model of ‘poetic’
communication, in which poetry is itself conceived of as prototypical ‘literature’. Jakobson
proposes that unusual uses of language are noticed and so perform an important role in a
reader’s construction of meaning from a text. An unusual use is, of course, implicitly a
comparative notion: ‘unusual’ compared to the usual. The usual can be seen as the norms of
standard language use, or even the usual ways in which a writer uses language, and in one
view can be looked at statistically, as a question of comparative frequencies of occurrence of
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argued for ‘defamiliarisation’ (or ‘deautomatisation’) as the driving force of literary crea-
tion: ‘Art exists to [renew perception] . . . ’. Equally dramatically, Roman Jakobson (quoted
in Eagleton, 2011: 2) described literature as ‘organized violence committed on ordinary
speech’. Paying attention to the language of other forms, a reader is led to think and notice
in refreshed and non-habitual ways.
Geoffrey Leech (1969, 2008), who developed and illustrated the deviance tradition very
lucidly for later British stylistics, famously noted the unusual lexico-grammar of Dylan
Thomas’ ‘A Grief Ago’, both in itself, but also, since the device is used by Thomas elsewhere
as well, as a feature of Thomas’ (habitual) style. Schematically, Leech (2008) makes a useful
distinction between primary deviation (deviation against the background of general linguistic
norms), secondary deviation (deviation against the norms of conventional poetic regularity,
as in metrical variation and run-on lines in verse), and tertiary deviation (deviation against
norms established within a literary text).
Jakobson (1960) himself instanced as ‘poetic language’ a political slogan of his time,
‘I like Ike’, in which the utterance is clearly patterned to be noticeable and memorable.
Perhaps counterintuitively, parallelism and repetitions can also be centrally creative – a
point to which I return in discussing genre later in this chapter. On the stylistic signifi-
cance of repetition in literature, see in particular the work of Toolan (2012; see also Toolan,
Chapter 14), who has persuasively traced the emotional effects of repetition in fiction and
poetry. The difference between foregrounded form and repetition in promotional discourse
such as ‘I like Ike’, or advertising more generally, and in literature lies, for Jakobson, in the
differing functions of similar devices in Dylan Thomas or Gerard Manley Hopkins and in
political propaganda. In the one case, the function is clearly to sell something or someone
to a defined market, while the purpose of literature is less clearly focused, but usually taken
to relate to imaginative activity and pleasure in play, including language play, and more
highly valued as creative rather than utilitarian. Nevertheless, linguistically and textually
the two practices cannot be distinguished out of context, and an individual reader or viewer
may take as much pleasure, or more, from a good jingle as from a modernist poem (whereas
an overt concern with form and language, from T. S. Eliot to John Ashbery, may be viewed
more negatively as ‘elitist’). With this differentiation, then, of ‘literature’ and advertising’
(for example), the idea that literariness, and hence creativity, can be purely linguistic and
textual is again slipping away, as is the idea that literary creativity is a distinct kind of activ-
ity. A more modern position in stylistics, as in literary theory, is to recognise that there is a
continuum, rather than a dichotomy, between literary and non-literary uses of language, and
that literature, or style, is not a purely linguistic category, but rather a socioculturally medi-
ated way of taking meaning from texts in contexts, albeit admittedly particularly from texts
that tend to offer more unusual or more stimulating linguistic or formal devices (Carter,
2004; Maybin, Chapter 1). Deviance is hard to identify in many cases and not a sufficient
explanation for literary meaning making or valuation, but certainly will often enter into
perceptions of literariness and of the valuation of a particular text or utterance. Similarly,
repetition can be valued or disvalued in different circumstances and contexts. The form
itself has no essential meaning or value.
Thus Toolan (2012) investigates, in a stimulating essay, the paradox that valued literature
is typically repetitive, but yet not all repetition in literature is valued. ‘Formula’ or ‘genre’
popular literature (Mills and Boon romances, for example) are not highly valued, while the
writings of James Joyce or Beckett are (see also Attridge, 2004). Literature is often charac-
terised, for Toolan (2012: 21), by ‘exceptionally adept uses of repetition’, with an example
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given from a Seamus Heaney poem. Jakobson’s parallelism, it is noted, is essentially another
way of saying ‘repetition’, and in general the patterning for which stylistic analysts look will
be variations on repetition (see also the discussion of cliché, below). Even here, I would
emphasise in response to Toolan that the repetition in D. H. Lawrence’s great novels, The
Rainbow (1915) or (even more so) Women in Love (1920), is valued by some, but criticised as
repetitious, heavy-handed, and obfuscating by others. The repetition is textual, the valuation
demonstrably varies, although I would probably put more weight on sociocultural explanations
for this than would Toolan in his more textual approach.
Interest in repetition and difference also informs a later development of formalism less
studied and reported on in Western literary studies than are deviance and foregrounding.
This was the work on literary evolution or literary history, and particularly the history of
genre evolution. This work is worth highlighting, however, in a discussion of how stylistics
studies creativity, both of itself and for its links to the ongoing and later development of
another twentieth-century theoretical school: the Bakhtin circle. By 1928, Jakobson had left
Russia for Prague and, visited there from Russia by Juri Tynjanov, they formulated together
an important set of hypotheses around what would come to be called ‘literary evolution’.
The focus was now not so much on innovation in individual works as it was on innovation
in literary forms and schools. Why and how do new modes of writing come into being and
become more highly valued, even as the older forms go out of fashion and seem to offer no
further space for innovation (at that juncture, at least)? Their insistence now was that ‘evo-
lution is inescapably of a systemic nature’ (Jakobson & Tynjanov, 1981 [1928]: 79) – that
is, a new form cannot be understood without looking at all of the forms from which it con-
sciously distinguishes itself: a comparative perspective again. Moreover, this perspective
required the integration of what the linguistically trained Jakobson and Tynjanov (1928)
called the synchronic and the diachronic – that is, historical social and cultural environ-
ments were relevant to literary developments, as well as the literary order itself. A new form
develops because it is different from previously existing forms (a Saussurean structuralist
principle), but also it develops because there are new speakers with new things to say and
new experiences to write about (determinants external to the linguistic or literary system):
change is not purely endogenous-internal and is not unmotivated even if it can be seen to
take determinable forms. All forms, it was claimed, like all languages, as we recognise now,
are continuously undergoing change, but these changes are not random, and can be studied
and understood at least retrospectively, as variation from a ‘dominant’ form and style of a
previous age. There is a system, but the system is changing all the time: what might now be
called an ‘emergent’ system. The idea, developed further in later writings of Tynjanov in
particular, is one of ongoing and unceasing ‘struggle’ for dominance between the new and
the old – an idea anticipating a key claim of Bakhtin and Voloshinov, who were also begin-
ning to publish around this time, although keen to distinguish their work from so-called
scientific ‘formalisms’ (see also Erlich, 1980: ch. 14). The insight in Jakobson and other
formalist writings that thought can be driven by language as much as language by thought
is valuable for our understanding of creative and innovative thinking.
Elsewhere, Tomashevsky wrote of artistic evolution or innovation as ‘creative deforma-
tion’, and insisted that the ‘perceptibility’ of devices, apparent novelty, may actually be a
return to an older, but recently unused device or form. For Shklovsky (quoted in Erlich,
1980: xiv), ‘creation means change’, although, of course, not all change will be generally
positively evaluated. Thus, for later formalists, Shklovsky’s idea of change as driven by
‘deautomatisation’ in art was not sufficient. Zhirmunskii, for example, in a polemic with
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Shklovsky, argued that evolution cannot be accounted for in purely literary terms (quoted
in Erlich, 1980: 256): ‘The theory of automatization can explain only the fact of “move-
ment” in literature, the inner necessity for its evolution, but not the nature or the forms of
this development.’ Later, in Prague, perhaps not coincidentally at the same time as Nazi
forces were occupying Czechoslovakia, Mukařovský (quoted in Erlich, 1980: 256) made a
stronger case still:
Each change in artistic structure is induced from the outside, either directly, under the
immediate impact of social change, or indirectly, under the influence of a development
in one of the parallel cultural domains, such as science, economics, politics, language,
etc. The way, however, in which the given external challenge is met and the form to
which it gives rise depend on the factors inherent in the artistic structure.
Tynjanov saw parody in particular as a key moment in artistic development, when the old
is sufficiently well known to be invoked, but can no longer be taken seriously as adequate
expression and is becoming somewhat laughable. Again, we are reminded of Bakhtin on
creativity and the importance of style: parody is an inappropriate or ironic, ‘knowing’ per-
formance or imitation of a known pre-existing style, amusing in itself, but also intended
to critique the inadequacy of the previous way of using language and of previous ways
of thinking. The important factor to stress is again that of function: context, as well as
content, make the difference; the parodied form would not be used to express that thought
and therefore must be taken as parody. The parody is therefore understood ironically, itself
inherently pleasurable to read and recognisable, but beyond that implicitly critiquing a
previous ideological position, a way of thinking and using language no longer tenable.
Lewis Carroll parodies established nursery rhymes expressing pious Victorian thoughts in
Alice’s Adventures in Wonderland (1865) because he finds such beliefs and such ways of
teaching children both banal and wrong-headed. Readers are therefore invited to dismiss
them by laughing at them.
A related and final important idea found in formalist writings on literary evolution,
congruent with the points already made, is that the most highly valued literature can be
understood and valued only against second- and third-rate contemporary writings; high,
‘creative’ literature is organically related to more popular literature. These works will all
borrow from each other and use each other’s devices, just as (for example) Shklovsky
insisted that the skaz (folk tale) informed the development of the Russian novel (see also
Propp, 1928) or as Bakhtin (1986) insists on the origin of literary genres in ordinary
everyday ‘speech genres’. Such positions are consonant with more modern ideas of the
continuum of creativity, as opposed to exceptionalist ideas of literary creation, and crea-
tivity as perpetual and deliberate ongoing transformation of materials at hand into more
highly valued ‘new’ forms, rather than the genius creating ex nihilo (‘out of nothing’)
(compare, for example, Pope, 2005, as well as Carter, 2004). D. H. Lawrence’s writings
on love and sexual attraction are different, but not completely distinguishable, from mass
readership romances of the later twentieth century if considered in purely linguistic terms,
but they are valued quite differently (see Nash, 1990).
Discourse stylistics
With Bakhtin, many of whose writings revolve around investigations of creativity, we
move from structuralism to a poststructuralist conceptualisation of creativity, from text
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to discourse (see also Jones, Chapter 3). Bakhtin took strong exception to the idea that
creativity can be considered as merely a rearrangement of the same old elements if that is
what formalism seems at times to suggest. (I would argue that, at its best, it exceeds such
thinking.) To catalogue the elements or devices of a work, or even of a genre, is rather like
using grammar rules to explain invented sentences, and it cannot account for pragmatic
meanings of utterances in use. Genre, for Bakhtin, is not to be seen as a mere collection
of ‘devices’, but as a worldview, a vision of reality, and an intervention, inevitably partial,
although it is claimed that the novel has the potential to show its users more than other
genres. In this view, people respond to meanings, rather than language to language. The key
to understanding genre, for Bakhtin and the Bakhtin circle, is the notion of any utterance
being inhabited by, but nevertheless being a new, unique and distinctive, meaningful and
evaluative inflection of, the words of others, ‘appropriated’ and ‘accented’ for new purposes
in new circumstances. Bakhtin’s most highly valued genre, or super-genre (exceeding the
limits of previous genres), is the novel, its very name taken to indicate its potential for new
ways of thinking and seeing, precisely because it is so catholic and capacious in the way in
which it can borrow words of others – particularly in what Bakhtin called the ‘polyphonic’
novel, best exemplified for him by Dostoevsky’s work. A literary genre like the novel
includes ‘secondary’ transformations of multiple ‘primary’ speech genres and everyday
genres, such as letters, diaries, and narratives. The novel, Bakhtin insists, relies on ‘extra-
artistic’ sources for its new inflections and combinations. Genres, for Bakhtin, are forms
of thinking, and are the major contribution of the humanities to Western thought and so to
creativity, because they make alternative ways of thinking and seeing (and using language)
possible. Crucially, literary genres offer an excess of potential for differential thinking
beyond what is apparent in their own age, and to their own authors and first readers. The
adaptability of genres is emphasised and the idea of cross-fertilisation.
In valuable Bakhtinian studies of the development of polyphonic free indirect speech by
canonical modernist writers of fiction such as Lawrence and Woolf, Sotirova (2011, 2013)
shows the workings of creativity as adaptation of an established technique into new ways
of thinking and writing about the individual consciousness and interpersonal relationships.
The distinct intonations of narrator and character perceived by readers in a work such as
Austen’s Pride and Prejudice (1813) are difficult or impossible to distinguish by the time
of Lawrence’s The Rainbow (1915), or Woolf’s The Waves (1931). This is not because the
writing is poorer or less self-assured (as some misinterpretations have it), but rather because
ideas of truth, reality, and the individual consciousness had changed across the twentieth
century and into modern times.
Julia Kristeva is usually credited with popularising Bakhtinian notions of transforma-
tions of the words of others into today’s widespread conception across many disciplines of
creation as ‘intertextuality’, emphasising Bakhtin’s proto-poststructuralist idea of unfinal-
isability, the openness and inexhaustibility of semiosis in Kristeva’s own later reformula-
tions. (See Allen, 2011, for an historical and theoretical introduction to literary intertex-
tuality.) Particularly attractive for key theoreticians of intertextuality such as Barthes (as
summarised in Allen, 2011) was the idea of heteroglossia, the mixing of styles and genres
in (for Bakhtin) the most highly valued literature – notably, the ‘polyphonic’ (many-voiced)
novels of Dostoevsky. ‘Voices’, as signalled to readers by style shifts, are a central concern
of any such analysis of novels and narration more widely, including key narratological
issues such as focalisation and free indirect discourse. An evolution of the novel form from
the romance of earlier ages is shown by Bakhtin (1981) to make possible new ways of think-
ing and talking about space and time, consonant with other social and cultural advances of
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the modern age. In all of these ideas, the ascertainable derivation of new and creative forms
and ideas from those pre-existing is a common theme.
Later, Derrida (1980) wrote in characteristically provocative ways of the simultaneous
necessity, but impossibility, of genre for creative literature in particular. Repetition is a
necessary, but impossible, condition for the workings of genre in this argument, and indeed
Derrida’s implicit argument seems to be that the most worthwhile literature will not quite
fit any single genre even while playing with the possibilities offered by various genres.
More modestly, Derrida could be read as claiming that all genres are necessarily intrinsi-
cally hybrid forms never finally allocatable to one single generic (assumed) tradition. In
applied linguistic terms, this is also the position of Kress and Threadgold (1988), for
example. Once again, repetition teases the researcher into creativity into or out of thought
(as Keats might have had it). Genre is always mixed and processual (coming-into-being),
but also constraining and pre-existent, and is therefore arguably both conservative and
potentially subversive. The study of genre(s) in such a view can be seen as the entry into
studies of creativity in language, ideology, and even of newly creative social identities (see
Jones, Chapter 3; Bhatia, Chapter 9).
To consider a concrete example, the sonnet may be thought of by some as among the
most fixed of literary genres. In the Victorian age, when there was a fascination with
form and experimentation with forms not always recognised today, George Meredith, in
his Modern Love sequence (1862), produced sixteen-line narrative sonnet sequences, yet
many of us have been taught in school that sonnets, by definition, have only fourteen lines.
Meredith’s poems are nevertheless defensible and readable as sonnets – or at least as an
orientation towards the classic sonnet – because of their structure, rhyme scheme, and
concerns with love, but love for Meredith (‘modern love’) is now treacherous, adulterous,
and leads to divorce, rather than echoes idealised cries to an unattainable Petrarchan or
Shakespearean loved one. The sonnet has evolved to express new content and ideas. In the
twentieth century, Tony Harrison also used sixteen-line sonnet sequences to write about
his relationship with his parents in the From the School of Eloquence sequence (1978).
Thus genre – for example, with the sonnet – can be shown to be more flexible than some-
times believed. In an interview, Harrison referred to Milton’s earlier experimentation with
the sonnet form to write about politics and religious violence as an important precedent for
him in rethinking what he could do with the sonnet and in deliberately appropriating it for
new contemporary purposes.
Staying with stylistic creativity as heteroglossia and transformation of supposed genre
boundaries, a canonical poet such as Larkin (see examples in Toolan, 2012) deliberately
and effectively mixes styles and registers to express his own contemporary thought and
feelings. Cliché – supposedly the antithesis of literary creativity as originality and fresh
expression – is repeatedly used by Larkin for effect. Hall (2000) writes on the pervasive use
of cliché in Harrison: ‘wish you were here’, for example, is reframed from holiday postcard
cliché to function as a particularly poignant farewell to his deceased parents. Normally
unremarkable language is repeatedly foregrounded and held up for closer contemplation
in the context of Harrison’s late modern sonnets. Elsewhere, Samuel Beckett’s pervasive
uses of cliché are studied with great subtlety by Barry (2006), as Beckett explores religion,
memory, literary, and other forms of authority, and indeed of the human condition as he
sees it. Beckett, it goes without saying, consciously working in the ‘wake’ of James Joyce,
but also of Flaubert and Proust, was one of the most creative and influential writers of the
twentieth century, but this was not despite, but because of, his pervasive and defining use
of cliché – that is, supposedly worn-out, meaningless, or uninteresting uses of language.
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Again, how the language is used and its contexts of use show creativity in writing, rather
than the forms themselves being intrinsically ‘creative’ or not. The language of the Bible,
or of wider western European culture, is foregrounded and questioned by Beckett, as Barry
reads his writing as a sustained interrogation of ‘authority’ in all of its forms. Beckett’s lin-
guistic strategies to achieve these wider aims are shown by Barry to be typically achieved
by means of the modification of clichéd phrases, or through recontextualisation, including
deliberately inappropriate or unexpected uses of set, intertextually recognisable phrases, as
suggested by Bakhtin and the formalists’ notion of ‘parody’.
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Another related area of creativity in language use on which stylistics is beginning to work
more systematically is literary writing in the so-called new Englishes, world Englishes, or
indeed beyond the ideology of a single self-contained language in our brave new multilin-
guistic and multicultural world – what Makoni and Pennycook (2007) and others characterise
as ‘translanguaging’, which moves beyond anything that can be captured by classic notions
of ‘code switching’ and bilingualism. In the kind of writings instanced in Ahmad (2007) and
Chi’en (2004), we see again that value and creativity are typically contested topics and very
much to be read in context. In those examples, the very notion of a single language called
‘English’ is effectively called into question more radically than the older ideas of ‘deviance’
or variation can capture. Value and ‘verbal art’ (Bauman, 1975) in such work are contested
in Bakhtinian fashion in creative, innovative ways, with group and personal identities at
stake. Literary creativity in ‘new/world Englishes’ is understudied or only poorly studied
from the point of view of discourse stylistics. Talib (2002), Kachru (1985), or Chi’en (2004)
focus too heavily on forms alone, ironically reinforcing hierarchies of value and power by
foregrounding ‘non-standard’ uses of language, often from what seems an increasingly dated
nationalistic and standard language perspective, whereby a national literature is assumed to
be easily identified and the best way in which to consider language use in literary creativity
is as variation from an assumed norm. They invoke the concept of ‘speech communities’
in which a more post structuralist take on sociolinguistics and identity prefers to consider
more contingent and shifting ‘communities of practice’ in the contemporary world (compare
Eckert, 2000). From the more contemporary perspective of ‘translanguaging’, to look at
incidental linguistic features of dialect representation is inadequate, if not rather beside the
point. Rushdie and Arundhati Roy, but also Ha Jin, Xinran, and other Chinese diasporic writ-
ers, are using English in their own ways for their own purposes, and it is not helpful to hunt
for tokens of the exotic in their work (see Ahmad, 2007, for examples of texts that would
prompt such analyses). Some indicative, more sophisticated, analysis can be found in Pope
(2005) or Vethamani and McRae (2005), but there is no extended and systematic stylistic
writing on this cutting-edge literary work as discourse rather than as, on the one hand, words
and sentences, or on the other, literary criticism. Much more remains to be done in this chal-
lenging field to help us to better understand the larger issue of how creativity in language
emerges and works, as well as to illuminate individual works and authors, to mediate, in fact,
more traditionally linguistic and more literary approaches.
Sanders (2015), in the same way, usefully summarises and extends work on multi-
modality, adaptation, and appropriation – for example ongoing and ever-more-popular
transmutations of Lewis Carroll’s Alice books – but again more precise stylistic work
of the transformations needs to be done to extend the reach of stylistics, and also to
deepen understandings of how such cross-modal creativity can be seen to work to the
benefit of both literary studies and of stylistics. The playfulness and characteristic pas-
tiche and parody of much postmodern writing, largely intertextual in nature, would seem
to require more careful stylistic analysis – specific attention to the details of the workings
of language – than they are usually given. Beyond this, are reading and writing practices
of modern audiences changing with new media and the ever-expanding availability and
accessibility of multiple texts and modalities? It seems likely, but is an empirical question
that will require further reader research to understand better (compare Swann, Chapter 16,
on the study of readerships and literary reading). Jones (2012) includes important sugges-
tive short essays by Thurlow and others on creativity in the new media, which can point us
in directions for more future research.
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Conclusion
In my opening paragraphs, I cited modern understandings of creativity as deliberate, valued
innovation. The challenge for a discourse stylistics of creativity is to show, with any given
text or set of texts, how they meet these criteria. Specifically, it needs to be shown how
and why a text is, or came to be, valued for these qualities and by whom, and generally the
context-bound nature of creative uses of language. Hence my own chapter here touches on
relevant research in sociolinguistics and discourse analysis. My examples in passing of par-
ody, cliché use, and creativity in world Englishes are intended to give an idea of what such
an approach might study and how it might study it. I have also given some indication of the
overlapping issue of how this study is being extended to creative, and arguably literary or
near-literary, uses of language in the rapidly developing new communicative media. There
is an exciting, ever-expanding body of work to be done on the stylistics of literary creativity,
which can build on or extend most of the topics discussed in this volume.
Related topics
cognitive stylistics; creativity and discourse analysis; creativity and Internet communication;
literariness; literary narrative; literature and multimodality; poetry and poetics
Further reading
Ahmad, D. (2007) Rotten English, New York: Norton.
This is an anthology of creativity in the so-called new Englishes.
Allen, G. (2011) Intertextuality, 2nd edn, London/New York: Routledge.
This book contains a useful introduction to intertextuality and its later developments into the study
of multimodal creative adaptations and appropriations.
Fowler, R. (1982) Literature as Social Discourse: The Practice of Linguistic Criticism, Bloomington,
IN: Indiana University Press.
This volume contains some of the best stylistic analyses of literature from a Bakhtinian perspective
to date, but much more interesting work remains to be done in this vein.
Jakobson, R. (1960) ‘Linguistics and poetics’, in T. Sebeok (ed.) Style in Language, Cambridge, MA:
MIT Press, pp. 350–77.
This is a classic statement of modern textual stylistics – a benchmark for the discipline, even though
many now would want to play up the functional aspects more than the textual-linguistic aspects, as
argued in this chapter.
Leech, G. N. (1969) A Linguistic Guide to English Poetry, Harlow: Longman.
This is another classic of stylistics, well worth revisiting for its lucidly argued and illustrated exam-
ples of textual and linguistic creativity in mostly canonical valued literary texts. Updated examples
of the approach can be found in Leech (2008).
References
Ahmad, D. (2007) Rotten English, New York: Norton.
Allen, G. (2011) Intertextuality, 2nd edn, London/New York: Routledge.
Attridge, D. (2004) The Singularity of Literature, London: Routledge.
Austen, J. (1813) Pride and Prejudice, London: T. Egerton.
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Bakhtin, M. M. (1981) The Dialogic Imagination: Four Essays, trans. C. Emerson and M. Holquist,
Austin, TX: University of Texas Press.
Bakhtin, M. M. (1986) Speech Genres and Other Late Essays, trans. V. W. McGee, eds C. Emerson
and M. Holquist, Austin, TX: University of Texas Press.
Barry, E. (2006) Beckett and Authority: The Uses of Cliché, Basingstoke: Palgrave Macmillan.
Bauman, R. (1975) ‘Verbal art as performance’, American Anthropologist, 77 (2): 290–311.
Carroll, L. (1865) Alice’s Adventures in Wonderland, London: Macmillan.
Carter, R. A. (2004) Language and Creativity, London: Routledge.
Carter, R. A., and Fung, L. (2007) ‘New varieties, new creativities: ICQ and English-Cantonese
e-discourse’, Language and Literature, 16(4): 361–82.
Chi’en, E. N. M. (2004) Weird English, Cambridge, MA: Harvard University Press.
Coupland, N. (2007) Style, Cambridge: Cambridge University Press.
Derrida, J. (1980) ‘The law of genre’, Glyph, 7: 202–32.
Dorst, A. G. (2015) ‘More or different metaphors in fiction?’, Language and Literature, 24(1): 13–22.
Eagleton, T. (2011) Literary Theory: An Introduction, 2nd edn, New York: John Wiley & Sons.
Eckert, P. (2000) Linguistic Variation as Social Practice, Oxford: Blackwell.
Erlich, V. (1980) Russian Formalism: History–Doctrine, 4th edn, The Hague: Mouton.
Hall, G. (2000) ‘Coining phrases: Cliché and creativity in the poetry of Tony Harrison’, in L. Jeffries
and P. Sansom (eds) Contemporary Poems: Critical Approaches to Recent British and Irish Poetry,
Sheffield: Smith/Doorstop Books, pp. 38–53.
Harrison, T. (1978) From the School of Eloquence, London: Rex Collins.
Hoover, D. (2007) ‘Corpus stylistics, stylometry and the styles of Henry James’, Style, 41(2):
174–203.
Jakobson, R. (1960) ‘Linguistics and poetics’, in T. A. Sebeok (ed.) Style and Language, Cambridge,
MA: MIT Press, pp. 350–77.
Jakobson, R., and Tynjanov, J. (1981 [1928]) ‘Problems in the study of language and literature’, trans.
H. Eagle, in L. Matejka and K. Pomorska (eds) Readings in Russian Poetics, Cambridge, MA: MIT
Press, pp. 79–81.
Jones, R. H. (ed.) (2012) Discourse and Creativity, Harlow: Pearson.
Kachru, B. (1985) ‘The bilingual’s creativity’, Annual Review of Applied Linguistics, 6: 20–33.
Kress, G., and Threadgold, T. (1988) ‘Towards a social theory of genre’, Southern Review, 21(3):
215–43.
Lawrence, D. H. (1915) The Rainbow, London: Modern Library.
Lawrence, D. H. (1920) Women in Love, London: Thomas Seltzer.
Leech, G. N. (1969) A Linguistic Guide to English Poetry, Harlow: Longman.
Leech, G. N. (2008) Language in Literature: Style and Foregrounding, Harlow: Pearson.
Mahlberg, M. (2013) Corpus Stylistics and Dickens’s Fiction, London: Routledge.
Makoni, S., and Pennycook, A. (2007) Disinventing and Reconstituting Languages, Clevedon:
Multilingual Matters.
Meredith, G. (1862) Modern Love, and Poems of the English Roadside, with Poems and Ballads,
London: Chapman & Hall.
Nash, W. (1990) Language in Popular Fiction. London: Routledge.
O’Halloran, K. A. (2012) ‘Performance stylistics: Deleuze and Guattari, poetry and (corpus) linguistics’,
International Journal of English Studies, 12(2): 177–99.
O’Halloran, K. A. (2014) ‘Performance stylistics’, in D. Hoover, J. Culpeper, and K. O’ Halloran (eds)
Digital Literary Studies, Amsterdam: John Benjamins, pp. 146–74.
O’Halloran, K. A. (2015) ‘Creating a film poem with stylistic analysis’, Language and Literature,
24(2): 83–107.
Pope, R. (2005) Creativity, Theory, History and Practice, London/New York: Routledge.
Propp, V. (1968 [1928]) Morphology of the Folktale, ed. L. A. Wagner, Austin, TX: University of
Texas Press.
Sanders, J. (2015) Adaptation and Appropriation, 2nd edn, London: Routledge.
Scott, J. (2014) Creative Writing and Stylistics, Basingstoke: Palgrave Macmillan.
Shklovsky, V. (1965 [1917]) ‘Art as technique’, in L. T. Lemon and M. J. Reis (eds) Russian Formalist
Criticism, Lincoln, NE: University of Nebraska Press, pp. 3–24.
Short, M. H. (1996) Exploring the Language of Poems, Plays and Prose, London: Routledge.
Sotirova, V. (2011) D. H. Lawrence and Narrative Viewpoint, London: Continuum.
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Cognitive stylistics
Peter Stockwell
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Beardsley (1954a, 1954b) against the ‘intentional fallacy’, on the one hand, and the ‘affec-
tive fallacy’, on the other: do not imagine that you have access to the author’s thoughts, and
do not treat readers as case studies for reading in general.
These injunctions have served stylistics well for a long time. More recently, though, we
have been able to develop better tools for understanding mind and language to the point at
which we can face down these twin prohibitions directly. This better toolkit comes from the
application of cognitive science and literary-linguistic analysis in the form of a cognitive
stylistics, which forms part of a wider cognitive literary studies. The emphasis over the last
couple of decades has been towards a rigorous account of reading and readerly effects; more
recently, and surprisingly, we have been able to develop a similarly systematic account of
what authorial creativity really involves.
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focus and more thematic concerns, a broad ‘cognitive literary studies’ can be discerned (Jaén
& Simon, 2012; Zunshine, 2010, 2015). What all of these associated approaches have in
common is a concern to account for literature as a natural human capacity, and for reading as
an activity that can be understood and explained in a disciplined way.
For cognitive stylistics researchers, style is the creative choice of an author, drawing
upon the capacities that language affords and constrains. Drawing on those same language
capacities, and sharing what might broadly be called their human condition, readers also
engage in creative reconstruction and imaginative construction when reading literature.
Cognitive stylistics or cognitive poetics (I will use the terms interchangeably) is thus
centrally and inherently a discipline that explores literary creativity in all its aspects.
•• Language is not a separate part of human experience, but is fundamental to it. Language
is therefore natural in origin, rather than artificial, or technological, or part of culture;
these aspects emerged interconnectedly and later.
•• Language is embodied in the sense that much of it is dependent on the fact that we all
basically share the same human shape, condition, and experience. So it is not surpris-
ing when we see common metaphors or other language structures across the world’s
languages.
•• Language is built on, and adapts, our other perceptual faculties, such as sight, sound,
touch, taste, smell, and our sense of physical space and movement. There is no separate
‘language module’ in the brain. Patterns in language are thus continuous with these
other aspects of experience.
•• Language includes cognition, perception, memory, anticipation, speculative modelling,
social relationships, meanings, and emotions, and so a disciplined account of it should
encompass these matters as well.
•• Language description must include an account not only of the constraints and habitual
patterns of the system, but also of the creative flexibility and imaginative innovation at
the centre of language practice.
These broad principles can easily be applied to literary reading. In this section, I can very
briefly sketch some of the different aspects of the field. It is important to remember, though,
that almost every literary text and reading can be analysed along every one of these dimen-
sions. In essence, everything connects with everything else. It will become apparent that
creativity is a basic design feature in all of these concepts.
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agency when an object acts on another. There are textual equivalences for all of these figure
and ground relationships.
The ability to foreground a textual element and background the others is, of course, a
matter of the patterning of the text, but it happens in the mind of a reader only with the
involvement of the reader. The process can be automatic and habituated, whereby a particu-
lar reader simply makes sense of the text and does not notice certain elements being placed
into the foreground of attention. Alternatively, the process of foregrounding can be increas-
ingly active and self-aware, as readers notice certain aspects of the text, or are aware of
their own reading process. This can reach its ultimate expression in a case in which a reader
deliberately pays more attention to parts of the text that appear not to have been stylistically
foregrounded by the author. This sort of resistant, or dispreferred, reading is an important
part of the range of responses available to literary readers.
I will return to the notion of resistant reading below, but here we must notice that figur-
ing and grounding seem to be fundamental to language itself. Many forms of cognitive
grammar distinguish between the different prominence given to named objects in a textual
field. It is possible, for example, to regard the agent of a clause typically as having figural
prominence and the other referents in the sentence (such as direct and indirect objects, other
circumstances, instruments, and patients and beneficiaries of the verb, for example) as being
relatively backgrounded. Action and agency are thus matters of figure and ground relation-
ships, and although the text provides the framework for generating these relationships, the
imagination of them happens in the creating mind of the reader.
Figure and ground are not simply crucial matters of clausal grammar that enable cog-
nitive stylisticians to explore prominence, significance, agency, ambience, and texture in
literary works (see Harrison et al., 2014). The human capacity for attending to one thing in
preference to another operates at every level of cognition. So certain characters have more
prominence or significance than others; certain objects in a described room, or aspects of
an imagined landscape, or certain striking descriptions in themselves will offer themselves
for readerly figuration. In short, the entire texture of feeling across a literary reading can
be explored and analysed based on figure and ground descriptions (see Stockwell, 2009).
Prototypicality
The emphasis on figure and ground might look at first like a simple binary pattern of the sort
that informed much of the literary criticism arising from early structuralism. However, it is
important to remember that figure and ground are attentional phenomena: a figure is a thing,
but a ground is simply not-a-thing – that is, you cannot look at, imagine, picture, point at, or
be aware of the ground, because as soon as you do that, it ceases being backgrounded and
becomes a figure in your attention. Figure and ground are therefore not binary objects, but
instead operate along a scale of attentiveness. The process of reading is online and dynamic,
so a figure at one moment in a text can quickly be occluded by another and the first object
can fade from attention to form part of the background.
Such a scaling of attention draws on the cognitive linguistic notion of prototypicality (see
Lakoff, 1987). Simply, this claims that human categorisation does not operate in terms of
absolute category-membership, but rather in terms of a sort of ‘best fit’ example. In other
words, a poodle is not simply a type of dog, but is a good example of a dog. For many
people, other dogs are more ‘doggy’ than a poodle, and so are better examples of a dog: a
terrier, collie, or Labrador, perhaps. Some people think that big dogs are better examples of
dogs than lapdogs. Most people will act as if an Old English Sheepdog is a better example
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of a dog than a Louisiana Catahoula Leopard Dog. In this sense, a cat is not simply ‘not-a-
dog’; it is simply a very bad example of a dog. If this sounds strange, simply consider that
a spider, or a pencil, or the notion of liberty are even worse examples of dogs, compared
with a cat – that is, ‘dogness’ is scalable. Prototypicality says that every concept is scalable.
The reason that prototypicality is crucial to human creativity is because this scalability is
not absolutely shared identically by all people. Our notions of prototypicality are situated in
the particular circumstances in which they occur and are experientially based. So your own
sense of the best examples of dogs will depend on your own life experience of dogs and on
the situation at hand. Isolated on an ice lake in the Arctic with a sled, a Siberian Husky is a
better example of a dog than a Yorkshire Terrier. Dining in an exclusive Parisian bistro, a
Pekingese is a better example of a dog than a St Bernard. It is this flexibility and adaptability
in categorisation that allows us to imagine personification, for example: the dog that talks,
wears clothes, has emotions, expresses a consciousness, has memory and ethics. Think of
the different readerly scaling of dogs involved in imagining Snowy (Tintin), Jip (David
Copperfield), Argos (The Odyssey), Buck (The Call of the Wild), White Fang (White Fang),
Toto (The Wizard of Oz), or Mr Bones (Timbuktu). Our emotional proximity to or distance
from a character can depend on how good an example of a person that character is. He or
she might be fully and richly realised, or merely a type or token. Across this scale, different
readers will have different relationships with fictional people.
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have been purely intuitive and impressionistic, appealing to common experience with shared
cultural presumptions. Cognitive stylistics allows a discussion of the variability of readerly
creativity, while keeping cultural and personal experience to the forefront of awareness.
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Text worlds
In processing the deictic centres of all of the different entities and characters that make
up the minds within the novel David Copperfield, as a reader I direct my attention into
and out of an imagined world. Across the boundary of that world, I have to keep track of
different states of knowledge and experience, and the different properties of the fictional
world compared with my own situation. The text itself does not provide enough denotative
information to account for the richness of my sense of the fictional world, so I am clearly
filling out the sense of the world as an act of my own imaginative creation. My mental
representation of the fiction is modelled as a text world in cognitive stylistics (Gavins,
2007; Werth, 1999).
The text world that a reader co-creates with an author is not a static representation, but
instead is conceived as a working heuristic tool that readers use as a fundamental means of
reading. I build a world and use my model to keep track of who is where, who knows what,
who remembers what has happened, what else is in the scene, and so on. The framework
usefully allows us to discuss aspects of fictionality, plot development, and the landscapes of
fictional works in systematic ways. It allows us to understand how we can hold metaphors,
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Mind-modelling
In all of this process, it is clear that readers imagine versions of authorial, narratorial, and
character minds, and are able to have relationships with them. This is possible because of
our capacity for mind-modelling – that is, we imagine other people to have a consciousness
like our own, and we fill in further details about their lives, thoughts, and perspectives.
This cognitive poetic account of characterisation draws on the notions of ‘theory of mind’
and simulation from cognitive psychology. Under application to literary and fictional char-
acterisation, our basic human capacity for imputing essential person-ness to other people
is extended into a rich model of a fully rounded character (see Zunshine, 2006). We can
imagine their beliefs, feelings, emotions, aspirations, goals, and so on, on the basis of the
text-driven information that we are given as readers. It should be clear again that any given
text cannot possibly provide all of the denotational information sufficient for the richly tex-
tured sense of character that the vast majority of readers routinely create in literary reading.
Mind-modelling is an active, creative, and productive process that goes beyond the basic
information of the text.
Mind-modelling is an everyday process that we use to keep track of our different relation-
ships with every person in our lives. Literary mind-modelling is no different. Of course,
readers mind-model not only fictional characters, but also the imagined authors of those
literary works. This means that cognitive poetics has a theoretically grounded and systematic
principled means of discussing and analysing authorial intention – not as telepathy, nor as
the sort of speculative biographical criticism that I outlined at the start of this chapter, but as
part of a stylistic account of language and its creative production.
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Sonnet XVIII
1 Shall I compare thee to a summer’s day?
2 Thou art more lovely and more temperate:
3 Rough winds do shake the darling buds of May,
4 And summer’s lease hath all too short a date:
5 Sometime too hot the eye of heaven shines,
6 And often is his gold complexion dimmed,
7 And every fair from fair sometime declines,
8 By chance, or nature’s changing course untrimmed:
9 But thy eternal summer shall not fade,
10 Nor lose possession of that fair thou ow’st,
11 Nor shall death brag thou wander’st in his shade,
12 When in eternal lines to time thou grow’st,
13 So long as men can breathe, or eyes can see,
14 So long lives this, and this gives life to thee.
(Shakespeare, 1609)
Although there is a great deal of discussion around the context and circumstances of the
sonnet, there is a general critical consensus on its meaning. What has the surface appear-
ance of a love poem praising the appearance and constancy of the addressee also gives the
strong sense that this is a literary work about literary art itself, and the power of poetry not
only to immortalise human lives and relationships, but also to outlast them. Setting aside
historiographic and biographical discussions of the original addressee (whether a woman or
a male youth, which then generates both heterosexual and homosexual romantic readings),
the vast majority of non-scholarly readings regard this as a straightforward love poem: it is
popular as a reading at weddings and baptisms, and on cards produced for Valentine’s Day
or equivalents around the world. Many online commentaries also note the possible subtext
that the poem can equally be read in terms of the author’s self-aggrandisement.
Given these readings ‘in the wild’, how would a cognitive stylistic account find the
evidence by which they were created? Note, here, that it is not the primary business of
cognitive poetics to generate new meanings – that can happen, but the generation of newly
eccentric readings, however interesting, is the remit of literary criticism (or ‘litcrit’); rather,
cognitive poetics has a more descriptive and analytical purpose. There are several aspects
of the poem that lend themselves to a cognitive poetic exploration.
First, there is an obvious metaphorical analysis to be sketched out that, sure enough, pro-
duces a primary set of meanings and also a subtext possibility. The primary metaphorical
mapping is the year is a day conceptual metaphor. This produces stylistic realisations, such
as ‘Rough winds do shake the darling buds of May’, ‘summer’s lease hath all too short a
date’, and ‘thy eternal summer shall not fade’. The emphasis within the conceptual domain
of the year is on the seasons, the natural scene, and the temperature, so the other metaphors
in the poem have particularly apposite qualities primed: the personification of ‘death’ is fol-
lowed by ‘his shade’, while the face is ‘fair’. The primary metaphor is linked to the day is a
life metaphor throughout. This means that there is a combined implicit metaphor in operation
whereby the addressee’s life seems simultaneously to be figured as a single day and as a year.
This blurring extends across the poem, so that the dawn is spring, noon is the hot summer, and
the afternoon (‘dimmed’) leads to a long tailing evening as the light ‘declines’; then, there is a
‘fade’ and ‘shade’, until the final four lines combine dark, dimness, poor visibility, and death.
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This combination of day to year to life, of course, mirrors the theme of the poem as one
referring to an extended period of time beyond the current moment. The metaphor structures
also mirror the iconic lengthening in the clausal syntax. Short, completed action chains typify
the first four lines. The next four lines (lines 5–8) are less constrained by the line ending, with
the trajectory of the agent ‘eye of heaven’ extending over two lines and lines 7–8 covering a
single clause. Lines 9–14 can be regarded as more continuous, with the difference in action-
chain patterning signalled by the contrastive ‘But’. These lines match the profiling of the long
ending of the day that the metaphorical patterning echoes. The heat and brightness of morning,
spring/summer, and youth are linguistically realised relatively quickly.
The subtext is contained in a qualitatively different conceptual metaphor of accountancy and
commerce that runs through the poem alongside the primary time metaphor. This is evident
in the metaphorical use of words such as ‘lease’, ‘gold’, ‘lose possession’, ‘ow’st’, and even
‘grow’st’ (either as an appreciating investment, or homophonically as ‘grossed’). Even the
opening act of calm, cogitating comparison is an act of measurement and accountancy. The
final phrasing reiterates this precise measurement: ‘so long [as this] . . . so long lives [that]’.
Aside from the metaphorical domains, there is an interestingly doubled deictic patterning
in evidence in the poem. Sonnets are prototypically addressed to the object of love or praise,
so the intimate and familiar ‘thee/thou/thy’ address form of personal deixis is not surprising.
The intimacy is echoed in proximal deixis throughout: ‘thy eternal summer’ signifies a close
possessive (and is iconically followed by the word ‘possession’); ‘that fair thou ow’st’ is used
proximally in this context; and the poem ends most closely with ‘this’ and ‘this’. Note, though,
that these two final deictics refer to the poem itself. However, the sonnet is also addressed
‘outwards’ towards the reader: there is always a trace sense of this in second-person texts. This
is, of course, not a direct explicit readerly address (‘Reader, I married him’), but the poem is,
of course, being read by an actual reader living 400 years adrift of the moment of composi-
tion. If these eternal lines have lived on through time, then the fact that they are addressed to
the modern reader is a self-evident validation of the truthfulness of the poem’s final assertion.
There is a final sense, of course, in which a reader could model the authorial mind here
as self-promoting and egocentric, and then the second-person address can be taken as a
rhetorically circular self-reference: Shakespeare is self-satisfiedly reassuring himself. The
reiterated and self-referential ‘this’ at the end reinforces this sense. Lastly, it is even possible
to draw a contrast between the ‘thee/thou’ address across lines 1–8 (although the addressee
really disappears after line 2) and the appearance of ‘thy’ in line 9. The contrastive ‘But’ and
the metrical stress that falls very heavily on ‘thy’ suggests a reading that contrasts the lover
as ‘thee’ from a different addressee (‘thy’) as a rhetoricised Shakespeare himself.
If this begins to seem too tenuous, then there is some support if we consider the text
world structure of the poem. Rather than a straightforward text world construction, the
poem begins with a swift deflection into a modalised world-switch: ‘Shall I . . . ?’ The
strong default assumption of such an opening would be for the reader to presume a text
world in which a speaking poet asks the question, but the instant deflection supports the
idea of an interior monologue rather than an actual public utterance. (The sonnet is the
equivalent of a dramatic soliloquy, in this sense.) In that switched text world, the refer-
ence even then does not remain stable for long. The metaphors, as set out above, switch
the reader’s attention around, with further embedded metaphors often of personification
(‘darling buds’, and the agency of ‘Rough winds do shake’, ‘eye of heaven, and ‘his
gold complexion’). Negations also create a texture of world-switching: comparison, and
‘more lovely and more temperate’, implies ‘less lovely’ as well; ‘untrimmed’, ‘not fade’,
‘declines’, ‘nor’, ‘lose’. These grammatical, morphological or lexical semantic negations
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all – in text world theory – suggest their negative qualities even when they are raised in
an overall positive context. Even naturally positive qualities (the warmth of summer) are
made negative (‘too hot’ and ‘too short’). Overall, the text world patterning seems to
suggest a stable and consistent state on the surface (at the initial matrix text world level),
but a subtext of deflection and alternative perception.
Of course, these observations certainly do not exhaust the possibilities that a cognitive
stylistic account can bring. For example, there is a schematic analysis of the knowledge struc-
tures that different readers bring to the sonnet, conducted by Yang (2005). He explores what
the reader’s schema of a summer’s day and the English seasons look like if that reader is
from Taiwan. Steen and Gibbs (2004) analyse the metaphors in the sonnet for their parallel
effects. Steen (2014: 133) also analyses the deliberateness of the metaphorical intention, with
reference to Sonnet 18. Freeman (2013) has explored the container, scale, and path meta-
phors, and their interweaving in the poem. And in an earlier, different analysis, I explored
the attention-resonance power of the sonnet (Stockwell, 2009: 30–5). All of these represent
a variety of cognitive stylistic frameworks and approaches, but they illustrate the range of
possibilities of analysis even over only fourteen lines.
Related topics
language, creativity, and cognition; literariness; literary stylistics and creativity; poetry and
poetics
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Further reading
Cook, A. (2010) Shakespearean Neuroplay: Reinvigorating the Study of Dramatic Texts and
Performance through Cognitive Science, New York: Palgrave Macmillan.
Amy Cook draws on cognitive science to explore textuality and performance in the theatre.
Dancygier, B. (2011) The Language of Stories, Cambridge: Cambridge University Press.
Barbara Dancygier takes a sweeping overview of the conceptual patterns in narrative.
Stockwell, P. (2002) Cognitive Poetics: An Introduction, London: Routledge.
This remains the only textbook in the field and still stands as a good hands-on introduction. A new
edition is forthcoming.
Turner, M. (2006) The Artful Mind: Cognitive Science and the Riddle of Human Creativity, Oxford:
Oxford University Press.
Mark Turner’s book is both an exemplification and a polemic for the value of drawing on cognitive
science to explore creativity.
Zunshine, L. (2006) Why We Read Fiction: Theory of Mind and the Novel, Columbus, OH: Ohio State
University Press.
Lisa Zunshine develops the notion of mind-reading that readers undertake when they encounter
fictional narratives.
References
Carter, R., and Stockwell, P. (eds) (2008) The Language and Literature Reader, London: Routledge.
Deggan, M. (2013) ‘What is literary “Atmosphere”? The role of fictive motion in understanding
ambience in fiction’, in M. Borkent, B. Dancygier, and J. Hinnell (eds) Language and the Creative
Mind: Proceedings of the 11th Conceptual Structure in Discourse and Language Conference,
Chicago, IL: CSLI/University of Chicago Press, pp. 173–91.
Freeman, D. C. (1996) ‘According to my bond: King Lear and re-cognition’, in J. J. Weber (ed.) The
Stylistics Reader, London: Arnold, pp. 280–97.
Freeman, D. C. (2013) ‘Cognitive metaphor and poetic form’, Paper presented at the Department of
English, University of Innsbruck, 30 April.
Gavins, J. (2007) Text World Theory, Edinburgh: Edinburgh University Press.
Gavins, J., and Steen, G. (eds) (2003) Cognitive Poetics in Practice, London: Routledge.
Gerrig, R. J. (1993) Experiencing Narrative Worlds: On the Psychological Activities of Reading, New
Haven, CT: Yale University Press.
Gibbs, R. W. (2006) Embodiment and Cognitive Science, New York: Cambridge University Press.
Harrison, C., Nuttall, L., Stockwell, P., and Yuan, W. (eds) (2014) Cognitive Grammar in Literature,
New York: John Benjamins.
Jaén, I., and Simon, J. J. (eds) (2012) Cognitive Literary Studies: Current Themes and New Directions,
Austin, TX: University of Texas Press.
Lakoff, G. (1987) Women, Fire and Dangerous Things: What Categories Reveal about the Mind,
Chicago, IL: University of Chicago Press.
Lakoff, G. (2002) Moral Politics, 2nd edn, Chicago, IL: Chicago University Press.
Lakoff, G. (2006) Don’t Think of an Elephant: Know Your Values and Frame the Debate, White River
Junction, VT: Chelsea Green Press.
Lakoff, G., and Johnson, M. (1980) Metaphors We Live by, Chicago, IL: University of Chicago
Press.
Langacker, R. (2008) Cognitive Grammar: A Basic Introduction, New York: Oxford University Press.
Semino, E., and Culpeper, J. (eds) (2002) Cognitive Stylistics, Amsterdam: John Benjamins.
Steen, G. (2014) ‘The cognitive-linguistic revolution in metaphor studies’, in J. Littlemore and J. Taylor
(eds) The Bloomsbury Companion to Cognitive Linguistics, London: Bloomsbury, pp. 117–42.
Steen, G., and Gibbs, R. (2004) ‘Questions about metaphor in literature’, European Journal of English
Studies, 8(3): 337–54.
Stockwell, P. (2002) Cognitive Poetics: An Introduction, London: Routledge.
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Poetry and poetics
Michael Toolan1
Introduction
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seem intent on immersing the reader in the seemingly ‘safe’ domain of the fictional and
imaginary – but plenty of other poems prompt similarly complex thought and response with
regard to real-world people, events, settings, and experiences.
A poem typically:
• makes no direct reference to the world of phenomena, but provides a representation of it;
• exploits ambiguity, polysemy, and elusiveness of intent or evaluative stance;
• is enriched by an attention to rhythm and meter;
• reflects care in its use of ‘connective phonological tissue’ among and across its lines;
• is sensitive to effects that draw on traditions of spatial arrangement into lines and stan-
zas (in most other kinds of writing, the line is not a semantic and prosodic unit at all,
but is purely pragmatic and meaning-insensitive);
• is exceptionally careful in its deployment of semantic ‘enrichments’, such as imagery
and figurative language, which may mean that metaphor is used sparingly – and there
is far less ‘routine’ metaphor in a poem than, for example, in sports journalism;
• carries deliberate patterning and parallelism on all levels of linguistic organisation –
that is, sounds, vocabulary, grammar, or syntax;
• reveals foregrounding – that is, deviant patterns on all of these linguistic levels;
• exploits intertextuality – that is, indirect allusions to other texts;
• is enhanced by its potential for oral performance – that is, reading a poem aloud makes
it more vivid and memorable;
• is creative in its use of language; and
• gives aesthetic pleasure.
In particular, I wish to emphasise the aural essence of poetry: its fundamental spoken-ness
and heard-ness. If cognitive embodiment theory has a particular relevance to poetry (see,
for example, Gibbs, 1994; Stockwell, 2002), we should be able to say that just as running,
dancing, and many sports encourage us to exploit the natural potential of our legs to the full,
but within rule-governed forms, so poetry and song are practices in which we are encouraged
to exploit the natural potential of our voices to the full. One difference between these related
‘macro’-cultural genres is that poetry elevates language, used in combination with rhythm
and intonation, while song elevates melody, in its combination with rhythm and (if present)
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language. But it would be close to absurd to say that one can experience a song by close
silent examination of the written song music, and it is not much less absurd to say that one
can experience a poem simply by silent reading of the written text.
Prototypicality, scripts, and schemas are aids to the recognising and categorising that
facilitates human interaction and coordination generally. We interact with others and
engage with the world in a more ‘chunked’ and ‘pre-sorted’ way, with less minute and con-
tinuous analysis than we might otherwise suppose. Familiarity breeds content, for most of
us in many situations. Categorisation, prototypicality, and schemata all combine to establish
normal readings of situations, or rapid understandings of normal actions and states. The
relevance of this to poetics and stylistics is that categories and schemas enable us to project
a situational ‘grounding’ for a poem, in relation to which a foreground of whatever seems to
us exceptional in the text becomes the more noticeable.
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different and is called ‘creative’, or two ordinarily unrelated flavours are unexpectedly com-
bined in a recipe and are called ‘creative’: the examples can be multiplied. There is a useful
discussion of ‘creativity’ in Pope and Swann (2011) that historicises the term, noting the
fascinating shifts over time in the meaning of creativity’s lexical collocates – ‘innovation’,
‘inspiration’, ‘imagination’, ‘originality’, ‘genius’, ‘invention’ – but which veers away from
a definition. It inclines towards the view that creativity is as widespread and everyday as
culture itself, and that many people (a far larger constituency than an ‘elect’ of literati)
routinely demonstrate their linguistic cleverness and proficiency in the wordplay, figurative
language, and narrative skills to be found in their everyday conversational interaction. Ergo,
there is no distinct creativity in literary language: the latter is on a continuum, or multiple
continua – depending on the kind of inventiveness, memorability, etc., that one wishes to
measure – with non-literary language.
All of these points are reasonable – but a few important factors may need renewed
emphasis. One is that it is perfectly possible to dismiss the idea of a special creativity in
‘literary language’ while subscribing to the view that a special creativity is to be found in
literature. That creativity certainly will not consist in the appropriate use of distinctively
‘literary’ vocabulary, although I would hesitate to declare that there are no words that we
mentally ‘tag’ as literary. Arguably, there is some such vocabulary – but no poet would deploy
it unknowingly or without awareness of the scope for irony. Thus, in Kathleen Jamie’s poem
‘Water Day’, we may notice her use of the word ‘blithe’ in ‘its blithe career’, or, in the same
poem, the word ‘oracular’, and wonder if these are not somehow subcategorised for ‘poetry
writing’ in the well-read person’s lexicon. But if we ‘know’ that these words are from a
poetic register, Jamie knows that we know (her poem makes fun of ‘heavy weather’, roman-
ticised interpretations of irrigation practices). Likewise, when, in Heaney’s poems, we find
words such as ‘crepuscular’ or ‘quicken’, alongside other favourites of his that one could
not claim were notionally reserved for literary or elevated use, such as ‘earth’ and ‘ground’,
we understand that such dialectal selectivity is anything but unaware.
Another consideration to mention is that putting the puns, similes, and skilled storytelling
of everyday interaction on a continuum with Joyce and Shakespeare has its linguistic and
other justifications – but it could encourage an insensitivity to the exceptionality of a Joyce
or a Shakespeare, and a failure to appreciate the multidimensional importance of their texts
(so different in degree as to approximate difference in kind), by comparison with everyday
texts. Objections to claims about the exceptional art apparent in a Shakespeare or Stevens
poem often take the form of complaints that those singling out such poets are reactionary,
hieratic, elitist, exclusivist, dupes of the nexus wherein dwells the literary establishment,
with its academic and publishing phalanxes. But such objections rarely go to the heart of
the matter. Quite possibly, versions of each of Shakespeare’s or Stevens’ linguistic inge-
nuities taken separately may be found in the passing conversational sallies or breakfast
cereal advertisements of innumerable uncelebrated contemporaries. But poetry must be
recognised as a distinct genre (sitting within a family of genres: literature), with its own
distinct characteristics and contractual arrangements with its users, just as genre theory
extends to every other communicational practice. It is the total speech act of the poem in
the total speech situation that, finally, we are assessing, and this assessment has to consider
writers’ and readers’ purposes.
Stylisticians have taught themselves to resist a naive assumption that genres, including
the genre of poetry (or a superordinate genre of literature), can be defined by the language
that they use. Genres are staged and socially ratified activity types, designed to meet
interactants’ purposes and expectations, and it is those that define a particular genre more
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than the distinctiveness of the language used. So if tax documents are peppered with
one kind of English, while legal documents are characterised by another distinct kind
of English, still we cannot claim that the distinctive vocabularies and grammar ‘make’
the genres; likewise in the case of poetry, in which the language is exceptionally care-
fully chosen, but is not in itself special language. Any language can be used for literary
purposes and no language can be identified, qua language, as instrinsically literary, or
powerful, or beautiful, or emotive. Even the most piss-weak words, in the right context,
can be perfectly suited to the purpose, including ‘piss’ and ‘weak’.
I will argue that one of the distinctive characteristics of poetry – at least, of the kind that
I will treat one poem by Elizabeth Bishop as an exemplary instance – is that, proportion-
ately, it aims to generate more new thoughts or imaginings (more surprises, or unforeseen
ideas) in more recipients (in more times, and more places), while itself taking up less time
and less space than all other verbal genres. To do this, a modern poem has to be exception-
ally creative, exceptionally fit for an emerging purpose, and, along the way, typically and
in comparison with other genres of writing or speaking, it puts a tremendous strain on the
coherence requirements of a text. By a text’s ‘coherence requirements’, I mean its convey-
ing to the reader of a sense of thematic integration – of a centre that holds or an arc that is
unbroken – while also treating of a single topic in depth and from many perspectives. Thus
the poem aims to express, or more usually to evoke or implicate, within the small scope of
1 or 2 minutes’ worth of spoken language, as much difference and also as much similarity
as it can muster, with regard to some topic – any topic! – that has caught and held the poet’s
attention. Repetition is one of its core resources in that effort.
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aware prior to encountering the poem itself. In a previous essay, I suggested that ‘[c]reativity
becomes our term for the happy fitness of some new solution to a new or emergent problem,
something we had not fully recognised was a problem’ (Toolan, 2012: 18) – so it is an attribute
conferred on something after the event, and there is neither recipe nor rules for being creative
other than ‘don’t just follow the rules’. And even the word ‘purpose’ is not quite right, being
too instrumental and suggestive of a burden to be lightened (see Hospers, 1985: 252): a crea-
tive poem addresses an emergent purpose more than it solves an emergent ‘problem’. And a
further condition may be added: we should stipulate that the purpose to which we judge the
high-creativity poem to be an exceptionally suited treatment must be a significant one – not
invariably serious, tragic, or deep, but significant. Significant in its playful levity if this suits.
Sometimes what, for one person, is a significant theme is, for another person, triviality; such
cases cannot be ignored. But there seems also to be abundant consensus as to significance of
topic, even – as is often the case – where this is approached obliquely in a poem, which ini-
tially seems to be only about a skunk or a sandpiper. Other more specific desiderata, beyond
‘fitness for new or newly configured significant purpose’, include ingenuity, good design,
with a power to move the reader/hearer and to stimulate, disturb, or reinforce their thoughts,
rather than leaving him or her unmoved and unreflecting.
We approach a poem that is new to us a bit like the way in which the Lilliputians inspected
Gulliver’s watch: here was a complex, ingenious, machine, performing fascinating move-
ments for a purpose that they struggled to comprehend, but mostly misjudged – although not
without some shafts of satirical insight (‘he assured us . . . he seldom did anything without
consulting it . . . called it his oracle’). An extreme example, perhaps and too literally mecha-
nistic, since the emerging purposes for which a poem seems in all of the circumstances to
be an exceptionally good fit are not practical and instrumental like those of a watch, but
ideational and emotional. If a poem is a tool, it is a tool with which we can think and feel,
rather than bend the world to our needs, and the particulars of the thinking and feeling that
it fosters dawn on us only gradually.
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brushing hair, and cleaning teeth. Experiencing these rhythmic repetitions is part of what
it is and means to be a body – and they are nearly universal among humans. In all of these,
much of the time, there is a regular recurrence of an action or process, whether perceived or
not as such by its source. Where it is perceived, the rhythmic repetition can come to seem
a distinct source of structure and sense, adding to the meaning of the whole activity: you
make a point of brushing your hair, and of doing so with thirty strokes, and may come to
experience the activity as falling into two parts, the brushing and the strokes. Some of us
remember being told off in childhood for wolfing down our food and being instructed to
chew every mouthful a dozen times.
For me, repetition is the superordinate and more general category, while rhythm is a
subordinate, more focused, more locally instrumental one. For rhythm, you have to have
repetition plus something else: regularity of recurrence. For repetition, you need recur-
rence only, making it more basic. Many of the actions listed above can be repeated without
achieving or creating a rhythm: you can walk along, changing your speed and length of
stride, even disrupting the left–right alternation, so that there is no clear rhythm. But doing
so is difficult, atypical, even quite disturbing in its unnaturalness. The rhythmic is often
easier and more natural than the arhythmic.
Why should rhythmic repetition be so important to us? Because it marks time, that old
father who will outlive us all: the ageless agent of our ageing. Time itself is abstract and
intangible – but we know it operates upon us unceasingly, as surely as the turning of the
earth brings us daily nearer the sun and then away from it.
Repetition, rhythm, and recurrence overlap considerably, and to this triad can be added
parallelism, pattern, and equivalence. Pattern and parallelism are nothing but repetitions of
particular kinds. For Leech (1969: 66), parallelism involves some variation or difference
within a frame of recurrence or identity; thus, at the beginning of Beethoven’s Fifth Sym-
phony, a familiar four-note phrase ‘repeats’ with differences – differences of pitch and of
the duration of the final note. A century earlier, Gerard Manley Hopkins (1959 [1865]: 84)
declared that the artifice of poetry ‘reduces itself to the principle of parallelism’, an obser-
vation that was cited by Jakobson (1960) and evidently congenial to him: he equally cites
with approval Hopkins’s defining of verse as ‘speech wholly or partially repeating the same
figure of sound’ (Jakobson, 1981 [1960]: 28). Later, Jakobson (1981 [1960]: 28) describes
rhyme as only a particular case of the general problem of poetry, ‘namely parallelism’, pro
ceeding to quote Hopkins at length (see now also Frog, 2014). Jakobson (1981 [1960]: 42)
is equally confident of the power of selective and strategic semantic repetition: ‘In poetry not
only the phonological sequence but, in the same way, any sequence of semantic units strives
to build an equation. Similarity superimposed on contiguity imparts to poetry its thorough-
going symbolic, multiplex, polysemantic essence . . . ’
Elaborating on these ideas about rhythm and repetition, cognitive linguists argue that our
innate habit to structure objects or events according to symmetrical patterns is, in fact, a
projection of our embodied understanding of all of the symmetries to be found in the natural,
as well as the artificial, world around us (Jackendoff, 1994). For example, in the myriad
intricate patterns in flora and fauna (read Blake’s ‘The Tyger’!), and in architecture, music,
and – last, but not least – in poetry.
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certain conditions. Long-distance verbal repetition (for example in lines 2, 22, and 42 of a
48-line poem) is often a powerful means of promoting cohesion and unity in a poem, almost
imperceptibly (on a first reading, the two repetitions may not be noticed as such); absolutely
adjacent full repetition (‘break, break, break’; ‘And there I shut her wild wild eyes’; ‘put
out the light and then put out the light’, etc.) can be even more effective, but in a different,
highly localised way (unless, as in the Tennyson poem, the triple phrase is repeated much
later in the poem, so that local intensity is married to a poem-wide function for the phrase).
What are usually disfavoured (and criticised as ‘uncreative’) are adjacent repetitions-by-
paraphrase (of the kind to be found everywhere in the jobbing compositions of the great bad
Scottish poet William McGonagall). This is one reason why Tennyson, Keats, and Shake-
speare, respectively, did not write the following immortal lines:
A demonstration
In fact, after (and only after) our students have sufficiently familiarised themselves with a
poem to sense the impact of the lexical repetitions therein, it is a useful, further sensitis-
ing – and amusing – exercise to ask them to replace any lexical repeats by their best effort
at a near-synonymous alternative. Consider the too-famous early Seamus Heaney poem
(‘done’ by a generation of British 16-year-olds during their first public exams), ‘Digging’.
With that word as poem title, each subsequent use of that word within the poem is, of
course, a repeat. In order to appreciate what Heaney’s repeats contribute, one can try to
replace the first two repeated uses (here italicised) in the early lines of the poem (a third
use comes fifteen lines later):
One can present a student (or any reader) with the whole poem, including its title, except
that the three subsequent uses of ‘digging’ are replaced by blank spaces, and ask the reader
to choose, for each of the gaps, words that are (a) suitable, (b) not already used in the poem,
and (c) different from each other. (They need not even be told that the removed recurring
original word is digging.)
What words can replace ‘digging’, in lines 5 and 9? ‘My father, toiling . . . Where he was
burrowing’? ‘Excavating’, ‘gardening’, ‘shovelling’, ‘grubbing’, or ‘rootling’?! Every alterna-
tive seems ludicrous, ponderous, inept, utterly unfit for the purpose, given the sense and co-text
in relation to which these choices must function. It is the evident aptness for the poem’s purposes
that makes Heaney’s choices, the judicious repeating of ‘digging’, moments of creativity.
Immediate or adjacent reformulatory repetition always risk being breaches of the Gricean
preferences concerning quantity and manner: a second (or subsequent) reformulation
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promises further informativity (as per the quantity maxim), as the justification for not being
as brief (the manner maxim) as the text otherwise would be. Where the addressee or recip-
ient cannot derive such ideational or empathetic supplement, the adjacent reformulations
may attract criticism, as instances of redundancy, prolixity, and the ‘unpoetic’ (as I argued,
in Toolan, 2012, with respect to McGonagall’s poems). By contrast, the manner and quantity
breaches carried by adjacent full repeats are, of course, not hidden at all, but exceptionally
overt, and invite the implicature that some further meaning or feeling should be derived, by
way of justification. And, in suitably prepared context, it is remarkable how often such full
repetitions are judged to be communicative of implicatures much less securely conveyed or
invited were the text not to repeat in the way decided upon.
Here there is not only the repetition of ‘iridescent’ within a line, but also the triple line-
initial use of ‘with’ (the use of ‘and’ in the third line is not semantically radically distinct
from ‘with’), two of these functioning in the near-synonymous ‘lined with’ and ‘plastered
with’. There are also several words here that – as Bishop undoubtedly recognised – verge on
the redundant or the unnecessary, and in other hands (such as McGonagall’s) would surely
earn censure: ‘completely’, ‘beautiful’, ‘similarly’, and ‘small’. Bishop will have known
that she could, alternatively, have written as follows:
The question is why she did not. The amended version, without the allegedly near-redundant
or low-informativity words, is rhythmically marred by comparison with the original and its
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approximation to four main beats per line; so there is a form-based argument against this
specific revision. But the larger and simpler justification for Bishop’s near-redundancies
in these lines is that they are a best choice (and a brave one, risking censure of the kind
rehearsed here), given what may be claimed to be the gradually emerging ultimate purpose
of the poem. That purpose is to lead us from extensively descriptive contemplation of a
highly particularised setting, a convergence of particulars, to an idea and an atmosphere
that is profoundly abstract and, to use one of Bishop’s own words, absolute: the flowing
away of knowledge and history. But before all of this, the long first section is deliberately
prosaic, and almost devoid of metaphor or abstraction, unless you regard the use of ‘silver’
to describe the herring scales as metaphorical (it is not: they ‘look’ silver), or see figurative
mileage in the description of the ancient capstan as bearing ‘some melancholy stains, like
dried blood,/where the ironwork has rusted’. But it is the atmosphere of restrained, closely
observant factuality and the reassurance to any reader/listener that such placid description
conveys that are uppermost throughout the first section, and its relaxed lexical repetitions
are instrumental in establishing that atmosphere.
While the first section is all close observation of the here and now – of the tangible,
graspable, and concrete described in its permanence with reassuring clarity – the equally
long second section advances to an ending that recognises historical knowledge as always
moving away from us, with nothing fixed or comforting. The ultimate purpose of the poem
really starts to come into focus only at the beginning of the second section:
Even here, the speaker has not really resorted to abstraction or metaphor, but they are clearly
beginning to speak about wider or deeper phenomena than the ‘sequins’ coating the old
fisherman’s vest, the wheelbarrows and the slope, and the black old knife of line 39 (sic: not
an old black knife), whose blade is almost worn away. And even this first venture towards
the unbearable and the absolute is veered away from at once: we are distracted by a bit of
business, a bit of whimsy, about a seal that is ‘interested in music’ and a fellow ‘believer in
total immersion’: Baptist hymns for him! What an elegant way of conveying ‘no rush’ – no
forcing of the poem along a path according to an agenda, towards a predictable outcome.
The encounter with the seal extends to eleven lines, before line 47 is repeated verbatim as
line 60, but now with the subject of these predicates made explicit:
A simple concordancing of the poem’s vocabulary reveals that the most frequent (thus most
repeated) lexical item in the entire poem – thus excluding the grammatical words and
focusing on what Louw and Milojkovic (2014: 264), refer to as ‘quasi-propositional
variables’ – is ‘water’, used seven times. This is closely followed by ‘stones’ (six instances)
and ‘dark’ (five). What do these obsessive repeatings signify, aesthetically? Consider
‘stones’: entirely absent from the first section and first mentioned in the brief transition
section, ‘stones’ occurs five times in remarkably close succession – at lines 66, 68, 69, 70,
and 75. In part, it functions like a tolling bell, but also contributes to a kind of polyphony
of sound and meaning equivalences with associated items that are also used repeatedly and
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in ordered sequence in these lines: ‘bones’, and ‘burn’ or ‘burns’. The pattern of repetitions
implicates – rather than explicates – that to put your hand in this inhumanly cold water is to
feel your bones to be stones, ones so cold that they burn, producing the almost alchemical
‘dark gray flame’. (Not only are such outlandish suggestions protected from our disbelief by
remaining covert and implicit rather than open and explicit, they are also hedged modally
and counterfactually, by a clause-initial ‘as if’.)
Stylistic iconicity
The lexical repetitions at the very end of the poem arguably work similarly, with indi-
vidual instances of repetition mutating in the course of their reiteration into new terms,
so that equivalence induces the emergence of disturbing new meanings. The semantic or
phonological partial repeating is extensive here (consider, for example, ‘bitter’, ‘briny’,
and ‘burn’), but the most important pattern involves the interweaving of ‘drawn (from)’,
‘derived (from)’, ‘flowing’ and ‘drawn’, ‘flowing’ and ‘flown’. As used in philosophical
discourse, several of these items are already partially synonymous, but their proximate use
in the final four lines creates a powerful blending effect. ‘Drawn’ features in lines 80 and
82; ‘flowing’ features in lines 82 and 83. So line 82 is prominent as the site at which both
repeated words appear, in the phrase ‘flowing and drawn’. If you blend or merge ‘flowing’
and ‘drawn’, the most natural – sequence-preserving – blend that you derive is the poem’s
last word, ‘flown’. (Less ‘naturally’, you can derive ‘drawing’ or ‘drowning’.) The effec-
tiveness of the poem-final ‘flown’, as an inflected repeat of the immediately preceding
‘flowing’ and a repetition-blend of the phrase from the previous line, relates to its iconicity.
By ‘stylistic iconicity’, I refer to that impression of exceptional ‘embodiment’ of a sign’s
meaning in its materiality, such that the communication seems to be a more direct and natu-
ral enactment of the meaning than the arbitrary and symbolic signification that we ordinarily
look for in language (Fischer, 2014; Leech, 2008: 114–15, 149–50).
To claim that language is being used iconically is to claim that, to some degree, the form
embodies the meaning; linguistic iconicity is at work when the form evokes the meaning
because it resembles (visually or aurally) the thing meant. As such, in (rare) cases of what
we might call ‘absolute iconicity’, an addressee should be able to grasp the meaning without
prior knowledge of the language in which it is carried. Now, iconicity in poetry will be
rarely if ever of this kind; rather, it is a relative support or enabler of meanings in large part
conveyed symbolically. And Leech and Short’s (2007: 195) warning against using iconic-
ity claims to foist ‘private and whimsical responses’ on literary texts certainly needs to be
attended to; still, it is also Geoffrey Leech (1969, 2008) who, over many years, recognised
the importance of iconicity to poetics and stylistics. Iconicity forges a link, via technique or
poetics, between ‘fitness for specific emerging purpose or theme’ and repetition. In these
final lines of ‘At the Fishhouses’, I suggest, the content concerns knowledge (which must
mean human knowledge, which by extension means ‘being human’, the quality of human
life). The poem describes knowledge being extracted or delivered, taken out of these utterly
inhuman elements, water and rock, and released into something that flows on, unstoppa-
bly and therefore impermanently, like a swimmer taken out to sea or over a waterfall by
infinitely greater powers. And some of this meaning is arguably enacted in the language of
the description, which repeats and modulates as succeeding words are drawn out of their
predecessors by a seemingly parallel remorseless flow.
By the close of the poem, we have been shown how ‘drawing’ and ‘flowing’ move on to
become ‘flown’, and despite this being a partial repetition of the previous words ‘flowing’,
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‘drawing’, etc., and therefore in principle the less surprising, still it is surprising and dis-
turbing as used here, partly for reasons of grammar and collocation. The water/knowledge
is, we are told, dark, utterly free, drawn from the hard mouth and the rocky breasts, and
flowing – and all of these predicates, for all of their vivid figurativeness, are collocationally
natural. It is not unnatural to describe water and knowledge, for example, as flowing, but it
is quite unnatural and arresting to describe them as ‘flown’. This is deliberate unidiomatic-
ity. The past (not passive) participle ‘flown’, used without complement, typically collocates
with birds or chicks (or figurative counterparts, such as the young adults of a family). Far
more numerous are the corpus instances of perfective ‘flown’ with human subject (‘he had
flown to Maputo during the Commonwealth summit’), or passive ‘flown’ (‘Cars and drivers
were then flown to India’). As a brief check in the British National Corpus (BNC) confirms,
‘water’, ‘river’, ‘tide’, etc., never usually collocate as subject with ‘(have/is/are) flown’.
There is a grammatical conflation or crossover here from the verb ‘to flow’, to the verb ‘to
fly’. For grammatical consistency, use of a single verb, the final three words should be either
‘flowing and flowed’, or ‘flying and flown’.
Conclusion
In this chapter, I have aimed to situate poetry as ‘different in kind’ from other uses of lan-
guage, in so far as we can identify an array of typical (but not defining or necessary) genre
characteristics of poetry; otherwise, I argued, poetry, and the creativity found in poetry,
chiefly differ in degree from other kinds of speaking and writing. I then sought to suggest
that some progress can be made in pinpointing the creativity or poetics of poems if the
analysis integrates or brings into alignment three factors in particular:
• the poem’s fitness for an unforeseen, but emerging, purpose (what the reader decides
the poem is ultimately about);
• the poem’s deployment of implicature-generating repetition, especially lexical repeti-
tion and para-repetition; and
• the poem’s iconicity effects – those moments in the text when the meaning seems
embodied in the language and not merely symbolically represented by it.
A poem (such as ‘At the Fishhouses’) that hits all three of these buttons, and in particular has
moments at which the text seems to speak to all three factors at the same time, stands a good
chance of also being celebrated for its ‘literary creativity’. So these three factors seem to be
among the most crucial in a description of the poetics of (modernist) poems.
Future directions
Given the deliberately restricted focus of interest of this chapter, the research methods are
similarly restricted. Chief of these is a searching for, and an annotating of, every kind of
lexical repetition or ‘para-repetition’ that one can find in a text. That is really the primary
task and, with regard to poems, the ‘what is said’ and the ‘what is reiterated’ are inevitably
more noticeable than those things unsaid in a poem. But the latter can also be coherently
approached, in a controlled way, using ideas from Hoey and Louw (see below). Both involve
probings not of lexical repetition as such, but of the collocations, the co-occurring words
or structures, that tend to accompany particular words or phrases. These theorists ask us
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in effect, in relation to the ‘deviant’ or marked uses of language and phraseology found in
poems, to ponder what natural or normal phrasing or construction has not been ‘repeated’,
ratified by normal use, in the poem under scrutiny.
In a series of publications, but most explicitly in Hoey (2005), Michael Hoey has argued
that fluent language-users are primed to expect the occurrence of a particular word or phrase
to be accompanied by its usual co-textual partners – that is, that there is a degree of pre-
dictability in the multiword chunks of language in use, and that we draw benefit from this
predictability. By the same token, we notice, as unnatural or authorially motivated, any
jarring uses of words flanked by utterly atypical collocates. Hoey relates this to primed or
entrenched uses – typical uses alongside typical collocates, in typical positions in just this
genre of texts and not those.
Louw (2010, for example) takes a ‘striking’ formulation, at some key point in a poem
such as its opening or ‘turn’ or conclusion, and tells us that we must compare and con-
trast the usual phraseology or semantic prosody with the usually atypical semantic thrust
of the instance found in the poem. There is arguably a Bakhtinian dual-voiced principle
embedded in Louw’s approach, which will take a phrase such as that at the opening of
Yeats’ ‘Sailing to Byzantium’, ‘That is no country for old men’, replace all its referen-
tially rich words with wildcards (thus That is no * for * *), and then search in an appro-
priate corpus for all verbal strings that exactly match this seven-word string (for example
‘That is no reason for you to’, ‘That is no fun for the police’, etc.). What Louw claims to
find is that there is often a ‘normal’ or typical semantic profile, confirmed by the corpus
evidence, with which the meaning of the phrase as used in the poem is interestingly at
odds. Subliminally, we are aware of the typical meaning and cannot help but ‘hear’ this
clashing with the contrasting meaning attempted in the poem (hence I suggest a kind of
Bakhtinian clash of voices). The Louw method and theory is not unproblematic, but it is
an interesting attempt to explore one kind of syntagmatic intertextuality, using modern
corpus linguistic resources.
Related topics
cognitive stylistics; creativity and discourse analysis; creativity in response; language,
creativity, and cognition; literariness; literary stylistics and creativity
Note
1 I am greatly indebted to Professor Peter Verdonk (University of Amsterdam) for many observations,
references, and lines of argument that I have incorporated into this chapter, particularly concerning
poetics and cognitive categorisation. In a few places, with his kind consent, I have retained his wording.
Further reading
Hoey, M. (2005) Lexical Priming: A New Theory of Words and Language, London: Routledge.
This highly original (and not always uncontroversial) study raises priming and collocation to the
status of a foundational feature of language in use. It argues that fluent users (of a written language,
especially) rely on innumerable known and expected patterns in the use of particular words at the
level of phrasing, grammar, and siting with the paragraph and within the whole text, and even in
relation to genre. Lexical priming is thus, for Hoey, a big part of a fluent speaker’s background
linguistic knowledge – a background against which literary creativity becomes noticeable.
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References
Bishop, E. (2011) Poems: The Centenary Edition, London: Chatto & Windus.
Busse, B. (2014) ‘Genre’, in P. Stockwell and S. Whiteley (eds) The Cambridge Handbook of
Stylistics, Cambridge: Cambridge University Press, pp. 104–16.
Cureton, R. D. (1993) ‘The auditory imagination and the music of poetry’, in P. Verdonk (ed.)
Twentieth-Century Poetry: From Text to Context, London: Routledge, pp. 68–86.
Fischer, O. (2014) ‘Iconicity’, in P. Stockwell and S. Whiteley (eds) The Cambridge Handbook of
Stylistics, Cambridge: Cambridge University Press, pp. 377–92.
Frog, E. (2014) A Preface to Parallelism, Helsinki: University of Helsinki.
Gibbs, R. (1994) The Poetics of Mind: Figurative Thought, Language, and Understanding, New
York/Cambridge: Cambridge University Press.
Greene, R., Cushman, S., Cavanagh, C., Ramazani, J., and Rouzer, P. (2012) The Princeton
Encyclopedia of Poetry and Poetics, 4th edn, Princeton, NJ: Princeton University Press.
Hoey, M. (2005) Lexical Priming: A New Theory of Words and Language, London: Routledge.
Hopkins, G. M. (1959 [1865]) ‘Poetic diction’, in H. House and G. Storey (eds) The Journals and
Papers of Gerard Manley Hopkins, Oxford: Oxford University Press, pp. 84–95.
Hospers, J. (1985) ‘Artistic creativity’, The Journal of Aesthetics and Art Criticism, 43(3): 243–55.
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Jackendoff, R. (1994) Patterns in the Mind: Language and Human Nature, New York: Basic Books.
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Leech, G. N. (1969) A Linguistic Guide to English Poetry, London: Longman.
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Leech, G. N., and Short, M. (2007) Style in Fiction, London: Longman.
Louw, W. E. (2010) ‘Collocation as instrumentation for meaning: A scientific fact’, in W. van Peer,
S. Zyngier, and V. Viana (eds) Literary Education and Digital Learning: Methods and Technologies
for Humanities Studies, Hershey, PA: IGI Global, pp. 79–101.
Louw, W. E., and Milojkovic, M. (2014) ‘Semantic prosody’, in P. Stockwell and S. Whiteley (eds)
The Cambridge Handbook of Stylistics, Cambridge: Cambridge University Press, pp. 263–80.
Parini, J. (2008) Why Poetry Matters, New Haven, CT/London: Yale University Press.
Pope, R. and Swann, J. (2011) ‘Introduction: creativity, language, literature’, in R. Pope and J. Swann
(eds) Creativity in Language and Literature: The State of the Art, London: Routledge, pp. 1–22.
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Verdonk, P. (2002) Stylistics, Oxford: Oxford University Press.
Verdonk, P. (2013) The Stylistics of Poetry: Context, Cognition, Discourse, History, London:
Bloomsbury.
Appendix
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73 your bones would begin to ache and your hand would burn
74 as if the water were a transmutation of fire
75 that feeds on stones and burns with a dark gray flame.
76 If you tasted it, it would first taste bitter,
77 then briny, then surely burn your tongue.
78 It is like what we imagine knowledge to be:
79 dark, salt, clear, moving, utterly free,
80 drawn from the cold hard mouth
81 of the world, derived from the rocky breasts
82 forever, flowing and drawn, and since
83 our knowledge is historical, flowing, and flown.
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15
Literary narrative
Andrea Macrae
Introduction
Literary narrative has (debatably) four essential elements: characters; plot; narration; and
fictional worlds. The very nature of a literary narrative is creative, and these four constituents
of its rich texture are made and moulded through creative uses of language. The construction
of major and minor characters, character interaction, and other aspects of characterisation;
the invention, portrayal, and sequencing of events; the mode and style of narration, and the
role and voice of the narrator; the depiction of vibrant fictional worlds, from the realistic to
the fantastic: each of these elements entails, invites, affords, and encourages different kinds
of linguistic creativity.
This chapter provides an overview of the role of linguistic creativity in literary narrative.
It explores the ways in which its elements, and the nature of literary narrative more gener-
ally, foster and facilitate linguistic creativity. The chapter begins with a brief definition of
‘literary narrative’ in relation to the concept of ‘narrative’, its different genres and forms, and
literariness. The chapter then outlines founding approaches to the study of linguistic creativity
in literary narrative, chiefly etymological, sociohistorical, and biographical approaches,
influenced by modernist neoliberal concerns with the self and knowledge. Next, the chapter
looks in detail at contemporary topics and issues in literary narrative and linguistic crea-
tivity, evolving from these roots, but reflecting modernist and postmodernist ideas about
social, psychological, cultural, and sociolinguistic constructions of perspective and identity.
This section of the chapter explores, in particular, the topics and issues of authorial style,
mind style, character voice, other worlds, and cultural contexts. The next major section
of the chapter then briefly illustrates dominant current theories and approaches serving to
investigate these topics and issues: stylistic concepts of foregrounding and defamiliarisa-
tion; historical stylistics; relevance theory; schema theory; and cognitive poetic approaches
more broadly. Examples of leading work in these areas are discussed, as models of current
practice. Lastly, the chapter looks forward to future directions for research.
Narrative can be defined from a text-based, classical perspective, by its common
characteristics – that is, its most basic ingredient: two or more events connected by a
cause-and-effect relationship, usually involving a change of state. Post-classical appro
aches to narrative pay more attention to sociological, cultural, historical, and psycholog-
ical contexts of narrative’s production and reception – that is, recognising narrative
as a discourse construct with a social function. Developing alongside post-classical
approaches, cognitive narratology defines narrative from an experiential perspective,
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in terms of the cognitive ways in which (and anthropological reasons for which) read-
ers perceive and make sense of something (for example, a text) as narrative (Herman
et al., 2005). In the latter view, ‘narrativisation’ is something that takes place in the
reading experience, whereby the reader uses frames, scripts, schemas, and other cog-
nitive processes to build conceptual representations of story worlds and, within those
conceptual representations, create relationships between story world objects, charac-
ters, and events. To scholars who hold this view, a fifth essential element of narrative
would be the reader’s perception or active, dynamic construction of a narrative as nar-
rative. The different contributions to understanding of linguistic creativity in literary
narrative outlined in this chapter can be located at a wide variety of points across this
spectrum of theoretical stances towards narrative.
Western narrativity infuses a variety of literary genres, with its beginnings in ancient
Greek and Sanskrit myths, in the heroic and poetic epic, and in the oral folktale. Scholes,
Phelan, and Kellogg (2006: 11–15) tentatively trace the evolution of Western literary narra-
tive, through genre and focus, to the birth of the novel, as illustrated in Figure 15.1.
It is perhaps easy to see how a culture in which the oral epic poem is ingrained can
become rich in everything from lyric ballads, elegies, and processional plays to dramatic
Empirical Fictional
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histories and novellas. Scholes, Phelan, and Kellogg (2006: 15–16) are keen to emphasise
the different kinds of interdependence, intertwining, and synthesis of conventions of form
and focus throughout the history of literary narrative – bridging poetry and prose, bridging
folktale and drama – and highlight modern disintegrations of formal syntheses too. The evo-
lution of literary narrative, even if the scope of attention is limited to the West, is not linear
and progressive. Scholes, Phelan, and Kellogg (2006: 16) see the markers of this amorphous
amalgam in the contemporary novel in particular, arguing that:
[I]n its instability the novel partakes of the general nature of narrative. Poised between
the direct speaker or singer of lyric and the direct presentation of action in drama;
between allegiance to reality and to the ideal; it is capable of greater extremes than
other forms of literary art.
The novel is the form of literary narrative on which this chapter focuses.
This chapter adopts a perspective on literature and literary language that locates literari-
ness on a cline. Different forms (poetry, drama, and prose) have different linguistic creative
affordances (consider ‘poetic syntax’ in poetry, for example, whereby nouns can more regu-
larly be post-modified with adjectives, for the purposes of metrical and sound patterning and/
or semantic foregrounding, and double syntax across enjambment can be exploited). These
linguistic creative affordances are a significant factor in the perception of texts as more or
less literary. Literary narrative is more literary than more prosaic kinds of narrative on two
counts: its tendency to self-consciously construct fictional worlds, rather than to present a
history of the real; and its tendency to use language to create meaning in more artful and
poetic ways. These artful and poetic uses of language – these creative linguistic strategies –
cross-cut the linguistic levels: literary narrative exploits the full range of semiotic play, from
manipulation of morphology and syntax to represent regional dialects (or, more radically, to
present invented languages), to the inversion of pragmatic norms within character dialogue
to convey character dynamics. The contemporary critical issues and topics addressed in this
chapter – authorial style, mind style, character voice, other worlds, and cultural influences –
each involve creativity across multiple linguistic levels, as will be illustrated with a range of
examples from modern novels.
First, however, a brief survey of historical perspectives on literary narrative and linguistic
creativity is warranted.
Historical perspectives
Three areas of interest have dominated the study of language and creativity in literary narra-
tive up until the late twentieth century: etymologically and anthropologically oriented work
on lexical coinings and neologisms; biographical and sociohistorical attention to language
as a marker of the world view of the author and his or her society; and study of language for
the purposes of attribution of authorship.
Etymologists and sociolinguists have found literature to be a useful source of data
through which to trace developments in language use (for example, changes in the lexi-
con, changes in literacy), and in interactions between languages and dialects across coun-
tries and regions. Old and Medieval English literature (such as Beowulf and Chaucer’s
The Canterbury Tales), for example, are invaluable historical texts full of revelations
about the nature and development of the national tongue. The scarcity of manuscripts of
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literary works of these eras makes it difficult to gauge the relative creativity of the lan-
guage in terms of its inventiveness and how far the language is drawn from (or was
subsequently absorbed into) everyday discourse. However, it is believed that many of
the kennings (metaphorical descriptions created by the joining of two words) in Beowulf
were original to that tale. The Canterbury Tales is revelatory in different ways, manifesting
Chaucer’s determined use (and co-construction) of an English vernacular, infused as it was
with the influence of French (brought in with the Norman invasion) and Latin borrowings.
Some of these studies have also been used to suggest links between new word formation
and ideological, philosophical, scientific, and technological developments: changes in ideas
and new creations driving a need for new words through which to express those ideas and
objects. While new terminology is not always attributed to literary authors, literary texts
have been used as records of the point at which new words entered the cultural lexicon. Jane
Austen’s Northanger Abbey (1818), written c. 1798–9 and revised in 1817–18, famously
mentions ‘base ball’ in its early pages, and is used thus to debunk the popular hypothesis
that the game was not invented until the 1840s, in the United States. Occasionally, and
within new historicism particularly, the creative expressions of popular authors have been
regarded as a means of measuring popular sentiment. For example, the detail of the various
metaphorical constructions through which Dickens establishes the overarching metaphori-
cal conceit in Bleak House (1852–3) – that of the legal system (and other forms of institu-
tional subjugation) as a ubiquitous, oppressive, far-reaching fog – have been interrogated as
a reflection of contemporary social views and concerns.
More often, the language of a novel has been regarded as a possible lens upon the priori-
ties and world view of the author, specifically. Leech and Short (2007: 151), for example,
state that ‘it is commonplace that a writer’s style reveals that particular writer’s habitual way
of experiencing and interpreting things’. Similarly, although stylometry does not assert that
style reflects ideology, it otherwise works on the same principle: that language use is author-
specific. Stylometry is the statistical analysis of language use for the purposes of authorship
attribution. Features such as word length frequency distributions, use of rare words, and
communities of vocabulary (that is, groups of words that occur together in different works)
have been common bases for arguments over authorship. Although stylometry has a long
history (see Mascol, 1888a, 1888b; Mendenhall, 1887, 1901), authorial style remains of
great interest within narratology (compare Morton, 1978), and is the first of several current
critical issues and topics to which this chapter will now turn.
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authorial identity. Some authors, however, are more ‘distinct’ in their style than others: cer-
tain authors are known for their idiosyncratic expression. For example, Ernest Hemingway
is often noted for his ‘bare’ style (Lodge, 1993), using simple sentences, with paratactic and
polysyndetic structures lacking in evaluative adjectives, and other value-laden expressions,
with simple, predominantly monosyllabic lexis. This is illustrated in the following extract
from The Old Man and the Sea (1976 [1952]: 47, cited in Simpson, 2014: 140):
He knelt down and found the tuna under the stern with the gaff and drew it toward him
keeping it clear of the coiled lines. Holding the line with his left shoulder again, and
bracing on his left hand and arm, he took the tuna off the gaff hook and put the gaff back
in place. He put one knee on the fish and cut strips of dark red meat longitudinally from
the back of the head to the tail. They were wedge-shaped strips and he cut them from
next to the back bone down to the edge of the belly.
George Eliot, on the other hand, is renowned for her lengthy, hypotactic sentences, using
multiple clauses, each laden with descriptive detail in fairly formal lexis, as in the following
paragraph from Adam Bede (2008 [1859]: 85):
Mrs Poyser curtsied duly, and watched the two horses until they had disappeared from
the yard, amidst great excitement on the part of the pigs and the poultry, and under the
furious indignation of the bull-dog, who performed a Pyrrhic dance, that every moment
seemed to threaten the breaking of his chain. Mrs Poyser delighted in this noisy exit; it
was a fresh assurance to her that the farm-yard was well guarded, and that no loiterers
could enter unobserved; and it was not until the gate had closed behind the Captain that
she turned into the kitchen again, where Dinah stood with her bonnet in her hand, wait-
ing to speak to her aunt, before she set out for Lisbeth Bede’s cottage.
Of course, authors do not write in a vacuum and some identify with, or are retrospectively
identified with, particular literary movements that employ specific linguistic codes. Several
literary movements can be distinguished and defined by their new, creative uses of lan-
guage. Modernism, for example, is famous for the style known as ‘stream of consciousness’,
illustrated in the following extract from Virginia Woolf’s Mrs Dalloway (2000 [1925]: 3):
What a lark! What a plunge! For so it had always seemed to her when, with a squeak
of the hinges, which she could hear now, she had burst open the French windows
and plunged at Bourton into the open air. How fresh, how calm, stiller than this of
course, the air was in the early morning; like the flap of a wave; the kiss of a wave;
chill and sharp and yet (for a girl of eighteen as she then was) solemn, feeling as she
did, standing there at the open window, that something awful was about to happen;
looking at the flowers, at the trees with the smoke winding off them and the rooks
rising, falling; standing and looking until Peter Walsh said, ‘Musing among the
vegetables?’ – was that it?
Stream of consciousness writing tends to mimic – in its syntax, use of dashes, and topic
shifting – the natural flow of thought. Although descriptive detail is often sensitive, attention
is often fleeting: the object, moment, person, etc., in focus within the given point of view
is only in focus transiently, the emphasis being much more on the perceiver’s thoughts
than the thing perceived. Woolf’s Mrs Dalloway (1925) and To the Lighthouse (1927)
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are prototypical examples of this prose style. This creative use of language is linked to
contemporary ideological concerns with the relationship between the subjective self and
the world, and the representation of the psychological realities of the self. George Eliot’s
style, while sufficiently distinct to allow her prose to be identifiably hers, corresponds
with the broader stylistic conventions of nineteenth-century realist fiction, marked as it
is by its complexity of sentences structures and densely evaluative language. As with
modernism, the stylistic conventions of the movement can be linked to the concerns of
the movement as a whole, being motivated to authentically and convincingly depict and
comment on social structures and relations, with an emphasis on detailed and complex
portrayals of character and context rather than plot. Here, we can recognise Cook’s (2000)
perception of linguistic creativity as ‘a force for conformity and solidarity, creating and
reinforcing’ group relationships and boundaries, as much as a tool for resisting and rebelling,
and breaking new ground (Carter, 2011: 338).
The notion of distinct authorial style can be thus be challenged through contextualisation
within contemporary literary movements and conventions, and related aesthetic and ideo-
logical priorities. Diachronic comparison of an author’s work can also often reveal devel-
opment and maturation in narrative style, and writing in different genres can lead authors
in new creative directions, further problematising stylistic stereotyping. George Eliot’s third
novel Silas Marner: The Weaver of Raveloe (1861), for example, is much shorter than her
more famous works, and is much simpler in overall narrative structure (with fewer second-
ary characters and subplots) and in style (with simpler lexis and sentence structuring, and
less descriptive detail). Some authors also write in different styles and genres under dif-
ferent names and pseudonyms (compare, for example, Iain Banks with Iain M. Banks, and
J. K. Rowling with Robert Galbraith). A further interesting case in point is the Mills and
Boon industry: roughly 1,000 authors contribute to its range of genres, but each series,
within each genre (‘classic romance’, ‘contemporary romance’, and so on), has guidelines
and conventions for its required style sufficient to render its contributing authors’ voices
indistinct. All of these examples suggest that authorial style, written to stand out or blend in,
to forge new experimental ground or to develop a conventional code, is perhaps partially a
matter of subconscious channelling of habits of expression shaped by world view, but much
more a matter of controlled construction and artful technique.
If it can be argued, with the mentioned caveats in mind, that an author’s style is identifiable
through its occurrence across the author’s entire oeuvre, ‘mind style’ is the manner of expres-
sion specific to a work and reflecting the world view of a character or narrating persona. The
term was coined by Fowler (1977: 76), who wrote that ‘cumulatively, consistent structural
options, agreeing in cutting the presented world to one pattern or another, give rise to an
impression of a world-view, what I shall call a “mind-style”’. It is possible to distinguish
narrator and character ‘mind styles’ from broader authorial style, and comparison of the mind
styles apparent within an author’s oeuvre can, in fact, aid in identifying authorial style – the
authorial stylistic consistencies thrown into relief by the narratorial idiosyncrasies. Without
a range of different narrators across an author’s collected works, it is harder to draw a clear
distinction between the voices of narrators and the voice and style of the author.
Both relatively conventional and highly abnormal mind styles are created through ‘cumu-
lative tendencies of stylistic choice’ (Leech & Short, 2007: 151). Eccentric and unorthodox
mind styles are created through a density of various kinds of defamiliarisation: the point
of view through which the fictional world is portrayed is constructed as markedly deviant.
The narrating protagonist of Samuel Beckett’s novella Molloy (1951) depicts his world
by means of highly modalised constructions, expressing uncertainty about much of what
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happens, shifting between tenses, and often using free direct speech (without demarcating
the words spoken by others, or by himself, from his narration). Although the narration is
‘reliable’ in the sense that it is honest, the effect is highly confusing and disorienting for the
reader. The expression of the narrator protagonist of Eimear McBride’s A Girl is a Half-
formed Thing (2013) is much harder to follow, likewise employing free direct speech, but
also using broken syntax and incomplete, often very short, sentences. The book opens with:
For you. You’ll soon. You’ll give her name. In the stitches of her skin she’ll wear your
say. Mammy me? Yes you. Bounce the bed, I’d say. I’d say that’s what you did. Then
lay you down. They cut you round. Wait and hour and day.
(McBride, 2013: 7)
The pained, rushed, and confused thoughts of the protagonist are portrayed in the stilted, frus-
trated, half-silenced, and stumbling style of narration. As the book jacket’s blurb proclaims:
[I]t is not so much a stream of consciousness as an unconscious railing against a life that
makes little sense, forming a shocking and intimate insight into the thoughts, feelings and
chaotic sexuality of a young and isolated protagonist. To read [this book] is to plunge
inside its narrator’s head, experiencing her world first-hand.
Irregular mind styles have become increasingly popular in the last two decades: The Curi-
ous Incident of the Dog in the Night-time (Haddon, 2003), The Selected Works of T. S.
Spivet (Larsen, 2009), and Extremely Loud and Incredibly Close (Foer, 2005) are just a
few examples of works of fiction written in the first person through mind styles reflecting
symptoms of autism or forms of obsessive compulsive disorder. Although more conven-
tional mind styles likewise involve skilled creativity on the part of the author, different
kinds of creativity, perhaps, are involved when constructing highly defamiliarising mind
styles. This trend, the kinds of linguistic expression that are employed to portray unusual
mind styles, and the rationale behind those linguistic choices are interesting issues in current
narratology.
In some modes and styles of narration, it can be difficult to make a further distinction
between the mind style of the narrating persona and the characters through which the narrator
focalises. In some of Virginia Woolf’s writing – To the Lighthouse (1927), for example – it
could be argued that the mind styles of the various characters through which the narration
focalises are not sufficiently different from each other – or that those differences are smoothed
over by the stream of consciousness style – rendering the narratorial and character viewpoints
and voices difficult to tell apart. The stream of consciousness style is also used in the mod-
ernist novels A Portrait of the Artist as a Young Man (1916) by James Joyce and Life and
Death of Harriet Frean (1922) by May Sinclair. In these novels, Joyce and Sinclair focalise
the omniscient, heterodiegetic narration through the minds of the protagonists, and use this
narratorial mode, combined with stream of consciousness, to portray the development of the
protagonists’ consciousness, and intellectual and verbal abilities. Unlike McBride’s novel, in
which the expression is fairly consistent throughout, these novels present the trajectory of the
bildungsroman – from youth to adulthood – through language, as well as plot: at the novels’
beginnings, the prose replicates early childhood babbling and sound play; gradually, the lexis
and syntax progresses to portray more adult awareness and expression. In these contexts,
the mind style in question is more directly attributable to a specific character viewpoint and
voice, and is distinct from the focalising narration.
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Constructing convincing characters that are distinguishable from each other, via the voice
of the narrator, all of these fictional figures filtered through authorial style, requires a high
degree of creative skill and subtle variation in linguistic techniques. The construction of
spoken character discourse also opens up a further element of linguistic creativity, in the
option of manipulating standard syntax and orthography to present more realistic verbal
discourse. Part of the nineteenth-century realist endeavour was to portray the voices of the
underrepresented working class with verisimilitude. Authors such as Charles Dickens and
George Eliot use colloquial lexis and grammatically deviant syntax to mimic the accents
and dialects of the working classes, in addition to what is conventionally referred to as
‘phonetic spelling’: consonant clusters are elided, and spelling is altered to replicate ‘non-
standard’ pronunciation. The speech of the character Joseph, in Wuthering Heights (1995
[1847]: 308), is portrayed by Emily Brontë in language such as:
Aw’d rather, by th’haulf, hev’em swearing i’ my lugs frough morn tuh neeght, nur
hearken yah, hahsiver! [ . . . ] It’s a blaming shaime, us Aw cannot oppen t’Blessed
Book, bud yah set up them glories tuh sattan, un’ all t’ flaysome wickednesses ut iver
wer born intuh t’ warld!
Novelists can exploit and experiment with the relationship between mind style and expres-
sion in interesting ways, especially in cases in which a first person narrator’s manner of
expression sits ambiguously somewhere between spoken and written styles of narration.
Simpson (2014: 115) discusses the stylistic shifts that Irvine Welsh creates in the accent
and dialect of the narrating protagonist Mark Renton in his novel Trainspotting (1993).
Much of Renton’s narration is expressed through phonetic spelling and non-standard syntax
imitating an Edinburgh vernacular, but when the context requires it (in a law court, for
example) Renton’s expression shifts, and his voice is presented with standard orthography
and spelling, and with use of a formal register and highly articulate lexis. This demon-
strates the performative nature of his accent and dialect, while also highlighting a compli-
cation in the concept of mind style. Renton’s narrating voice, one would assume, reveals
his natural, habitual, subconscious style of expression – that of a working class, unedu-
cated man – and yet his speech occasionally employs a very different style of expression.
This problematises the drawing of a simplistic relationship between mind style, world
view, and linguistic expression, just as the relationship between authorial style and lin-
guistic expression can be problematised.
We now turn from fictional mind styles – perceptions of the world of the novel – to
the fictional worlds themselves, and the ways in which linguistic creativity is involved in
the building of rich and immersive story settings. The affordances of narrative fiction are
greater, in this regard, than those of other kinds of literature, not least because of the scope
available in long prose forms for the drawing of complex and detailed worlds. The afore-
mentioned nineteenth-century realist texts of George Eliot and her contemporaries illustrate
this well, with their fine-grained, vividly drawn, verisimilar depictions of domestic settings.
All fictional worlds (as with fictional mind styles) involve both creativity at the level of
ideas and premises, and creativity as manifest at the level of language. Although the latter
is the focus of attention of this chapter, it bears a close relationship to the former, as demon-
strated by the discussion of mind styles. Within the construction of fictional worlds that are
very different from our reality – fantastic, dystopian, anti-realistic and non-realistic worlds –
whereby different societal structures, laws of physics, genders, life forms, etc., are created,
new names and noun phrases are most prototypically required, but sometimes also new verbs
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and unusual descriptive collocations, for example. Rarely, but occasionally, authors create
innovative, non-standard grammatical systems through which to express the communication
of their characters – see, for example, Russell Hoban’s Riddley Walker (1980) – or even
invented (constructed) languages (see Ball, Chapter 8). In this, much like the use of phonetic
spelling, a careful balance needs to be struck between innovative presentation, convincing
realism (or, indeed, anti-realism), and decipherability. Invented languages, and narrative
fictions more broadly, in their ontological departure from reality, consciously create and
express new visions of the world.
The evolution of narrative has been linked to a cotemporaneous assertion and ques-
tioning of culturally dominant visions, truths, and ‘knowledge’ (such as religious ideas,
understanding of the shape of the earth, etc.) (Ryan, 2005: 344). Structural forms, the-
matic concerns, and linguistic creativity in literary narrative are shaped by, and in turn
impact upon and contribute to, cultural contexts. Western postmodernism, for example,
has picked up and continued modernism’s confrontation of the disintegration of trust in
single, holistic meanings, in cohesive truths, to the extent that the very possibility of
representing a narrative or truth is challenged and confronted. Brigid Brophy’s In Transit
(1969) intertwines a multitude of postmodernist threads. It is written in a multimodal
style, shifting between genres including erotica, opera, detective fiction, and surrealist
fiction, riddled with intertextual references, employing various languages through which
to explore how these languages are ingrained with gender, and with a form of address
and consciousness of an ‘other’ in the construction of the ‘I’, the self. The post-colonial
context is also one in which language choices come to the fore, offering a new dimension
to linguistic creativity. English is the language of colonisation, as well as of globalisa-
tion. Zoë Wicomb’s post-apartheid novel David’s Story (2001) is predominantly written
in English, but is permeated with words from various languages used in South Africa
(defined in a glossary), challenging simplistic notions of hybrid languages. This occurs at
the same time as a destabilisation of reference all together, involving the literal decompo-
sition of the word ‘truth’ (Wicomb, 2001: 136) within the narrative’s overarching theme
of the impossibility of authenticity, narrativisation, and representation. Here, the specific
cultural context – the idiosyncratic sociopolitical, linguistic, and literary nuances of this
moment within South Africa, as perceived by Wicomb – infuse the fiction with particular
kinds of polyglot and referential linguistic creativity. As Carter (2011: 337) asserts, all
creativity is a contextual act.
Finally, the kinds of literary structures and forms culturally available, dominant, and
channelled also influence linguistic creativity. Modern, post-Renaissance, Western narra-
tive is predominantly focused on the self, the individual overcoming adversity (the hero’s
journey, the bildungsroman), with a sole narrator and protagonist, and on knowledge and
truths. Figure 15.1 above maps out the evolution of Western literary narrative, but within
non-Western literary narrative there is a diverse range of story-forming and story-telling
traditions and developments, including oral, performed, and collaborative story-telling, non-
linear narration, short forms, a prominence of analogy and magic realism, mythical sagas,
and lengthy narratives of whole families or communities, rather than sole heroes or anti-
heroes, etc. Different ideological, philosophical, and sociopolitical concerns also determine
the evolution of non-Western narratives in different ways. The South African fiction of
Wicomb and others is variably influenced by the different story-telling traditions and literary
heritage of the country’s many racial communities. David’s Story (Wicomb, 2001) includes
a sub-narrative engaging with the journey narratives, legends, and histories of the repressed
Griqua race, for example. In the late twentieth- and early twenty-first-century globalised
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world, cross-fertilisation of forms, ancient and modern, ‘Eastern’ and ‘Western’, is rife, and
tactical intertextuality abounds. This further undermines conception of authorial style as
subconscious and habitual, determined by the world view and cultural context of the author,
rather recognising style as a ‘motivated choice’ (Studer, 2008) and ‘stylisation’ as a knowing
performance of style to conform to or deviate from cultural norms (Coupland, 2007).
Today’s technological advances also drive and direct creativity in literary narrative.
The development of printing and progressive economic efficiencies in publishing brought
about the serialised literary narrative, and then the novel. This facilitated particular kinds
of world-building, character development, themes, and styles motivated by the concerns of
the widening and changing audience. Similarly, digitisation is shaping contemporary crea-
tive writing, bringing with it a democratisation in online publication, offering global access
to web-based texts, with new affordances in the forms of hypertexts and e-literature, and
contributing to new trends in short and quickly digestible forms (such as Twitter fiction). In
the digital context, new freedoms and constraints encourage language to be used in differ-
ent ways. Words on screens can become both referential and functional, presenting choice
in narrative paths as hyperlinks to new lexia (electronic pages). Flash fiction (very short
fiction, usually less than 1,000 words), becoming increasingly popular, forgoes character
development and detailed setting to capture the mood and tone of a poignant moment, often
with a lack of closure and a density of meaning-potential. These new literary forms and uses
of language create a changed relationship between the language and the reader, and add new
parameters to the act of narrativisation – the readerly reception, construction, and imagina-
tive realisation of literary narrative.
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(Attridge, 2004). Their analyses draw out the stylistic effects of participant relations within
clauses, unusual agency, improbable juxtapositions and incongruent collocations, syntactic
weighting, patterns of nominalisation, etc. Leech and Short (2007: 162–7) compare normal
and unconventional mind styles. Their analysis of Benjy’s unusual mind style in an extract
from Faulkner’s The Sound and the Fury (1931) moves systematically through structure,
lexis, syntax, and ‘textual relations’ to demonstrate how Benjy’s use of simple, monosyl-
labic lexis, few adjectives, paratactic sentence structuring, mistaken intransitive use of com-
monly transitive verbs, limited verb forms, and excessive use of pronominal forms instead
of pronouns all indicate a mind incapable of synthesising and organising information in
terms of relationships such as cause and effect, evaluating relative significance, and so on.
There are countless such examples within stylistic scholarship of use of densely detailed
analysis of linguistic defamiliarisation and foregrounding to reveal the workings of creative
constructions in literature.
Historical stylistics (Busse, 2010) uses sub-branches of stylistics to investigate diachronic
changes in the style of texts, or synchronic stylistic aspects of historical literary texts. Ing-
ham (1992) combines feminist, sociolinguistic, and new historicist ideas in questioning
claims that Dickens’ female characters are stereotypes and/or caricatures of women in his
own life. She compares the language that he uses to describe and voice female characters,
including semantic fields, metaphors, and negation, with other fictional and non-fictional
writing of the period, and argues that some aspects of his language use is fairly distinctive,
while other aspects of his depiction of women reflect changing attitudes at the time. Ing-
ham’s combined methodology enables her to reveal Dickens’ portrayal of female figures to
be more detailed and problematic than mere stereotypes, and too patterned and bearing too
many traces of broader sociocultural influences to be closely analogous to real individual
women in his life. Historical stylistics increasingly involves the use of corpus stylistics,
and sometimes computational stylistics, bringing contemporary technological advances to
stylometry and employing the tools for broader ends than solely authorship attribution. For
example, Mahlberg (2013) uses these methods to investigate various aspects of the language
of Dickens, such as his use of body language in characterisation.
Relevance theory (Clark, 2009, 2013; Sperber & Wilson, 1995) is employed by sty-
listicians to study ways in which meaning is inferable from texts, making a distinction
between what is linguistically encoded and what is pragmatically available for inference.
Clark (2009) uses relevance theory to intervene in literary critical debates about the lan-
guage of Golding’s The Inheritors (1955), particularly in relation to the mind style of
the character Lok and the divergent overarching interpretations of the text. Specifically,
he addresses Halliday’s (1971) lexico-grammatical analysis and interpretative arguments
drawn from transitivity patterns, and the challenge presented to these argument by Hoo-
ver’s (1999) more detailed corpus analysis of the lexis and agency in the text. Clark
(2009) adds to this work by accounting for some of the interpretative effects described by
Halliday, Hoover, and others via inferences available from textual details. Clark explores
the clause structures and restricted diction of Lok’s mind style in relation to the reader’s
expectation of informativity and veracity, and the inferences available therein. He notes
the high frequency of unresolved questions within available inferences when reading pas-
sages focalised through Lok’s mind style in comparison to the available inferences when
reading passages from other narrative points of view in the text. He also discusses impli-
cature in literary contexts: the fiction reader’s interpretative intent to build up a rich con-
ceptualisation of the story world, rather than to derive meaning with the same efficiency-
based model of inference as everyday communication. Again, this is just one example
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narrator or character relates to the fictional world; readers’ schema and other cognitive sys-
tems and psychological concepts appealed to in the authorial rendering of those characters
and fictional worlds; and the relationships between them. Other approaches within cogni-
tive stylistics – such as prototype theory (Rosch, 1975), text world theory (Gavins, 2007;
Werth, 1999), and deictic shift theory (Duchan, Bruder, & Hewitt 1995), several leaning
significantly on Langacker’s (2008) cognitive grammar – offer insights on different aspects
of interpretation of linguistic creativity in literary narrative, such as the process of fictional
world-building, and readerly conceptual immersion and orientation within fictional worlds.
Future directions
Two areas within linguistic creativity and literary narrative have been oddly neglected
within literary scholarship, but are gaining ground within cognitive poetics. The first is
aesthetics, and the role of ‘matters of feeling, taste, preference’ and evaluative aesthetic
judgement in readerly responses to literary narrative (Stockwell, 2009: 10). Explanations
of why a reader likes a particular author’s style, or a particular novel, are significantly
informed by these issues. Stockwell (2009) is gaining ground in this area. Linked to this
is the neglect of real readers and their responses to literary narrative, in favour of the
highly informed, attentive, and often critically biased readings shared and discussed within
academia. New research methods and analytical approaches are being forged in this area
too (see Gavins, 2013; Stockwell, 2009), with the promise of hugely valuable insights for
disciplines that share the priorities of cognitive poetics.
The close study of linguistic creativity in literary narrative can also shed light on the
construction of genre and on the use of linguistic creativity to conform, as well as to deviate.
Gavins (2013) presents concentrated work on the literary genre of absurdist fiction, exploring
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its common creative linguistic characteristics and readerly responses to those characteristics.
Her work partially follows Steen’s (2011: 32–3) framework for understanding genre, which is
based on prototype theory and a model of radial structures for conceptual categories. There is a
lot of scope for more genre-based work of this kind. Stockwell (2009) and others note the his-
toric propensity of scholarship to focus on unusual fictional minds and worlds. This is perhaps
understandable during a period of testing and developing new models, and of excitement about
the insights made available by those new models. It is also further fuelled by current trends
towards dystopian fiction and in deviant mind styles, as noted above. As Stockwell (2009)
argues, however, the linguistic creativity involved in the construction of the conservative and
the conventional – conforming kinds of creativity – and the subtle kinds of foregrounding and
deviation at work in such texts is equally, if not more, worthy of analytical attention.
Gavins’ (2013) method of research could also offer new insights into the linguistic char-
acteristics of, and common interpretative responses to, particular forms of literary narrative.
Research into short stories, and the ways in which meaning is constructed within them, remains
sparse, lagging behind research into other newly popular forms such as digital and multimodal
literary narrative. As much shorter forms proliferate (flash fiction, Twitter fiction, etc.), more
literary critical consideration of the parameters of linguistic meaning making within different
narratological constraints may evolve.
More important, though, and more culturally overdue and urgent, is the need to respond
not only to new trends in literary form, but also to the nuances of linguistic creativity in literary
narrative across the globe. Ironically, perhaps, the cross-fertilisation of genres and styles
between different cultural contexts in the internationalised market for readers is drawing
new attention to neglected non-Western kinds of linguistic creativity in literary narrative,
both contemporary and historic, to the different ideological and sociopolitical movements
that have shaped literary cultural heritage in different contexts, and to non-Western scholarly
approaches to topics within these areas, including, for example, different conceptions of
creativity. A more culturally diverse spectrum of research would radically enhance scholarly
understanding in this field.
Related topics
cognitive stylistics; constructed languages; creativity and discourse analysis; lexical creativity;
literary stylistics and creativity
Further reading
Jeffries, L., and McIntyre, D. (2010) Stylistics, Cambridge: Cambridge University Press.
Jeffries and McIntyre start with some basic concepts within stylistics and move onto its more cogni-
tive branches, working through illustrative analyses in an accessible, textbook format.
Leech, G., and Short, M. (2007) Style in Fiction: A Linguistic Introduction to English Fictional Prose,
2nd edn, Harlow: Pearson.
This book offers a thorough and systematic grounding in the stylistics of literary narrative, explain-
ing and exemplifying detailed analysis of issues such as authorial style, mind style, characterisation,
and fictional world-building, and drawing acute interpretative insights from rigorous linguistic
investigation of a wealth of extracts of fiction.
Stockwell, P. (2009) Texture: A Cognitive Aesthetics of Reading, Edinburgh: Edinburgh University Press.
In this theoretically dense and ground-breaking work, Stockwell provides a deep exploration of aes-
thetic aspects of reading such as resonance, intensity, sensation, and empathy, drawing on insights
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from cognitive poetics. For more introductory outlines and literary analyses using some of the cog-
nitive poetic models and approaches informing Stockwell’s ideas here, see Jeffries and McIntyre
(2010), Semino and Culpeper (2002), and Stockwell (2002).
Verdonk, P., and Weber, J.-J. (eds) (1995) Twentieth Century Prose: From Text to Context, London:
Routledge.
This is a collection of essays by leading stylisticians, each modelling a detailed stylistic analysis of
an extract of literary narrative. The volume provides a valuable overview of stylistic methodolo-
gies, an illustration of the interpretative analytical insights made available by those methods, and a
demonstration of good practice.
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Creativity in response
Joan Swann
Introduction
A clear requirement now is to embrace not simply the producer but the receiver of
creative processes and to shift the analytical attention towards greater assessment
and appraisal of creative outputs, with the aim of gaining enriched understanding of
processes of reception on the part of different socially positioned readers or viewers of
or participants in creative performances.
(Carter, 2007: 600)
Without a reader there is no text, without a text no reader. Arguably, however, stylistics
has historically respected the textual term of this necessary relation more than the
readerly, a trend continued today in dominant and developing stylistic approaches such
as cognitive linguistics
(Hall, 2009: 331)
Ronald Carter (2007), in the first quotation, is responding to a special issue of the journal
Applied Linguistics on language creativity. He sets out some of the achievements in this area
of research – an understanding of creative practices across a range of genres and contexts –
but comments that we need a greater focus on processes of reception. This comment is echoed
in the second quotation from Geoff Hall (2009). Hall is responding to a special issue of the
stylistics journal Language and Literature, focusing on literary reading as social practice. He
contrasts this approach with a prevailing emphasis in stylistics on the analysis of literary texts
in isolation from their reception by readers.
There is, however, an increasing swell of interest in reception, or response, as an aspect
of creative practice, to which calls from researchers such as Carter and Hall (see also Hall,
2005, 2008) have themselves added impetus. While it is true that creativity in language
is often considered in terms of linguistic characteristics and pragmatic functions of those
texts – spoken, written, or multimodal – that are deemed to be in some way creative, recent
attention has focused also on the take-up of such texts: how they are attended to and engaged
with by an audience. In this chapter, I review different approaches to the study of aesthetic
response. In keeping with current interests in language and creativity, I focus on research
that seeks to understand the responses of ‘ordinary’ readers, viewers, etc., rather than the
professional responses of critics. The story I shall tell applies particularly to literary texts,
although I also refer to other texts and practices. I consider, in turn, a shift from abstract
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conceptions of ‘the reader’ and ‘reading’ to empirical studies of response, studies that take
a more contextualised approach to response, and finally, more recent studies that focus on
interpretive moments in everyday discourse. I argue that these last two approaches accord
agency and potentially creativity to respondents themselves.
There remains the question of terminology. I use the terms ‘reception’ and ‘response’
according to which is used in the studies to which I refer (sometimes both are used inter-
changeably). My own preference is for ‘response’ as a generic term, because this seems to
allow for greater agency/creativity in the responsive act. A plethora of terms is available for
those who make the responses, usually associated with particular receptive modes (‘reader’,
‘listener’, ‘viewer’, ‘audience’, etc.). In the main, I use ‘reader’, because of my starting point
in literary response, and because ‘reader’ may also be used generically across different modes
and media. I use other terms where these occur in particular studies or traditions.
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evident in many contemporary texts (not only literature). The analyses are designed to
enable readers to distance themselves from these positionings. As in other approaches to
stylistics, however, interpretations are constructed on the basis of textual analysis (and
sometimes common cultural knowledge) rather than on consultations with actual readers.
Mills is influenced by critical discourse analysis, and similar approaches to that which she
adopts are evident in critical analyses of a range of popular media that assume effects on
readers as a result of the characteristics of media texts (see discussion in Staiger, 2005).
Hall (2009) comments, as quoted at the start of this chapter, that even cognitive approaches
to stylistics, with their explicit focus on interpretive processes, have been concerned predomi-
nantly with textual analysis and with abstract models of reading/interpretation. There have,
however, been interesting developments in cognitive stylistics, with an increasing number of
studies incorporating the responses of actual readers. A common research topic is foregrounding,
the assumed psychological effect of linguistic deviation, which is a feature long associated
with poetic language. Textual forms or structures that ‘deviate’ from linguistic norms are
said to be foregrounded, or to stand out to readers. The ideas of deviation and foregrounding
were developed by the early twentieth-century formalists (see Jones, Introduction) and are
seen as fundamental in the stylistic analysis of literature (Short, 1996: 10ff). A special issue of
Language and Literature (van Peer, 2007) provides examples of research on readers’ – and,
in one case, viewers’ – responses to foregrounding, including: Fialho’s (2007) work on ‘fore-
grounding and refamiliarization’ in two short stories; Hakemulder’s (2007) study of different
levels of foregrounding in films, including Shakespeare film adaptations; and Sopčák’s (2007)
comparison of foregrounding in different drafts of Joyce’s Ulysses (1922).
This kind of empirical approach to reader response has been termed ‘the empirical study
of literature’ (Miall, 2006; Miall & Kuiken, 1998). David S. Miall and Don Kuiken (1998:
328) contrast this with traditional literary study, in which ‘literary scholars continue to pro-
duce readings of texts and elaborations of literary theory in an institutional culture that is
inhabited almost exclusively by fellow scholars and senior students’. For Miall and Kuiken
(1998: 328), the empirical study of literature sheds light on the responses to literature of
readers outside such institutional settings, providing ‘a more ecologically valid approach to
understanding the role and functions of literature in general’. Miall (2006: 12) argues, more
specifically, that ‘our understanding of literary reading will be recast in the light of evidence
gathered from real readers’.
While presented as ground-breaking in the study of literature, such empirical work has also
attracted critical comment. Studies are often experimental or quasi-experimental, whereby
subjects (frequently students) are presented with brief extracts from poetic and other texts.
Texts are sometimes rewritten to allow comparison between particular textual features of
interest. The situation is quite different from the more usual contexts in which people read,
leading Hall (2008), and Allington and Swann (2009), to question their ecological validity.
Hall (2008: 31) argues that they do not satisfy ‘the very basic demand that a study actually
tells us about the phenomenon it purports to tell the researcher and the readers of that research
about, and not about a suggestive but frustratingly parallel research universe’.
Formal stylistic analysis, cognitive stylistics, and the empirical study of literature share an
interest in the interpretations produced by ordinary readers that, at least in principle, would
differ from a preoccupation with the expert and distinctive readings provided by literary critics.
In his introduction to cognitive poetics, Stockwell (2002: 11) presents this as ‘nothing less
than a democratization of literary study’. There is a striking parallel between this position
and Carter’s (and others’) interest in demotic creativity, and the extension of the notion of
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‘literariness’ to everyday texts and practices. However, there is limited scope for creativity
in the responses of an idealised reader constructed by an analyst. Critical approaches, such as
Mills’ feminist stylistics, might be said to assume some level of agency in encouraging read-
ers to question dominant meanings, or to read against (in this case gendered) texts, but again
the meanings associated with texts derive from textual analysis. And the responses of actual
readers in the empirical study of literature tend to be highly constrained by an experimental
research design. While these approaches have much to say about literary and other texts, they
do not help us to attain Carter’s goal of an ‘enriched understanding of processes of recep-
tion’ that takes into account the different social positions occupied by readers (or viewers, or
listeners, or other participants in the creative process). This is, however, addressed in more
contextualised approaches that allow for greater differentiation between readers and greater
reader agency, to which I turn in the following section.
Rose (2001: 404) argues that a sense of epiphany – ‘The Book That Made All The Differ-
ence’ – was a common theme in working-class autobiography.
A recent British project has compiled a Reading Experience Database (RED) (the current
director of which is Shafquat Towheed): a historical record of the reading experiences of
British subjects and overseas visitors to Britain from 1450 to 1945. The database includes
more than 30,000 records of all kinds of reading, ‘not only books but also newspapers, jour-
nals, posters, advertisements, magazines, letters, scripts, playbills, tickets, chapbooks and
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almanacs’ (RED, undated a). A ‘reading experience’ here means ‘a recorded engagement
with a written or printed text – beyond the mere fact of possession’, and the researchers
argue that:
An example of research drawing on the database is Katie Halsey’s (2009) study of reading
experiences over the period 1800–1945, in which she provides evidence of the prevalence
of: the reading aloud of literary texts throughout the nineteenth century and how this may
have affected the reception of these texts; critical responses by readers to texts read aloud
by authors, some of which seem to have contributed to the redrafting of texts; a close asso-
ciation between morality and style in readers’ responses; and the importance of emotional
responses. Both Halsey (2009) and Rose (2001) contrast the study of actual readers with
abstract constructs of the reader evident in literary theory, contending that the latter obscure
the diversity of readers and reading practices. Similarly, the compilers of the RED comment
that this will ‘certainly enable the study of readership to progress beyond the theoretical and
speculative’ (Open University, undateda).
The three-volume History of Reading (Crone & Towheed, 2011; Halsey & Owens, 2011;
Towheed & Owens, 2011) provides further examples of studies of historical reading expe-
riences. Other collections provide a greater focus on contemporary reading. The papers in
Rehberg Sedo (2011), for instance, consider various forms of reading community, from
face-to-face and online reading groups, to mass reading events, locating these within a
broader historical context of shared reading. Lang (2012) brings together a series of studies
of reading at the turn of the twenty-first century, when, she argues, social and technological
changes have the potential to transform readers’ engagement with texts.
Contemporary ethnographic studies, which go beyond written records of reading, can
gain more direct access to Rose’s ‘common reader’, providing greater detail on the read-
ing practices of individuals and groups. Working within cultural studies, Janice Radway
(1984) carried out a now-classic study of women reading romance literature. Radway
(1991 [1984]: 7, emphasis original) comments that she began to distinguish analytically
between ‘the significance of the event of reading and the meaning of the text constructed
as its consequence’. Her study became:
less an account of the way romances as texts were interpreted than of the way romance
reading as a form of behavior operated as a complex intervention in the ongoing social
life of actual social subjects, women who saw themselves first as wives and mothers.
(Radway, 1991 [1984]: 7)
Whereas textual studies of romance have seen this as a limiting genre that reproduces
patriarchal values, Radway (1984) saw romance reading partly as a form of individual
resistance, buying time away from the care and emotional nurturance of others. She com-
ments too on the women readers’ insistence that romance reading ‘creates a feeling of
hope, provides emotional sustenance and produces a fully visceral sense of well-being’
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(Radway, 1991 [1984]: 12). Other studies have commented, similarly, on how readers use
books, and reading experiences, for their own ends. As examples of studies carried out in
rather different reading contexts, see Elizabeth Long’s (2003) account of American women’s
reading groups, Azar Nafisi’s (2003) account of a reading group for female students in
Iran, and Shirin Zubair’s (2003) account of a critical approach to literature teaching in
Pakistan (mainly women, some men). In all of these cases, literary texts, and their discus-
sion, led readers to explore and sometimes question aspects of their lives.
The research discussed in this section, in its acknowledgement of differences between
readers and its emphasis on how these readers make texts work for them, allows space for
reader agency and creativity. Some work has focused on responses that seem particularly
creative in that they play with the boundaries between reading and rewriting. A prototypical
example is fan fiction, in which readers rework existing stories, changing or elaborating the
story world, plot, aspects of characterisation, etc. – a practice discussed in several publi
cations by Henry Jenkins (2006, for example; see also Knobel & Lankshear, Chapter 25).
Examples of the practice can be seen in one of the main websites, http://www.fanfiction.
net, which includes responses to a range of texts, including books, anime/manga, movies,
cartoons, plays/musicals, comics, television shows, and games. In turn, stories reversioned
by fans may be subject to feedback from other fans. This popular form of rewriting is a
continuation of an established literary practice: literature is full of intertextual references to
earlier literary texts, and rewritings may become literary works in their own right, as in Jean
Rhys’ (1966) Wide Sargasso Sea, written as a prequel to Charlotte Brontë’s (1847) Jayne
Eyre, and numerous reworkings of Austen’s (1813) Pride and Prejudice. In the United
Kingdom, Rob Pope (1995) has developed this idea into an approach to reading and criticism
that he terms ‘textual intervention’. Pope challenges simple dichotomies between reading
and writing, arguing, for instance, that reading necessarily involves rewriting in the sense of
constructing meanings and interpretations. Textual intervention is a more developed form of
criticism as rewriting, for example students may rewrite a poem, or rewrite and combine two
texts from different genres. This encourages a creative engagement with texts in which the
students produce critical commentary on the basis of their rewriting.
In Pope’s case, ordinary, or at least non-expert, readers transform literary, and sometimes
canonical, texts. Creative interplay between literary texts and reader responses may occa-
sionally be constructed to work in the other direction, as in the example of an ‘anti-edition’
of Virginia Woolf’s (1929) A Room of One’s Own produced by the Swedish conceptual
artist Kajsa Dahlberg and discussed by Mats Dahlström (2011). Dahlberg had become inter-
ested in marginalia as responsive texts, and collated pages from Woolf’s essay that had been
annotated by readers: in her anti-edition, these marginalia were prioritised over the original
text. In this case, everyday responses were recontextualised as an art form in their own right.
Dahlström (2011: 123) sees the result as a social text that plays with the boundaries between
the private (marginalia) and public (a printed book), placed in the public sphere in an exhibi-
tion of work by the artist.
I commented earlier that the work discussed in this section could broadly be seen as
adopting a sociocultural perspective on reading. Theorisations of the sociocultural would
see readers as located within particular sociohistorical, cultural, and local interpersonal con-
texts that make available certain forms of engagement with text and potentially certain textual
interpretations. Readers and readings are not, however, completely constrained by their
sociocultural positioning. Lang (2012: 2), for instance, argues that while it is important to
situate individual acts of reading in relation to the wider social and cultural relations within
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which they are embedded, this should not ‘lead us to lose sight of acts of individual agency,
creativity, resistance, and freedom within the interaction between reader and text’. Such
creative interactions would draw on whatever interpretive resources are available. Lang
(2012: 2) gives as an example ‘when new technologies open up spaces in which readers can
generate their own construction of texts and offer critical responses that need not adhere to
the sanctioned judgments of literary experts’.
This emphasis on the relative creativity of readers is consistent with wider preoccupations
in the field of cultural studies. In a review of children’s and young people’s consumption
of a range of cultural products, not only reading material, Mary Jane Kehily (2003: 282)
comments on a shift that has taken place from seeing people as passive consumers, ‘the
manipulated dupes of omnipotent and highly persuasive commercial forces’, to according
greater emphasis to more active processes of consumption in which people are seen to exercise
agency and creativity in their interaction with cultural resources.
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creative performance, although Coates herself avoids this term. The play is highly collabo-
rative and is better seen as a joint creative enterprise for which drawing analytical boundaries
between ‘performer’ and ‘audience’ would be unhelpful. Coates (2007: 32) adopts the meta-
phor of jazz to describe this: ‘Humorous talk often involves speakers constructing text as
a joint endeavour, just as jazz musicians co-construct music as they improvise on a theme’
(see also Sawyer, Chapter 4).
Such creativity in informal interaction, whether face-to-face or online, is necessarily
responsive as speakers/writers orient towards prior talk – and indeed, intertextually, to
prior utterances outside the interaction – but such talk routinely blurs distinctions between
performer and audience as these roles blend or at least shift rapidly between participants
(for an illustration from online interaction, see Goddard, 2011; Goddard, Chapter 23). Discuss-
ing this type of informal interaction, Maybin (2011: 129) refers to meaning, and therefore
creativity, as occurring ‘like a spark between people through the synergy between utterance
and response, and through the cumulative criss-crossing chains of utterances and responses
which link people together’. Maybin’s own study was of contemporary letter-writing: she
discusses the forms of creativity that occur as writers playfully echo and respond to each
other over a series of letters.
By contrast with these highly interactive discursive processes, the act of reading itself, as
a response to texts of various sorts, may seem to be a qualitatively different phenomenon in
which the interaction occurs between an individual reader and a text, and usually in silence.
The historical and contemporary studies of reading experiences discussed in the previous
section have shown several ways of interacting with written text, including reading aloud
and discussion. There is similar evidence of joint engagement with other media: see, for
example, Morley (1986) for an early study of family television viewing in which discussion
of programmes was an important component, and Staiger (2005), for a more general review.
Recent discursive approaches to reading focus on just such occasions on which, as com-
monly happens, people talk about a book (or film, television programme, etc.) that they are
reading (or watching) or have previously read (or watched). While this might be thought of
as talk about a prior act of reception, examination of the discourse suggests that it is better
seen as a different form of reception: through talk, people co-construct joint interpretations
that may differ from earlier readings. Researchers have adopted and sometimes combined
different approaches to discourse analysis (conversation analysis, interactional sociolin-
guistics, linguistic ethnography – the boundaries may blur in contemporary iterations of
these approaches). These allow one to identify micro-interpretive processes. For instance,
I pointed out above that studies of reading experiences suggest that readers frequently use
literary texts to explore aspects of their lives. This stands in contrast to the professional
responses of academics and literary critics. Discourse analysis shows how this process is
intricately played out between readers in their literary talk. In a study of the discourse of
reading groups, David Peplow (2011) refers to the significance of a mimetic dimension
in the groups’ discussion, in which characters and events are responded to ‘as if real’.
Mimetic reading may support the exploration of ‘real-life’ issues of concern to readers,
although Peplow comments that, in practice, it is often interwoven with more synthetic
(that is, analytical) reading stances.
Several studies have examined the detail of ‘reading-in-talk’ (for example Benwell, 2009;
O’Halloran, 2011; Swann & Allington, 2009), illustrating how this is rooted in particular
interpretive contexts, and embedded in social and interpersonal activity: such social and
interpersonal activity may affect readers’ interpretations – what they say about a text – and,
in turn, the text that is the object of discussion may be drawn on to construct particular social
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relations and reader identities. Such collaborative, situated interpretive activity has been
termed ‘co-reading’ (Peplow et al., 2015).
Some studies have focused on co-reading in institutional contexts such as schools (Cremin
& Swann, 2015; Eriksson Barajas, & Aronsson, 2009). Cremin and Swann (2015) consider
how, in extracurricular school reading groups, readers work at the construction of readings
that differ from the schooled readings associated with English lessons; as part of this process,
they also construct non-institutional relationships between themselves as readers. Similar
discursive approaches have been taken to the analysis of talk around other media, for example
Hmensa (2013) on Ghanaian radio adverts, and Maybin (2013) on a British television soap.
All of these studies accord readers a degree of creativity, although this is joint creativity
and contingent on particular interpretive contexts. Readers are seen as jointly construct-
ing interpretations, rather than simply uncovering meanings inherent in a text, and also as
drawing on texts to construct social/interpersonal relations. Sometimes, co-reading displays
a heightened form of creativity as, in their interactions, readers transform texts – recontex-
tualising and elaborating particular sequences. This may be seen as a micro-equivalent of
the more fully developed practice of fan fiction, or the approach to rewriting developed by
Rob Pope (1995).
In her study of radio advertising, Hmensa (2013) comments that adverts sometimes pre-
sented very brief narratives (because of financial constraints, these might be only a few seconds
long) that were suggestive of familiar scenes. In talking about these adverts, groups of lis-
teners often extended the narratives, playfully relating them to their own lives. Janet Maybin
(2013) analyses the talk of a group of 10–11-year-old children about an episode from the
television soap Eastenders. The children used the television text to explore moral issues and
share their emotional responses, but they also engaged in more artful responses, performing
(recreating and embellishing) fragments of the original dialogue and later parodying these.
In their work on reading group discourse, Peplow and colleagues (2015) consider practices
such as replotting (whereby readers propose alternative plot lines), revoicing, elaborating,
and sometimes parodying textual extracts, and on occasion blending the text world of the
novel with the discourse world of the readers: for example, in comparing the narrative of
Steinbeck’s (1947) The Pearl with the story of someone winning the football pools in 1960s
Britain, a group of women readers playfully blended elements from these narratives –
a performance that resulted in uproarious laughter. Such creative interpretations, like the
more general process of co-reading, also served concomitant interpersonal functions (align-
ment with others, mock self-deprecation, teasing, etc.).
While their focus is on micro-interpretive processes, discursive approaches to reading are
compatible with the study of reading experiences discussed above. However, the emphasis
in discourse analysis on response as located within, and to some extent conditioned by,
social and interpersonal relations may lead analysts to caution against taking personal
testimony such as autobiographical evidence at face value. This point has been addressed by
reading historians – in discussing the RED, Katie Halsey (2008: 136) concedes that:
Memoirs and biographies, like autobiographies, are involved in fashioning an image of the
subject they treat. And because the books someone reads can be used as a kind of shorthand
to describe the kind of person they were, it is wise to be wary of such descriptions.
However, personal testimony, such as Will Crooks’ autobiographical account of his engage-
ment with classical literature (Rose, 2001), still tends to be presented as a direct window on
reading experiences. From a discourse analytic perspective, Crooks’ and similar accounts
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might be better seen as narratives, creative in themselves, which select particular experi-
ences (and not others) to make sense of their lives from within a particular sociocultural
context (Allington & Swann, 2011).
Like the study of reading experiences, discursive approaches to reading stand in con-
trast to the relatively decontextualised and singular readings that emerge from the stylistic
research, whether from the implied reader presupposed in textual analysis or the experimental
subjects in empirical studies. Some stylisticians have, however, combined stylistic analysis
of literary texts with a discursive approach to their interpretation. In a cognitive stylistic
study, Sara Whiteley (2011) analysed reading group responses to a novel – Ishiguro’s (1989)
The Remains of the Day – then identified features of the text that, she argued, might have
occasioned these responses. In the following section, I consider further some possibilities for
combining approaches that may, on the face of it, seem incompatible.
Next steps
In this section, I consider two principal ways in which the study of creativity in response
has the potential to develop, both of which would also increase our general understanding
of creativity: first, the possibilities afforded by challenging boundaries between analytical
traditions; and secondly, taking greater account of a contemporary processual approach to
the study of language and discourse.
I have suggested in this chapter that stylistic approaches to the reader, even those in the
tradition of cognitive stylistics, have tended not to take account of situated reading prac-
tices, but that such practices are the preserve of more sociocultural (ethnographic, etc.)
research. Both traditions have limitations, however: whereas stylistics ignores the reader
(or at least the socially situated reader), sociocultural approaches, with their focus on read-
ing experiences, may ignore the text. I cited earlier Radway’s (1984) developing interest in
romance reading as a form of behaviour rather than in how the texts themselves operated
(for a critique of this position, see Hall, 2009).
Whiteley’s (2011) research does something to link these two sets of interests, in analysing
both literary texts and their reception by readers. This still, however, accords priority to the
text in the creation of meaning: the focus is on textual features that might produce certain
interpretations. While it is legitimate to focus on certain issues at the expense of others, it is
also helpful, on occasion, to try to reconcile difference and bridge gaps. Our understanding
of reading – and therefore of the potential for creativity in reception – would be enhanced by a
systematic combination of textual analysis and a sociocultural analysis of reading practices –
that is, by relating response to features of the text, how this is read, and the environment in
which reading takes place. (For discussion and initial exploration of this with respect to
reading groups engaged in literary reading, see Peplow et al., 2015.)
Some studies of media discourse have combined textual analysis with producer and
reader/audience perspectives (see, for example, Cook, 2001, on the discourse of advertis-
ing, and Richardson, 2010, on television dramatic dialogue). In her study of Ghanaian radio
advertising, Hmensa (2013) included producers’ accounts of their practice, observations
of advertising production, and the responses of selected listeners alongside an analysis of
advertising texts. The research makes an attempt to understand the nature of the texts them-
selves, the motivations, constraints, ad hoc practices, etc., that produce just those texts, and
their reception by the target audience. Further exploration is needed of different ways in
which complementary methodologies may be combined to provide fuller accounts of creative
language practices.
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A similar point relates to the potential for combining cognitive and sociocultural per-
spectives on reception. This has long been a focus of attention in some research within the
sociocultural tradition: see, for example, Gee (1992) on the social mind and, more specifi-
cally on reading, Gee (2000). The studies in cognitive stylistics discussed in this chapter
tended to focus on reading as a relatively decontextualised and singular cognitive process,
but seeing the mind as social makes relevant more contextualised approaches to collabora-
tive interpretation. Littleton and Mercer’s (2013) term ‘interthinking’ seems particularly
valuable here. There is some consistency in approach between Littleton and Mercer’s psy-
chological research on children’s learning as mediated through discourse and discourse
analytic studies of co-reading, and such links could be further explored (see Peplow et al.,
2015, for discussion and exemplification).
Much of the research that I have discussed in this chapter, across different traditions, has
provided ‘snapshots’ of creativity in reception: the analysis of potential readings within
texts; the identification of actual reading experiences; episodes from discussion of a book
or other text. Sometimes, experiences are grouped to identify themes – for example Rose’s
(2001) reference to epiphanic reading experiences, or Halsey’s (2009) discussion of the
nineteenth-century practice of reading aloud – but the starting point is with one or more
separate experiences. By contrast, some research on language and discourse carried out
within a sociocultural tradition has adopted a more dynamic model of communication, often
theorised in terms of Bakhtinian conceptions of dialogicality and addressivity (Bakhtin,
1935). Empirical research might focus on the shifts in meaning that occur when utterances
and texts are recycled across times and places: see, for example, Blommaert (2005) and later
discussion in Lillis (2013) on the idea of ‘text trajectories’. Creativity in this case would be
seen partly in terms of response – in the transformation of utterances and texts, not only
individual creative acts. Some of the studies mentioned are compatible with these ideas:
Pope’s (1995) work on textual intervention and rewriting focuses on the critical/creative
transformation of literary texts; Maybin’s (2013) study of children’s reading of Eastenders
looks at how extracts from the original television dialogue are playfully recycled and
recontextualised in the children’s talk; Hmensa’s (2013) study of radio advertising follows
advertising texts from the original concept through a number of production stages during
which they are responded to, adapted, etc., to their eventual reception by an audience; and
Allington and Swann (2011) identify reading within a book club as a series of readerly acts
in which interpretations are reworked over time and reversioned in different settings. There
is a potentially rich seam here that could be exploited more systematically to deepen our
understanding of creative practices and processes.
Related topics
cognitive stylistics; creativity and dialogue; creativity and discourse analysis; everyday
language creativity; literary stylistics and creativity
Further reading
Lang, A. (ed.) (2012) From Codex to Hypertext: Reading at the Turn of the Twenty-first Century,
Boston, MA: University of Massachusetts Press.
There are several recent collections on reading that are worth browsing, as noted throughout this
chapter. Lang’s volume on contemporary reading practices is a good starting point.
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Creativity in response
Long, E. (2003) Book Clubs: Women, and the Uses of Reading in Everyday Life, Chicago, IL:
University of Chicago Press.
Long discusses her ethnographic and historical research on women’s reading groups in the United
States in a classic study of everyday literary reading.
Peplow, D., Swann, J., Trimarco, P., and Whiteley, S. (2015) The Discourse of Reading Groups,
London/New York: Routledge.
A more recent study of everyday literary reading adopting a discourse analytic approach, this volume
brings together cognitive and sociocultural approaches to reading group discourse, and includes a
discussion of creativity.
Rehberg Sedo, D. (ed.) (2011) Reading Communities: From Salons to Cyberspace, Basingstoke:
Palgrave Macmillan.
This is another interesting collection that looks at both historical and contemporary examples of
reading communities.
Useful websites
http://www.beyondthebook.bham.ac.uk
The website for a project entitled Beyond the Book – a study and resources on mass reading events.
http://www.devolvingdiasporas.com
Devolving Diasporas is a study of responses, from readers in different geographical locations, to
narratives of movement, migration, and diaspora.
http://www.open.ac.uk/Arts/RED
The Reading Experience Database (RED) is an open-access database and research project, includ-
ing more than 30,000 records of reading experiences. These are mainly British, dating from between
1450 and 1945, but the site is in the process of internationalisation.
http://www.open.ac.uk/dorg
The website for the Discourse of Reading Groups – a study of everyday literary response in reading
groups across Britain.
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Creativity and translation
Douglas Robinson
Introduction
Theodore Savory (1968) noted decades ago that the prescriptions aimed historically at
regulating translations have been notoriously conflicted or contradictory: translators should
translate individual words/whole sentences; translators should highlight/conceal the transla-
tional nature of the target text; translators should modernise/archaise a literary classic, and
so on. Partly, these tensions or contradictions are a by-product of disagreement among the
authorities seeking to control translation; more importantly, they reflect the complexity of
the act of translation and the impossibility of reducing it to a single simple set of rules.
Much the same is true of creativity in translation: paraphrasing Savory, we might want to
say that the translator should be slavish/creative. Unpacking that a little, we might want to
clarify that the translator is expected to give the impression of slavishness and hide whatever
creativity is required to achieve that impression, or that translators have historically been
expected to be slavish reproducers of the source text’s syntax, semantics, text-linguistic
coherence, pragmatics, style, etc., and that only recently has scholarly attention begun to be
drawn to the (formerly repressed) creativity that translation inevitably requires.
If we add a perspectival element to that formulation, marking the traditional demand for
slavish fidelity with ‘A’ and the more recent theorisation of the translator’s creativity with ‘B’,
and the practical and theoretical consequences of those two broad principles with ‘1’ and ‘2’,
we obtain something like the following historico-theoretical guide to creativity and translation.
B. Translating is fundamentally a creative act, transforming both the source text and the
target language.
1. The (A2) ineradicable creativity of the act of translation threatens (A1) the very
definition of translation as slavish fidelity.
2. B1 is precisely why, until the past two decades or so, translation theory has so
determinedly sought to enforce (A) the translator’s slavishness and to repress (B)
the translator’s creativity.
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The effort not to deviate from the source author’s expressions requires
of the translator semantic, syntactic, and pragmatic creativity (A2)
Semantic creativity
The translator seeking strict fidelity to the original does not simply open the bilingual
dictionary to the entry for the problematic source-textual word and choose the first target-
language item listed there. Typically, professional translators list synonyms in their heads
and ‘feel’ their way to the best one – although that ‘feel’ may shift in the process, so that
the eighth or the tenth item in the mental list may feel right enough to type into the transla-
tion, but may then begin to look or feel wrong as soon as it is written, or later in the editing
process. Even when a dictionary or translation-memory software is used, and the translator
chooses from among the semantic options provided there, the choice is creative in the sense
that the skilled professional translator brings to bear on it a highly nuanced feel for the con-
notations and collocations of each semantic option – how each has been used in hundreds,
or thousands, of similar and dissimilar contexts – and weighs the closeness of each to the
source-textual word-in-context.
If true interlingual synonymy were ever possible, translation might be semantically less
creative than it inevitably is – but then if true intralingual synonymy were ever possible, ordi-
nary monolingual discourse might be semantically less creative than it inevitably is as well.
So-called realia – terms in the source language for which there are no target-language
equivalents, typically because the objects to which they refer do not exist in the target
culture – are a special case requiring semantic creativity of the translator. A humorous
version of this might be ‘the thing described by the source text is exactly like a doughnut,
except that it’s flat, square, black, and doesn’t have a hole in the middle’. Does the translator
call it a ‘doughnut’ in the target language, because that is the closest natural equivalent, even
though he or she knows (and knows that the target reader will not know) that it is nothing
like a doughnut? Does he or she use the source-language term and provide an explanation in
the text or a footnote? Does he or she invent a word? Does he or she simply omit the word
and translate around it?
Syntactic creativity
The syntactic differences between languages have been recognised for thousands of years;
translators negotiate those differences in virtually every job they do. In the aggregate, the
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professional translator does not find these differences difficult: every working translator
develops transfer schemas for specific syntactic structures in the source language, and
those transfer schemas often operate unconsciously and very rapidly to effect the creation
of a target-language equivalent. But those very transfer schemas – convert a passive syntax
to active, unpack an embedded syntax into subordinate clauses, etc. – are the automated
products of past conscious creativity and continue to channel syntactic creativity into the
translator’s work.
Nor is the syntactic complexity of translation ever merely an aggregate affair, as the
following demonstrates.
•• Source texts are not always syntactically felicitous. Technical texts in particular
are often written very badly and, when faced with a bad sentence, the translator will
need to exert considerable syntactic creativity first to figure out what the source
text is trying to say, then to come up with an equivalent in the target language.
(Literary texts often have syntactic problems like this as well. Not all literature is
James Joyce; much of it, in fact, is popular fiction that has been edited badly, or
not at all.)
•• Every instantiation of a familiar syntactic pattern brings its own co-textual challenges,
requiring slight modification(s) of the transfer schema. Transfer schemas only par-
tially automate the syntactic aspects of the translation process; local modulations
require creativity.
•• Not every syntactic pattern in a source language will be familiar to the translator.
Translation is an intelligent activity, and every translator is continually learning new
patterns. ‘Learning new patterns’ proceeds from the initial encounter (surprise, baf-
flement, frustration), through exploration (seeking understanding through mental
extrapolation, checking in grammar books and other published or online resources,
asking a friend) and mastery (understanding this one case, understanding similar/
analogous cases), to habitualisation (developing a new transfer schema that will
translate unconsciously).
•• The source author’s style is often in part a conglomerate effect of syntactic and semantic
preferences. Recognising and reproducing those preferences in the target language well
enough to give the target reader the impression of an equivalent style is often difficult and
requires great creativity.
•• Even apart from stylistic fidelity to the source text, there is a marked difference between
a translation that is syntactically faithful, but ‘flat’, and one that feels ‘alive’. Not
all syntactically faithful translations of a given sentence or paragraph are stylistically
equal in the target language. The difference between a ‘flat’ and an ‘alive’ translation is
often difficult to articulate or analyse, because the ‘differential impressions’ (Christiansen,
1909) on the basis of which we make such distinctions operate below the level of
conscious awareness.
•• Any form of literary experimentation will require enhanced syntactic creativity.
Literary experimentation is typically not so much idiosyncratic expression as it is
a playing with unused potentials in the relationship between idiosyncratic expres-
sion and established usage – and every one of those elements (usage, expression,
and the relationship between them) is grounded in the history of each language.
This makes recreating a source-language literary experiment in the target language
extraordinarily difficult.
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Pragmatic creativity
Given that the pragmatics of any text is shaped by the culture, and that the target culture
by definition differs significantly from the source culture, the translator seeking strict
fidelity to the source text will be faced with apparently insoluble pragmatic problems,
and will be forced to call on considerable reserves of pragmatic creativity to reach even
barely tolerable solutions. Registers of politeness and formality rarely overlap between
cultures. Canons of relevance and verbal action differ from culture to culture. The skilled
professional translator must be sensitive to these differences; but even the translator
who recognises them easily will often be hard pressed to make the shifts in translation.
If the speech act that the translator is attempting to reproduce does not exist in the
target culture – is not recognised as a speech act, and therefore has no conventionalised
meaning and no contextual variability – how is the translator to get the target reader to
(a) understand what it is attempting to do, (b) recognise it as a speech act that might be
performed effectively in the target culture, and (c) recognise it as a speech act that is
taken for granted in the source culture? If what Grice (1989 [1975]) calls the ‘Coopera-
tive Principle’ and its maxims differ from culture to culture (and they always do), how
can the translator structure the target text so as to make it possible for target readers to
work out conversational implicature?
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the mix of voices that is the source text and addresses the target reader not only through the
added voice, but also through the composite of all of the resulting voices.
•• Television and film subtitling, especially from a more powerful language to a less
powerful language, tends to introduce the concepts of the former into the latter, typically
via the medium of new coinages invented specifically as target-language equivalents.
The popular audiovisual media of television and film tend to disseminate such coinages
quickly through a population.
•• Philosophical vocabularies in any given language tend to consist mainly of translations
from key philosophical thinkers in other languages. Sometimes, rather than translating,
translators will carry the original term over into the target language, as a loanword: dao
from Daoism, mimesis from Plato, catharsis from Aristotle, etc. Sometimes, translators
will simply translate literally: Kant’s Ding-an-sich becomes ‘the thing in itself’,
Heidegger’s In-der-Welt-Sein becomes ‘Being-in-the-World’, etc. And sometimes
there simply is no good target-language equivalent, and the philosophical target culture
makes do with an awkward combination of the original as loanword and translation, as
is the case with Heidegger’s das Man, variously (and always inadequately) translated
as ‘the They’, ‘the Anyone’, ‘the Everyone’, and so on.
•• Translations of key theological, legal, and educational terms from a colonising culture to
the colonised culture tend to reshape the latter in the image of the former. Post-colonial
translation studies tends to deal with the history of such reshapings in the past, the
resulting cultural hybridity that has resulted from them in the present, and the potential
for transformative retranslations in the (decolonised) future (see Robinson, 1997b).
Historical perspectives
Until the past two decades or so, translation theory has determinedly
sought to enforce the translator’s slavishness
As Pym (1992: 152–3) has noted, the primal scene of translation is the summit meeting of
two kings who do not speak each other’s language and so have to rely on interpreters. The
first question in that situation might be: ‘Who will bring the interpreter?’ But obviously,
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if King A relies on the interpreter brought by King B, he has no way of knowing whether
King B’s interpreter is not simply spinning the conversation to suit King B; and the same
is true if King B relies on the interpreter brought by King A. The obvious solution to that
stand-off is for each king to bring his own interpreter. But that raises the second question:
‘How can either monolingual king trust his own interpreter not to betray him to the other
side?’ After all, translators and interpreters are, by definition, intercultural beings who have
learned not only the language of a foreign culture, but also the values and norms of that
culture. The loyalty of translators and interpreters has always definitively been in question.
Hence the historical importance of stressing fidelity not only to the source text, but also
to the source author – not only to linguistic structures, in other words, but also to human
agency and its intentions.
Normatively, throughout history, the translator or interpreter has been conceived as the
slave (or servant) of the source author, required to translate or interpret in loyal service to
his or her intentions:
We as translators subjugate our pen to a foreign language and enslave our minds to the
tyranny of another.
(Etienne Pasquier, in a 1576 letter to Odet de Tournebus,
quoted in Robinson, 1997c: 113)
But slaves we are, and labour on another man’s plantation; we dress the vineyard,
but the wine is the owner’s: if the soil be sometimes barren, then we are sure of being
scourged; if it be fruitful, and our care succeeds, we are not thanked; for the proud
reader will only say, the poor drudge has done his duty.
(John Dryden, in his 1697 Dedication to the Aeneis,
quoted in Robinson, 1997c: 175)
The problem inherent in that orientation, of course, is that human beings are not robots – that
is, it is ultimately impossible to thwart their creativity. Ideally, from the king’s perspective,
the translator-as-slave would be a mere mechanical extension of the king-as-source-author;
hence the perpetual attraction of machine translation. Unfortunately for such idealisations,
and fortunately for the actual human beings involved in creating translations, that mechani-
cal reduction has proved elusive. Machine translation systems, especially the statistical kind
pioneered by Google Translate, are beginning to produce nearly acceptable target texts – but
they still require post-editing. (The new ‘slavery’ that translators complain about today is
enslavement to translation-memory software and machine-translation systems, which seem
to turn translators into mindless line workers.) Even the most loyal post-editor can get creative
and introduce new ideas or attitudes into a text.
Pym (1993: 131, 149–50) elsewhere makes the important distinction between ‘external
knowledge’ (the knowledge of clients, for whom translation is a text that should serve
as a reliable guide to the foreign text that they cannot read) and ‘internal knowledge’
(the knowledge of translators, who know the extent to which the activity that produces
that text is saturated in interpretive creativity), noting that translators have nothing to
gain by revealing their ‘internal knowledge’ to their clients. In that sense, the ‘creative
turn’ in translation studies has constituted a determined shift from the perpetuation of
clients’ ‘external knowledge’ (translation as structures of equivalence) to an exploration
of translators’ ‘internal knowledge’.
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by our personal knowledge and experience’, and thus is ‘not merely a receptive but also a
productive process’ (Kussmaul, 1995: 41). His main focus, however, is on the ‘incubation’
phase, as illustrated by two student translators brainstorming together. Most powerful for
him were examples of what Guilford (1975: 40) calls ‘divergent production’:
Divergent production is a broad search, usually in an open problem, in which there are
a number of possible answers. I also sometimes say that it is a generation of logical
alternatives. Fluency of thinking is the name of the game. Convergent production, on
the other hand, is a focused search, for, from the nature of the given information or
problem, one particular answer is required. I sometimes say that it is the generation of
logical imperatives.
‘Convergent production’, Kussmaul (1995) shows, is all too often the ideal in traditional
translation pedagogy: focus on the problem; narrow your thinking to realistic alternatives;
do whatever research is needed to exclude everything that does not contribute directly to
an adequate solution. His own TAP research, by contrast, seems to suggest that divergent
production is far more effective in opening up creative new avenues for the translator to
explore. ‘Lateral thinking’, in particular, proved productive: students working in pairs
would joke, and their jokes would take them (apparently) farther and farther away from the
problem and its solution, until suddenly one of them would come up with the perfect solu-
tion. As Kussmaul (1995: 48) explains, this process both depended upon and produced a
specific range of ‘positive’ or conducive emotions:
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agency, subjectivity, and creativity; therefore all translators possess agency, subjectivity,
and creativity.
A signal contribution to this path was the post-structuralist insistence that the ‘original’
author is neither free nor original: if the source author’s originality (and thus agency) is
deferred in much the same way as the translator’s, there is no room for a free/bound binary
between them. As Shiavi (1996) puts it in her paper’s title, ‘There is always a teller in a tale’.
To the extent that a translation is a ‘tale’ told by the translator, the translator’s style will be
visible in the translation – and will provide evidence of the translator’s agency, subjectivity,
and creativity (see also Perteghella & Loffredo, 2006).
Since this individualistic focus is increasingly experienced as too narrow for the so-called
sociological turn in translation studies, the second critical issue addressed by scholars has
been the relationship between the translator and the target audience. To a large extent antici-
pated by earlier approaches to translation as manipulation (Hermans, 1985) and rewriting
(Lefevere, 1992), by the early 2000s scholars were increasingly interested in the rhetorical
situatedness of translation in the target culture. In this, they set themselves in opposition to an
earlier ‘transmission model’ of translation according to which the source text and target text
were sequential ‘messages’ transmitted from a depersonalised ‘sender’ to a depersonalised
‘receptor’: the sender was normatively the source author, but relieved of all human desires and
so on, the receptor was the target reader – and the translator was squeezed onto the diagram
awkwardly somewhere in the middle.
In the new model, the translator becomes the target author who addresses the target reader
through the translation, marshalling a recreation of the source text as the ‘quoted’ channel of
his or her address. This model is constructed around the work of Grice, Bakhtin, and Peirce
(Robinson, 2003, 2009, 2011, 2015a) and Sperber and Wilson (Hermans, 1996).
The dominant model for both (1) and (2) may be Steiner (1975); eager imitators a few years
later would include Robinson (1991). A very different approach from (1) and (2), grounded
explicitly in the semiotic theories of Charles Sanders Peirce, but implicitly perhaps in the
Daoist call for 無爲, wuwei (‘non-action’), or 爲無爲, weiwuwei (‘action without action’),
is charted by Hartama-Heinonen (2008: 256), for whom the problem with Robinson (1997a)
is that it tracks ‘a growth of the translator and, paradoxically, his or her anti-creative rou-
tines’. For Hartama-Heinonen (2008), the drudgery of checking lexical items, analysing
sentences, and other routines mandated by the professional best practices of the translation
marketplace has the effect of turning the translator into an uncreative drone. It is only,
Hartama-Heinonen (2008: 245) believes, by excluding those ‘anti-creative routines’ from
what she calls ‘abductive translation’ – surrendering passively, playfully, to the text, and so
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letting the text translate itself, without interfering, without research, without editing, with-
out language learning, ultimately without doing anything – and then by defining translation
tout court as abductive, that we can free translators from this kind of mental ‘straitjacket’.
(For discussion, see Robinson, 2015b.)
Over the past decade, however, the tide has apparently been shifting from a preference
for (1) and (2) towards a preference for (3) and (4); see, for example, Baker (2006, 2009,
2013), Munday (2007), and Tymoczko (2010) for (3); and Pekkanen (2010) for (4). Corpus-
based studies of translator style/narratoriality (4) have considerable traction with translation
scholars who believe that only empirical research is reliable and therefore worthwhile, and
who reject outright the introspection-based theoretical/phenomenological approaches to the
translator’s creativity (1). In the middle realm between those two extremes, the clearest shift
has been from literary-critical (2) to activist approaches (3).
Future directions
The ‘cultural turn’ in translation studies dominated work in the field throughout the
1990s. The ‘sociological turn’ has tended to dominate the field in the 2000s – although
translation studies have been much more diversified in the new millennium, with room
for the ‘creative turn’ (explored here) as well. Strikingly, ‘intervenient’ or activist studies
of translation are usually grouped under the creative turn, rather than the sociological
turn, despite the obvious points of contact that they have with the latter. Certainly, the
overlaps between sociological/activist and creative/activist studies of translation should
be increasingly explored.
In addition, while the neurological and cognitive underpinnings of translation as an event
generated by the reciprocal creativity of the translator and the target reader have long been
implicitly or explicitly part of the creative turn (Robinson, 1991, 2003, 2011), there are
signs that those underpinnings are receiving more detailed attention (Tymoczko, 2015) –
and they should continue to do so in the future.
Related topics
creativity and discourse analysis; discourses of creativity; lexical creativity; literariness;
literary narrative; literary stylistics and creativity; poetry and poetics
Further reading
Croitoru, E. (2009) ‘Creating “absence” in translation’, Romanian Journal of English Studies, 6:
115–27.
This is a study of ‘creativity in constraints’ in terms of target readers’ ability to ‘feel’ the translator’s
invisibility or ‘absence’ from the target text in translation tasks requiring enhanced creativity.
Huang, Z. (2005) ‘Creativity and subjectivity in translation: A deconstructionist perspective’, Chinese
Translators Journal, 26(1): 19–22.
Huang offers a theoretical study of post-structuralist notions of ‘unmaking’ as applied to translation,
with the aim of rethinking the translator’s subjectivity and creativity.
Rydning, A. F., and Lachaud, C. (2010) ‘The reformulation challenge in translation: Context reduces
polysemy during comprehension, but multiplies creativity during production’, in E. Angelone and
G. Shreve (eds) Translation and Cognition: Recent Developments, Amsterdam: John Benjamins,
pp. 85–108.
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This chapter reports a comparative study examining creativity in the translation of polysemous
words from English into Norwegian by professional translators and bilinguals, using keystroke- and
eye-movement-tracking software.
Tymoczko, M. (2003) ‘Translation, ideology and creativity’, Linguistica Antverpiensia, New Series,
2: 27–45.
This paper offers an ideological history of thought about creativity in translation – specifically, its
destabilising and transformative effects on post-colonial contexts.
Waldinger, A. (2009) ‘Propositions of wit and memory: “Englishing” Christian Morgenstern
(1871–1914) in the light of Paul Kussmaul’s Kreatives Übersetzen’, Babel, 55(1): 69–84.
Waldinger discusses Morgenstern’s compositional strategies in writing his satirical poems as
possible strategies to be adapted by translators of his work, in line with Paul Kussmaul’s work on
creativity in translation.
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multimedia creativity
Multimodal and
Part III
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Creativity and multimodal literature
Alison Gibbons
Crystal argues that humans use language not merely to communicate, but often also as
a means of self-expression and amusement. His reference to making ‘it do things it does
not normally do’ points to linguistic deviation as a means of exploiting the compositional
features of language – structure, sense, and sound – for creative purposes. Deviation is a
device of foregrounding (van Peer, 1986), which attracts attention by disrupting textual
patterns or by departing from expected norms in some way. It derives from the work of the
Russian formalists – in particular, from the work of three key figures: Viktor Šhklovsky
(1917), Bohuslav Hávranek (1932), and Jan Mukařovsky (1932). Šhklovsky proposed the
concept of ‘defamiliarisation’, the essence of which is that art and literary language should
not only draw attention to its own artfulness and constructedness, but also attract and hold
that attention in the creation of literary meaning for the reader. Hávranek and Mukařovsky
later built on the concept of defamiliarisation and it is from their work that the term ‘fore-
grounding’ stems. Although deviation is not the only creative technique available to writers,
multimodal literature is heavily reliant upon creative deviations, both in terms of deviation
from readers’ expectations about the literary conventions of the so-called traditional literary
text and in terms of deviations from expected linguistic structures.
When used to describe literature, multimodality indicates that the literary work uses multi-
ple semiotic modes for creative narrative purposes: a work of multimodal literature includes
not only the verbal orthographic text in the form of printed type; it may also use varied
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typography, unusual textual layouts and page designs (including the concrete realisation of
type, as in concrete poetry), the inclusions of images such as photographs or illustrations,
colour, and so on. Of course, there are no hard-and-fast rules or formulae for identifying or
writing a multimodal fiction, just as there can be no checklist or formalised nomenclature of
literary-linguistic creativity. Creativity is both context-bound and dependent upon the inter-
pretations of sender and receiver of the communicative act. Indeed, Ronald Carter (2004: 66),
in his discussion of literariness and creativity, states that it is:
important to isolate the different degrees of literariness, but even more important to
understand that literariness and, by extension, literary language is socially and cultur-
ally relative. Because literary language is seen as creative, the same applies by exten-
sion to creativity.
Consequently, Carter (2004: 66) goes on to argue that ‘it may be more instructive to see
literary and creative uses of language as existing along a cline or continuum rather than as
discrete sets of features or as a language-intrinsic or unique “poetical” register’.
In relation to the multimodal literary work specifically, Wolfgang Hallet (2009) has
argued that reading printed multimodal fiction involves five ‘conceptual shifts’, which we
can think of as literary deviations. The first conceptual shift features the creative process
itself – what Hallet (2009: 149) calls the shift from ‘writing to designing’. Creating the
multimodal text involves more than just writing; it also involves considering the many dif-
ferent semiotic resources (words, image, colour, layout) available to the writer, who must
decide how to use them in creative combinations for literary purposes. This, in turn, leads
to a shift in the way in which the text itself is realised – or, as Hallet (2009: 150) puts it,
a conceptual shift from ‘the monomodal (verbal) text to multimodal, multimedial texts’.
A third conceptual shift identified by Hallet (2009: 150) is that of the narrator becoming
‘narrator-presenter’, who ‘apart from delivering a story, searches, retrieves and “collects”
documents and sources and eventually presents them to the reader, the process of narrating
includes “showing” and “presentation”’.
In the remaining two conceptual shifts, Hallet transfers his focus from the creator of
the multimodal novel and the composition of the text to the receiver of the multimodal
discourse. He speaks of a shift from ‘reading to the transmodal construction of narrative
meaning’ (Hallet, 2009: 150). What he means by this is that readers must not only inter-
pret meaning from the linguistic narrative, but also ‘integrate various literacies’ (Hallet,
2009: 150), construing meaning from the combination of modes that exist within the same
textual space. Hallet’s (2009: 150) final conceptual shift moves the reader from ‘reader to
user’, whereby the reader not only interacts with the multimodal novel through his or her
imagination, but also may be required to ‘use’ the text in various ways, such as physically
moving it or writing on it.
In this chapter, I explore some of the creative devices of multimodal literature. First, in
the next section, I introduce two of the founding works within multimodality studies. These
are then placed within the context of the larger field of multimodality studies, which also
introduces stylistic approaches to multimodal literature. I go on to provide three examples
of multimodal literature: extracts from Mark Z. Danielewski’s (2000) House of Leaves,
Sherman Alexie’s (2007) The Absolutely True Diary of a Part-time Indian, and Joe Meno’s
(2006) The Boy Detective Fails. Through these three literary examples, the final section
illustrates the creative conceptual shifts at play within works of multimodal literature.
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Historical development
The explicit study of multimodality stems from the work of Gunther Kress and Theo Van
Leeuwen, whose 1996 book Reading Images: The Grammar of Visual Design brought
multimodality to academic attention. In Reading Images, Kress and van Leeuwen set out
to create a toolkit for the analysis of texts with visual elements. In their words, they seek to
‘provide inventories of the major compositional structures which have become established
as conventions in the course of the history of visual semiotics, and to analyse how they are
used to produce meaning by contemporary image-makers’ (Kress & van Leeuwen, 1996: 1).
Kress and van Leeuwen (1996: 183, emphasis original) first use the term ‘multimodal’ in their
discussion of textual composition – that is, of:
composite visuals, visuals which combine text and image, and, perhaps, other graphic ele-
ments, be it on a page or on a television or computer-screen. In the analysis of composite
or multimodal texts (and any text whose meanings are realized through more than one
semiotic mode is multimodal) the question arises whether the products of the various codes
should be analysed separately or in an integrated way; whether the parts should be looked
at as interacting with and affecting one another. It is the latter path we will pursue
They argue both for the importance of composite multimodal texts as artefacts of analysis
and for an integrated form of analysis that attends to the combination of modes within a
single textual product. They clearly state their aim in the following manifesto:
We seek to be able to look at the whole page as an integrated text. Our insistence on
drawing comparison between language and visual communication stems from this per-
spective. We seek to break down the boundaries between the study of languages and
the study of images, and we seek as much as possible, to use compatible language, and
compatible terminology in speaking about both, for in actual communication the two
and indeed many others come together to form integrated texts.
(Kress & van Leeuwen, 1996: 183, emphasis original)
In doing so, they categorise their work as an extension of existing semiotic analyses of
non-linguistic communications (such as Barthes, 1964; O’Toole, 1994), combined with
the adoption of systemic functional linguistics (Halliday, 1978; Halliday & Matthiessen,
2004), an approach that they also take forward in later work (see Kress, 2010; Kress &
van Leeuwen, 2001). Whilst Kress and van Leeuwen’s work in multimodality studies is
important, it has been argued that their approach is founded upon linguistic categories,
and therefore treats the devices of language and image inappropriately, as self-identical
systems of meaning-making (see Bateman, 2008; Forceville, 1999; Gibbons, 2012).
Kress and van Leeuwen also touch briefly on the tension between the notion of a systematic
analytical toolkit, such as the ‘grammar of visual design’ that they offer in Reading Images,
and the very nature of creativity. They argue that such a toolkit ‘does not, of course, have to
stand in the way of creativity’ (Kress & van Leeuwen, 1996: 3). Their discussion continues
polemically in a way that accords with Carter’s discussion of literary language and creativity,
mentioned above:
Teaching the rules of language has not meant the end of creative uses of language in
literature and elsewhere, and teaching visual skills will not spell the end of the arts.
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Yet, just as the grammar creatively employed by poets and novelists is, in the end,
the same grammar we use when writing letters, memos, reports, so the ‘grammar of
visual design’, creatively employed by artists is, in the end, the same grammar we
need when producing attractive layouts, images, diagrams, for our course handouts,
reports, brochures, communiques, and so on.
(Kress & van Leeuwen, 1996: 3)
Perhaps to evidence the false dichotomy that places analytical rigour in opposition to textual
creativity, through the course of Reading Images, Kress and van Leeuwen investigate a number
of different multimodal text types, from children’s drawings to magazine articles and film stills.
Such diversity makes the book a pioneering work within the canon of multimodality studies.
Another valuable text within multimodality studies is Anthony Baldry and Paul Thibault’s
(2006) Multimodal Transcription and Text Analysis, which can be seen as both a departure
from, and an extension of, Kress and van Leeuwen’s work. Baldry and Thibault’s methodo
logy is similarly drawn from systemic functional linguistics, although their approach is
more overtly one of transcription – a method in which the composite text is broken down
into its respective objects for analysis. A weakness of this method is therefore that it some-
times becomes a case of cataloguing the multimodal composition of the text, rather than
considering how these elements work together to form integrated meanings. Nevertheless,
in Multimodal Transcription and Text Analysis, Baldry and Thibault analyse a range of
textual genres, including printed texts, web pages, and filmic works.
Kress and van Leeuwen’s (1996) Reading Images and Baldry and Thibault’s (2006)
Multimodal Transcription and Text Analysis stand as foundational readings in multimodality
studies, particularly in terms of providing early analytical approaches to multimodal texts.
Both have been charged with suffering from an overreliance on linguistic methodology to
analyse more than language, inevitable resulting from the systemic functional basis of their
approaches. Jewitt (2009a: 26), in her introduction to The Routledge Handbook of Multimodal
Analysis, summarises this by saying that the discipline has often suffered from ‘criticism that
multimodality is a kind of “linguistic imperialism” that imports and imposes linguistic terms
on everything. But these criticisms overlook the fact that much of the work on multimodality
has its origins in a particular strand of linguistics’. Indeed, whilst ‘language is part of a mul-
timodal ensemble’, Jewitt (2009a: 15) maintains that the study of multimodality ‘proceeds
on the assumption that representation and communication always draw on a multiplicity of
modes, all of which have the potential to contribute equally to meaning’.
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The former clearly follows existing work, grounding itself in Halliday’s systemic functional
principals and thus utilising many of the ‘tools’ put forward by Kress and van Leeuwen.
Nina Nørgaard (2010a, 2010b, 2014) has been the proponent of the social semiotic
approach within stylistics. In her analysis of Jonathan Safran Foer’s (2005) multimodal novel
Extremely Loud and Incredibly Close, Nørgaard (2010a) focuses on three key features:
photographic images, textual layout, and typography – building on van Leeuwen’s (2006)
‘grammar of typography’. A specific example will function to illustrate Nørgaard’s approach.
Foer’s novel is concerned with a young boy named Oskar who loses his father in the
9/11 terrorist attack on the World Trade Center. In the book’s conclusion, Foer provides a
series of sequential photographs of a figure of a falling man. Essentially, this is a flipbook
section in which the figure, conversely, moves upwards – a gesture that echoes the preceding
linguistic narrative in which Oskar reverses the pages in his own scrapbook so that ‘the man
was floating up through the sky’ (Foer, 2005: 325) as a way in which to imagine an alter-
nate fate for his father. In her analysis, Nørgaard relates the falling man flipbook to Kress
and van Leeuwen’s (1996: 186–206) deconstruction of visual composition along horizontal
and vertical axes. The left side of an image is understood as ‘Given’ information, which is
already known, and the right side of the image is understood to be ‘New’. Similarly, the
bottom part of an image is ‘Real’ – again, known and existing – while the upper part of an
image is ‘Ideal’ – that is, an idealised promise. This model is an adaptation by Kress and van
Leeuwen of Halliday’s (1967) discussion of ‘given-and-new’ as a means of understanding
linguistic knowledge and prosodic structure. Nørgaard (2010a: 123) uses this to conclude
that the act of flipping the pages makes ‘the man float from Real to Ideal’, and thus argues
that Oskar’s attempt to revise his father’s tragic fate is realised visually by the positioning of
the figure of his father moving within the flipbook section from real to ideal textual space.
Elsewhere, I have questioned the value of using Kress and van Leeuwen’s model of textual
layout as the most accurate model of understanding how readers process this narrative event
(see Gibbons, 2012: 161–2), since the application is not unproblematic as a result of the
fact that visual images do not operate with the same structural or temporal logic as verbal
language. Nevertheless, Nørgaard’s social semiotic stylistic analysis clearly demonstrates
that meaning-making in Foer’s novel is multimodal and that, in order to interpret Oskar’s
narrative hopes, readers must attend to both textual and visual resources.
The second strand of multimodal stylistics is, as mentioned previously, a cognitive
approach. This can be seen in work by Masako K. Hiraga (2005) and Alison Gibbons
(2008, 2009, 2010, 2012, 2013). Hiraga restricts his focus to the analysis of metaphors in
multimodal literature. In Metaphor and Iconicity, he devotes two chapters to the analysis
of texts with a visual element using both English and Japanese examples (Hiraga, 2005:
57–126). Of most interest is his analysis of Roger McGough’s (1971) poem ‘40-LOVE’,
a poem that undoubtedly relies upon its typographical arrangement for the conception of
its meaning. With words positioned in two columns (each one syllable wide) to be read
alternately, the poem is both literally about a tennis match and metaphorically about the
relationship between a middle-aged couple. Hiraga (2005: 106) makes this clear, stating
that the poem ‘can be seen as a metaphor in which a love relationship is understood in
terms of a game of tennis’. While Hiraga does not explicitly name the conceptual metaphor
at work here, comprehension of the poem depends upon it nevertheless: love is a game.
In looking at the linguistic details of ‘40-LOVE’, Hiraga (2005: 106) articulates, ‘small lexi-
cal elements are repeated in pairs 12 times in a row over the two pages as if they were the
monotonous movement of a tennis ball across a net’. Actually, this monotonous movement
is built into the text’s structure only implicitly. The iconic arrangement of text serves to
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generate the illusion of a tennis ball’s movement by guiding the optical path that the reader
must take in order to read and comprehend the poem’s semantic content. Consequently,
readers have a performative role to play in the construction and actualisation of metaphoric
meaning. What Hiraga’s analysis shows is that meaning, including metaphorical meaning,
emerges in ‘40-LOVE’ from the linguistic content, imagistic design, and the reader’s rela-
tionship with the text.
My own work in cognitive poetics and multimodal literature offers a critical synthesis
of tools within multimodality studies and within stylistics. As such, it draws on techniques
suggested by the likes of Kress and van Leeuwen, and Baldry and Thibault, as well as attend-
ing to literary-linguistic devices, particularly foregrounding, as mentioned at the start of this
chapter, as well as frameworks from the cognitive study of literature (see Gavins & Steen,
2003; Stockwell, 2002). In Multimodality, Cognition, and Experimental Literature (Gibbons,
2012), I present cognitive-poetic analyses of four twenty-first-century multimodal novels, of
which one example will suffice here.
In a narrative episode from Mark Z. Danielewski’s (2000) House of Leaves, one of the
central characters, Navidson, is exploring a labyrinthine dark space that has appeared in
the centre of his home and finds himself climbing what seems to be an endless ladder. The
words of the text are arranged so that they form a visual ladder on the page. Thus, in the
course of reading, the reader’s eyes must travel upwards, climbing the ladder too. At the top
of the ladder is an arrow symbol (↓), which transpires to be a footnote directing the reader to
a smaller ladder of words that the reader must read downwards and the words of which are
arranged in the opposite direction from that of the first ladder (for example upside-down).
After rotating the book, the ladder can be read as follows:
This reflection upon the words ‘up’, ‘above’, and ‘below’ is essentially a meditation founded
on two conceptual metaphors, good is up and bad is down. In this context, these conceptual
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metaphors would be present regardless of textual design, since they arise from linguistic
content. However, the reader’s own optical journey – ascending the first ladder and then
descending the second – has two effects. First, it adds intensity to their meaning, since the
physical act of reading this part of House of Leaves can be connected to the philosophical
musing. Secondly, it also refracts the meaning of the conceptual metaphors back onto the
experience of the narrative. In the first ladder, Navidson’s climb is related as an endless and
exhausting journey, raising questions about whether he will succeed or whether his fatigue
will overwhelm him. He does, though, reach the top, with readers informed that he now finds
himself ‘standing inside a veryÔ’ (Danielewski, 2000: 441). Since the arrow leads readers
to the second ladder, Danielewski’s topsy-turvey page design has a disorientating effect for
the reader and the narrative delay as to Navidson’s location creates a cliff-hanger, whereby
readers must turn the page for the reveal. As such, readers’ understandings of good is up and
bad is down, and the dual directionality of the ladder’s reading paths (up–down), may raise
anxiety as to the nature of the page-turning location overleaf: Will it be good or bad?
As with the examples from Hiraga and Nørgaard, my own reading of House of Leaves
(see Gibbons, 2010: 71–5, for a more comprehensive study of this passage) shows that,
within analyses of multimodal literature, language is a central feature. However, multimodal
stylistic analysis involves interpreting linguistic structures within the context of other modal
systems. Unusual textual layouts, for instance, are deviant in terms of readers’ expectations
about how novels tend to look, and consequently create unusual reading paths. Moreover,
reader involvement is often a crucial and creative element of multimodal literature, and
affects the ways in which readers experience narratives and their story worlds.
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At the heart of the novel is the story of Will Navidson and his family, who have just moved
into a house on Ash Tree Lane. The house initially appears to be unremarkable – until an
unfamiliar door appears in the master bedroom. The door opens onto a dimly lit corridor and
a series of disconcerting explorations into the dark space begin to reveal limitless proportions
to the house’s dark interior. The cavernous, labyrinthine, dark space becomes increasingly
difficult to navigate. In one episode, Navidson, who has just found himself alone on a stair-
way, is equipped with a rope tied to the bottom of the final banister. On page 288, the text
consists of three lines, all positioned at the bottom of the page:
Then as the stairway starts getting darker and darker and as that faintly
illuminated circle above – the proverbial light at the end of the tunnel – starts
getting smaller and smaller, the answer becomes clear:
(Danielewski, 2000: 288)
Whilst the blank white space of the page above the text might be considered deviant in
terms of its departure from the conventional norms of printed books, the visual layout of
the verbal narrative here is relatively unchallenging for readers. Danielewski’s language is
also relatively straightforward, although readers might notice the foregrounding alliteration
in ‘stairway starts’, and the lexical repetition within ‘darker and darker’ and ‘smaller and
smaller’, as well as the parallel structures that these two expressions employ.
A more dramatic layout occurs on the following page. The text is printed upside-down, so
to speak, meaning that the reader must rotate the book 180° in order to read the printed text.
The text itself can be read as ‘Navidson is sinking.. or the stairway is stretching, expanding,’.
The arrangement of text on the page, though, is particularly striking:
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The first line, ‘Navidson is’, is easy to read, conforming as it does to traditional Western
reading patterns – that is, left to right, and from the top line to the bottom line, on the page.
The verb ‘sinking’, however, has been divided into five fragments, or clusters, each a little
lower and positioned a little further right than the preceding cluster. The effect of this is
that Danielewski’s arrangement of the word is iconic: the form reiterates the meaning with
readers’ eye movements in reading descending down the clusters in a motion that might be
considered akin to sinking itself. The arrangement of text therefore creates a vector for the
reading path by directing the eyes down the word ‘sinking’ and the succeeding punctuation,
before making the reader begin the coordinated clause ‘Or the stairway is’ back on the left-
hand side. Danielewski performs a similar trick with the verb ‘stretching’, which is arranged
vertically down the right-hand side of the page, and the verb ‘expanding’, which spans
the bottom of the page horizontally. In both, the spacing between letters grows through
the word in order to iconically create the effects of ‘stretching’ and ‘expanding’, respec-
tively. It should also be noted that the ‘s’ in ‘is’ doubles up as the ‘s’ in ‘stretching’, whilst
‘stretching,’ and ‘expanding,’ share the closing ‘g,’. Combined with Danielewski’s use of
continuous tense, this acrostic technique allows the visual layout of text on the page to
represent the effect of visual space distorting, just as Navidson experiences the shifting
architecture in the dark stairway within the narrative world of House of Leaves.
Over the next few pages, the stairway continues to grow in proportion, placing increased
stress on the rope. Finally, Danielewski (2000: 293–6) tells his readers, ‘the rope snaps’,
although the realisation of the text on the page again takes an unusual design. ‘the rope’ sits
on page 293, with the letters in the noun ‘rope’ arranged vertically down the right-hand side
of the page in order to visually represent the length of rope. The word ‘snaps’ is separated
into three parts: ‘sn–’ towards the bottom of page 294, ‘–a–’ which sits close to the mid-
dle of page 295, and ‘–ps . . . ’ at the top of page 296. Divided in this way, the word is a
visual embodiment of its meaning. Furthermore, as Danielewski explains in an interview
(McCaffery & Gregory, 2003), the fragmented word takes on new significance for readers
who realise that, backwards, it spells ‘spans’, an action that it also fulfils since each segment
is placed on a separate page. Whilst the word is, as Danielewski (quoted in McCaffery &
Gregory, 2003: 122) puts it, ‘a literal, thematic, and semantic representation of all that’s
happening at that moment in the novel’, it also embodies two opposing meanings simultane-
ously, thus exposing the relationship between words.
As this discussion of House of Leaves demonstrates, design plays an important role within
multimodal fiction. In the case of House of Leaves, Danielewski uses textual concrete-poetic
layouts in ways that exploit the semantic meaning of textual content. For readers, this means
that their interpretations of the novel are based on both the described actions of the narrative
world and their experiential relationship to the text itself.
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One novel that features a narrator-presenter is The Absolutely True Diary of a Part-tme
Indian by Sherman Alexie (2007), illustrated by Ellen Forney. The novel’s protagonist and
narrator is Junior, a native American boy from the Spokane Indian Reservation who consid-
ers himself to be a budding cartoonist. Junior’s cartoonic drawings feature as images within
the novel. What makes Junior a narrator-presenter is that his narrative explicitly references
these cartoons. He is their creator. As such, the images themselves do not function only as
illustrations that sit alongside the text, but also have a place within the context of the narra-
tive world. An example will clarify this.
In the first chapter, Junior tells the reader:
I mostly hang out alone in my bedroom and read books and draw cartoons.
Here’s one of me:
(Alexie, 2007: 4–5)
At this point, the image of Junior’s cartoon appears. In the book, it is designed to look like
a scrap of slightly crumpled paper, with tape sticking it down onto the page on top-left and
bottom-right corners. In the middle of the image is a gawky-looking boy, with a speech bub-
ble occupying the space to his left. On the right, in a cartoon font, is the objective case of the
first-person pronoun – ‘Me’ – and in smaller, handwritten text underneath are the words ‘in
all my glory’. The verbal text then continues:
The transmodal construction of meaning must take place here in order for readers to under-
stand the image as being produced by the narrator. Junior’s words of introduction to his
picture are an aid in this respect, with the proximal reference of the locative adverb ‘Here’
directly referencing the surface of the page and therefore the picture that is presented.
Moreover, in the text that follows, the repetition of ‘I draw’ at the start of four sentences
foregrounds Junior as the active subject (as the narrative ‘I’) undertaking the action of the
verb ‘draw’.
This extract from The Absolutely True Diary of a Part-time Indian exemplifies the narrator-
as-presenter that is often to be found in multimodal literature. As the discussion shows, it is
important that the verbal text works in conjunction with the images, to anchor them within the
context of the narrative world and to ensure that their function is not illustrative, but part of
integrative multimodal meaning-making.
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Diary of a Part-time Indian (Alexie, 2007). However, acts that require the reader to physi-
cally engage with the book as artefact are also examples of readers having to ‘use’ the text
in some way. The conceptual shift in which the reader becomes a user of the text sees the
reader take on a performative role.
Perhaps a more overt case of the reader-as-user occurs when fictional texts contain
hidden messages – ciphers that the reader must decode in order to gain additional tex-
tual information. A novel that frequently incorporates secret codes into its narrative is
Joe Meno’s (2006) The Boy Detective Fails, which tells the story of the boy detective in
question – Billy Argo – who is not, in fact, much of a boy. When Billy leaves for college,
devastating events tarnish the detective fantasies of his youth, the most tragic being the
death of his sister Caroline, who supposedly commits suicide. After ten years in an asylum
unable to deal with the loss, Billy eventually returns to society and takes a telemarketing
job. Yet the world is not as it seems; rather, it is a surreal place in which buildings suddenly
disappear and Billy, the now not-so-boyish detective, is determined to find out what really
happened to his sister.
There are at least seven hidden messages within The Boy Detective Fails, the first of
which appears in chapter 22:
The boy detective is surprised to receive a mysterious letter in the mail when he
returns to his room. There is no postmark or address. The envelope, in small black
handwriting, simply says: To the boy detective. Billy slowly opens the letter, slipping
his finger beneath the fold of paper and tearing. Inside is a single piece of yellowed
paper that reads:
XI: 5–12–15–15–2
26–11–2 11–4-25–8 2–18–24 9–18–21–10–18–23–23–8-17 16–8?
It is a secret code, but sent from who? The boy detective thinks Caroline immediately,
and then admonishes himself for thinking that at all. He stares at it for a few moments
more before giving up, hiding it under his bed, afraid of what it may be.
Perhaps dear reader, you might help him. Match the code XI with the decoder wheel
found on the back flap of this volume.
(Meno, 2006: 113–14)
The letter that Billy finds contains a code, which is then presented to the reader by an
omniscient narrator (rather than the more explicit first-person narrator of The Absolutely
True Diary of a Part-time Indian). The code itself is foregrounded by means of its visual
separation from the surrounding text and its realisation as emboldened type. Whilst some
readers might be tempted to skip this in the hope that the hidden message will, in fact, be
revealed later in the narrative, the italicised font at the end of the extract explicitly addresses
the reader and asks him or her to undertake the task of decoding the message. It does this
through the rather archaic literary address of ‘dear reader’, which is immediately followed
by the apostrophic ‘you’. The suggestion that ‘you’, the reader, should actively engage in
the task of decoding the message is initially hedged with the epistemic modal in the verb
phase ‘might help’. However, the composition of the succeeding sentence eliminates the
sense of possibility and readerly choice by issuing a directive: ‘Match the code . . .’
The Boy Detective Fails does indeed come with a decoder wheel that the reader can use.
The code in this extract uses numbers to represent letters. The most obvious number-to-
letter code would be to number the letters A–Z as 1–26. This has not quite happened here:
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the number for each letter has been shifted upward by three places, so that A is represented
by 4, B by 5, and so on. Decoded, the message here reads: Billy / Why have you forgotten
me? In the context of the story, this message is still somewhat ambiguous. Nevertheless, it
provides additional narrative content and, more importantly, necessitates the reader’s active
physical engagement with the text.
Further directions
Future practice for research on creativity and multimodal literature should test the empirical
validity of readers’ experience of such creative literary texts. For instance, Gibbons (2012:
183–97) undertook an empirical study of readers’ responses to an extract from multimodal
fiction – namely, Woman’s World by Graham Rawle (2005). Gibbons divided her partici-
pants into two groups: one group read the extract in its original multimodal form, whilst
another group of readers functioned as a control group, reading a conventional-looking
mock-up of the extract. This allowed Gibbons to compare the different textual experiences
of the two groups. The study also consisted of two parts. First, readers were asked to write
notes on the extract, so that their instant online reactions in reading could be accessed. Sec-
ondly, readers were asked to answer a short questionnaire about their reading experience.
The questionnaire asked research-driven questions, such as whether readers experienced
mental imagery whilst reading the extract. Ultimately, the empirical study provided insight
into readers’ reflections on the experiential dimension of reading multimodal literature, and
showed that there is indeed a difference between reading multimodal text and reading more
conventionally type-set texts. Further investigations should be conducted to extend and
build upon Gibbons’ study.
Another empirical approach to multimodal literature that may produce useful insight is
the use of eye-tracking studies in order to provide data on reading paths, as well as how
readers attend to the different multimodal elements within texts. For instance, Holsanova,
Holmberg, and Holmqvist (2009: 1224) conducted an eye-tracking study of newspaper
layouts and discovered that ‘a difference in the spatial layout has a significant effect on
readers’ behaviour’. Specifically, when text and images are clearly separated, readers ‘treat
them as two independent units, and almost no integration occurs’, whereas when text and
images are arranged in a more integrated format by means of closer positioning, reading
itself appears more integrated because ‘it makes it easier for the reader to find the corre-
spondences between referents in the text and in the illustration’ (Holsanova, Holmberg, &
Holmqvist, 2009: 1224). An eye-tracking study of a piece of multimodal literature would
show the reading path taken by a reader, as well as (perhaps) show which parts of the text
were the most deviant and deautomatised.
Related topics
creativity and digital text; creativity and technology; language, creativity, and cognition;
literary narrative; metaphor and metonymy; stylistics; vernacular creativity in urban textual
landscapes
Further reading
Gibbons, A. (2012) Multimodality, Cognition, and Experimental Literature, London/New York:
Routledge.
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Literature and multimodality
This is the first book-length study devoted to exploring the literary-linguistic fabric of multimodal
fiction and develops a cognitive-poetic approach to such visual texts.
Gibbons, A. (2013) ‘Multimodal metaphors in contemporary experimental literature’, Metaphor in the
Social World, 3(2): 180–98.
This article explores conceptual metaphors in a range of multimodal literary works (poetry, fiction,
and graphic novel) and, through stylistic analysis, argues that such metaphors are the creative products
of a combination of verbal and visual modes, as well as readers’ performative engagements.
Nørgaard, N. (2010a) ‘Multimodality and the literary text: Making sense of Jonathan Safran Foer’s
Extremely Loud and Incredibly Close’, in R. Page (ed.) New Perspectives on Narrative and
Multimodality, London/New York: Routledge, pp. 115–41.
This book chapter presents a social semiotic stylistic analysis of Foer’s multimodal novel, paying
particular attention to typography, layout, and photographic images.
Nørgaard, N. (2014) ‘Multimodality and stylistics’, in M. Burke (ed.) The Routledge Companion to
Stylistics, London/New York: Routledge, pp. 471–84.
In this book chapter, Nørgaard offers an excellent overview of work in stylistics and multimodality
studies, focusing particularly on the social semiotic approach.
References
Alexie, S. (2007) The Absolutely True Diary of A Part-time Indian, New York: Little, Brown & Co.
Baldry, A., and Thibault, P. (2006) Multimodal Transcription and Text Analysis, London/Oakville, ON:
Equinox.
Barthes, R. (1977 [1964]) ‘Rhetoric of the image’, in Image–Music–Text, trans. H. Stephen, London:
Fontana Press, pp. 32–51.
Bateman, J. A. (2008) Multimodality and Genre: A Foundation for the Systematic Analysis of
Multimodal Documents, Basingstoke: Palgrave Macmillan.
Carter, R. (2004) Language and Creativity: The Art of Common Talk, London/New York: Routledge.
Crystal, D. (1998) Language Play, Chicago, IL: University of Chicago Press.
Danielewski, M. Z. (2000) House of Leaves, London/New York: Doubleday.
Foer, J. S. (2005) Extremely Loud and Incredibly Close, London/New York: Penguin.
Forceville, C. (1999) ‘Review: “Education the eye? Kress and van Leeuwen’s reading images: The
grammar of visual design (1996)”’, Language and Literature, 8(2): 163–78.
Gavins, J., and Steen, G. (2003) Cognitive Poetics in Practice, London/New York: Routledge.
Gibbons, A. (2008) ‘Multimodal literature “moves” us: Dynamic movement and embodiment in VAS –
An opera in flatland’, HERMES, 41: 107–24.
Gibbons, A. (2009) ‘“I contain multitudes”: Narrative multimodality and the book that bleeds’, in R.
Page (ed.) New Perspectives on Narrative and Multimodality, London/New York: Routledge, pp.
99–114.
Gibbons, A. (2010) ‘Narrative worlds and multimodal figures in House of Leaves: “–find your own
words; I have no more”’, in M. Grishakova and M.-L. Ryan (eds) Intermediality and Storytelling,
Berlin: Walter de Gruyter, pp. 285–311.
Gibbons, A. (2012) Multimodality, Cognition, and Experimental Literature, London/New York:
Routledge.
Gibbons, A. (2013) ‘Multimodal metaphors in contemporary experimental literature’, Metaphor in the
Social World, 3(2): 180–98.
Hallet, W. (2009) ‘The multimodal novel: The integration of modes and media in novelistic narration’,
in S. Heinenand and R. Somner (eds) Narratology in the Age of Cross-disciplinary Narrative Research,
Berlin: Walter de Gruyter, pp. 129–53.
Halliday, M. A. K. (1967) ‘Notes on transitivity and theme in English (part 2)’, Journal of Linguistics,
3(2): 199–244.
Halliday, M. A. K. (1978) Language as Social Semiotic: The Social Interpretation of Language and
Meaning, London: Edward Arnold.
Halliday, M. A. K., and Matthiessen, C. M. I. M. (2004) An Introduction to Functional Grammar,
3rd edn, London: Arnold.
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Hávranek, B. (1964 [1932]) ‘The functional differentiation of the standard language’, in P. L. Garvin
(trans. and ed.) A Prague School Reader on Aesthetics, Literary Structure and Style, Washington,
DC: Georgetown University Press, pp. 3–16.
Hiraga, M. K. (2005) Metaphor and Iconicity: A Cognitive Approach to Analysing Texts, Basingstoke/
New York: Palgrave Macmillan.
Holsanova, J., Holmberg, N., and Holmqvist, K. (2009) ‘Reading information graphics: The role of
spatial contiguity and dual attentional guidance’, Applied Cognitive Psychology, 23(9): 1215–26.
Jewitt, C. (2009a) ‘Different approaches to multimodality’, in C. Jewitt (ed.) The Routledge Handbook
of Multimodal Analysis, London/New York: Routledge, pp. 28–39.
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Multimodal Analysis, London/New York: Routledge, pp. 14–27.
Kress, G. (2010) Multimodality: A Social Semiotic Approach to Contemporary Communication,
London/New York: Routledge.
Kress, G., and van Leeuwen, T. (1996) Reading Images: The Grammar of Visual Design, London/
New York: Routledge.
Kress, G., and van Leeuwen, T. (2001) Multimodal Discourse: The Modes and Media of Contemporary
Communication, London: Arnold.
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Critique – Studies in Contemporary Fiction, 44(2): 99–135.
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pp. 84–5.
Meno, J. (2006) The Boy Detective Fails, Chicago, IL: Punk Planet Books.
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A Prague School Reader on Aesthetics, Literary Structure and Style, Washington, DC: Georgetown
University Press, pp. 17–30.
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Extremely Loud and Incredibly Close’, in R. Page (ed.) New Perspectives on Narrative and
Multimodality, London/New York: Routledge, pp. 115–41.
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(eds) Language and Style, Basingstoke: Palgrave Macmillan, pp. 433–48.
Nørgaard, N. (2014) ‘Multimodality and stylistics’, in M. Burke (ed.) The Routledge Companion to
Stylistics, London/New York: Routledge, pp. 471–84.
Norris, S. (2004) Analysing Multimodal Interaction, New York/London: Routledge.
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London/New York: Continuum.
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London: Continuum.
O’Toole, M. (1994) The Language of Displayed Art, Leicester: Leicester University Press.
Rawle, G. (2005) Woman’s World: A Novel, London: Atlantic Books.
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New York: Routledge.
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Formalist Criticism: Four Essays, Lincoln, NE: University of Nebraska Press, pp. 3–24.
Stockwell, P. (2002) Cognitive Poetics: An Introduction, London/New York: Routledge.
van Leeuwen, T. (2006) ‘Towards a semiotics of typography’, Information Design Journal &
Document Design, 14(2): 139–55.
van Peer, W. (1986) Stylistics and Psychology: Investigations of Foregrounding, London: Croom Helm.
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Language and music
Anna Jordanous1
Thinking about music from a broader perspective, we can add to this list two more major
elements:
•• timbre – the acoustic qualities of the sound that help to characterise that sound; and
•• space – the spatial characteristics of the music, in which the musical sounds are located.
All of these aspects have a corresponding aspect in speech, helping to shape the sound of
what is being spoken. For example, we can discuss the ‘timbre’ and the ‘pitch’ of a voice,
referring to the sound of speech. If a man and woman talk in unison, their voices usually
shift in pitch so that they become an octave apart, relative to each other (Levitin, 2006), as
it would do if they were singing a song in unison (Jackendoff & Lerdahl, 2006).
This chapter examines critical issues around crossovers, parallels, and similarities bet
ween language and music that justify multimodal work. I will also acknowledge differences
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between these two modes and any resulting constraints placed on multimodal work, because
differences can be as informative as similarities in studying each mode. I will examine cur
rent contributions and research that combine creativity in both language and music, either
practically or methodologically. Looking towards future directions in this area, I will consider
creativity from a more general perspective, seeing how creativity transcends different modes
to some degree, while still retaining some characteristics specific to individual modes. To
illustrate this, I will look at a case study that uses principles from the study of language to iden
tify key aspects of creativity both in general and in the specific case of musical improvisation.
Music as a language
Music is sometimes treated as a language in its own right. Cooke (1959) sees music as a lan
guage focused on expressing emotion, an interpretation supported by Mithen (2005: 24–5).
Musical scores (music in written form, like that at which we will look later in the chapter
in Figures 19.1 and 19.2) have been likened to a communicative language by Magnusson
(2011: 19), who asserts that ‘the traditional score has evolved into a highly sophisticated
language for encoding musical expression with various idiosyncrasies or personal styles’.
Beyond the traditional musical score, music-based languages range from jargon terms and
expressions for specific musical styles, through to languages for expressing music in different
formats, and even to computational music generation languages.
Treating music as a language is by no means a universally accepted approach. Treitler
(2007: 265) considers perceptions of ‘the limited capacity of language to describe music’,
pointing out that music conveys concepts that cannot be put into words. (Treitler notes,
however, that language can also be ambivalent, with semantics equally difficult to pin
down.) Ethnomusicologists treat music as ‘human sound communication outside the scope
of language’ (Nettl, 1983: 24). In other words, in communication, music is anything that
is not language; hence the two are complementary and mutually exclusive. To an ethno
musicologist, therefore, sound and communications are either music or language – but not
both. How, though, does singing fit into this ethnomusicological definition? Or scat singing
(in which random syllables are sung as words to a melody)? Mithen (2005) cites another
counter-example: John Cage’s 1952 work 4:33 (4 minutes and 33 seconds during which
the performers’ directions are to be tacet – that is, not to play) (see Jaworski, Chapter 20).
It therefore appears that although some are comfortable treating music as a language, this
is a contentious stance. Having said that, dividing lines drawn between language and music
seem somewhat fuzzy – an issue to which Nettl (1983) later returns and critiques in his
suggestions for ethnomusicological research. On the whole, a safer position for multimodal
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work is to acknowledge the many shared similarities between language and music, while
remaining mindful of notable differences – the topic that I address next.
Figure 19.1 The ‘shave and a haircut: two bits’ rhythm featured in the plot of Who Framed
Roger Rabbit (1988)
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Anna Jordanous
Interactive behaviour with language and music on a broader level can also help us to
develop and enhance our creative capabilities, especially in early childhood. According to
Chen-Hafteck (1997: 95), ‘music and language should be closely related in education. The
interaction between the two in children’s thinking may enhance the development of each
other as well as creativity in both musical and linguistic expression’. A more recent review
(Hallam, 2010) also finds that greater developments in creativity are likely when music les
sons incorporate more creative explorative tasks, such as improvisation, as opposed to more
didactic lesson formats.
Another area of similarity between language and music is in the expression of emotion.
Many similar acoustic devices are used across both language and music for conveying emo
tion in each mode, including speed and tempo of delivery, pitch, and the extent of variability
or regularity. Reviewing 155 studies on emotion in musical performance, Juslin and Laukka
(2003: 797) found that ‘the present findings strongly suggest that music performance uses
largely the same emotion-specific patterns of acoustic cues as does vocal expression’. They
also argue that ‘there are emotion specific patterns of acoustic cues that can be used to com
municate discrete emotions in both vocal and musical expression of emotions’ (Juslin &
Laukka, 2003: 794). This leads to a hypothesis that ‘music may really be a form of height
ened speech’ and that our brain treats the sounds of musical instruments as the performances
of ‘superexpressive’ voices (Juslin & Laukka, 2003: 805).
Neurologically, several points of overlap exist in the processing of language and music.
Both language and music are human behaviours that are believed to have been present in
early Homo sapiens society (Mithen, 2005). While the study of cognitive or neurological
connections between language and music is in its very early stages, several meaningful
discoveries have, however, been made from studying these connections. In the brain, Wer
nicke’s area and Broca’s area had been believed to be specifically for language processing,
but Koelsch and colleagues provide evidence that these areas are also active in processing
musical harmonies (Koelsch et al., 2002), musical syntax (Koelsch et al., 2005), and musi
cal semantics (Koelsch et al., 2004).
There are also ‘numerous points of contact between musical and linguistic melody in
terms of structure and processing’ (Patel, 2008: 238). Neural overlap areas can be further
developed through musical training as a result of the brain’s ability to reorganise itself
in response to damage or to repeated changes in stimuli (Mithen, 2005). Musical train
ing appears to shift some musical processing from the right hemisphere of the brain to the
left hemisphere, as musicians learn to talk about – and perhaps think about – music using
linguistic terms (Levitin, 2006). Specifically looking at creativity, Petsche (1996) uses elec
troencephalography (EEG) and coherence analysis to reveal brain activity patterns common
to the neural processing of both language and music during creative mental tasks, compared
with performing mental tasks designed to be non-creative.
Cognitively, we perceive music and speech in very similar ways when we hear it. Both
speech and musical sound are segmented into different dimensions for us to be able to
understand the incoming sound as a whole. We group together multiple incoming signals
(for example sounds, voices, music). We can distinguish one particular stream of sound
if we focus on it – a phenomenon in speech termed the ‘cocktail party effect’ by Cherry
(1953), and in music as ‘auditory scene analysis’ by Bregman (1990). Using spatially and
time-based cues, combined with some assistance from predictions and expectations, we can
also fill in missing information or speed up processing, by anticipating what comes next
(Huron, 2006; Lerdahl & Jackendoff, 1983; Levitin, 2006; Patel, 2008). The role of expecta
tion is common to language and music because of a key similarity: both language and music
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unfold over time, presenting different information as time progresses (unlike, for example,
looking at a painting, during which the information from the painting remains the same and
does not change over time) (Kress, 2010). As Mithen (2005: 66) writes, ‘tonal knowledge
creates expectations about what pitches will follow each other, especially when a piece of
music comes to its end’.
Speech and music are also interlinked through the different ways in which they employ
pitches, and patterns of movement between pitches. Prosody refers to the melodies and
rhythms in speech, incorporating various aspects that cross language and music, inclu
ding tone, pitch, accent, and stress. Generating and interpreting prosodic cues involves
creative language and music skills. For example, in English, the spoken voice may rise in
pitch at the end of a question, indicating the need for activity from the listener (to respond
to the question), or fall in pitch to indicate the end of a statement. Such prosodic cues in
language correspond to musical cultural conventions that we learn (Levitin, 2006). Patel
(2008: 224) argues that ‘implicit learning of prosodic patterns in one domain (ordinary
speech) influences the creation of rhythmic and tonal patterns in another domain (instru
mental art music)’, whether consciously or subconsciously.
Pitch movements can also dictate semantics in some spoken languages. In tonal languages
(also referred to as tone languages), pitch plays a key role in determining the meaning of a
word, distinguishing between alternative meanings for the same lexical string. Two types
of tonal language exist: level-tone, or register-tone, languages, such as the Bantu languages
of West African languages, in which the pitch at which words are uttered remains the same
throughout that word; and contour-tone languages, such as Mandarin Chinese, in which
the pitch changes over the duration of the word. Tonal languages can use between two and
five pitches, relative to and dispersed over the pitch range of an individual speaker. Tonal
languages sit in contrast to non-tonal languages such as English, in which the meaning of
a word is not directly controlled by how it is pitched. More than half the languages in the
world are tonal; tonal languages are particularly common in South-East Asia and Africa
(Patel, 2008). Native speakers of tonal languages are more likely than speakers of non-tonal
languages to have absolute (or ‘perfect’) pitch (Deutsch et al., 2006) – that is, they are able
to identify the pitch of notes that they hear even if they hear them in isolation, without any
other pitches to which to make reference. As Jackendoff and Lerdahl (2006) point out,
however, the comparison between tonal languages and musical use of pitch is not entirely
analogous. As tonal language speakers speak, the range of tones used tends to drift down
wards, and there is an accompanying decrease in the difference between high and low tones
being used. In music, pitches stay at (or near) fixed frequencies.
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‘Hmmmmmm’ all describe a single evolutionary predecessor of both language and music,
from which Mithen, Wray, and Brown posit that language and music both developed. Other
theories are that language and music evolved in parallel, but independently, then later devel
oped shared neural circuits. An alternative view of how musical capabilities evolved, as
proposed by Pinker (1997), is that music is ‘auditory cheesecake’ – that is, an inessential
side effect of our evolution of the ability to perceive and process linguistic sound. These
controversial remarks have not been left unrefuted. Several authors critique Pinker’s asser
tions as being misleading, ill-informed, or just plain incorrect (Carroll, 1998; Cross, 2001;
Levitin, 2006; Mithen, 2005). Specifically on the focus of this volume, creativity, Carroll
(1998) points out the importance of people being exposed to creative works in music, art,
or literature, which helps them to develop an ability to deal with complex and changing
scenarios in creative ways. If music is purely ‘cheesecake’, then it offers little other than
sensory stimuli. In rebuttal, Carroll (1998: 482) argues that music (and art) actually play
a ‘vital role . . . in the healthy development of human beings’, and that creativity offers
evolutionary adaptive advantages.
Language and music are not completely co-dependent behaviours. Studies offer contra
dictory evidence of the extent to which linguistic and musical abilities are independent.
People can function musically, but not linguistically, or vice versa – or they can develop
problems functioning in either mode (Mogharbel et al., 2006; Patel, 2008; Tudor et al.,
2008). There are also physical differences in how we perceive pitches and melodies in
speech and language. To perceive different pitches, we construct a tonotopic map on the
basillar membrane of the inner ear: a map of frequencies that is directly mapped in two
dimensions on to the auditory cortex. ‘[F]or pitch, what goes into the ear comes out of the
brain!’ says Levitin (2006: 29).
There is no equivalent direct mapping within the brain for any language phenomena
(assuming that we disregard prosodic attributes of speech). Furthermore, although some
principles of melodic structure transcend both language and music, Jackendoff and Lerdahl
(2006) and Patel (2008) highlight differences between linguistic melodies and musical
melodies. The organisation of actual pitches used tends to vary (in music, pitches are usu
ally taken from a fixed set of pitches, but in language, pitches are relative to the speaker’s
range). Jackendoff and Lerdahl (2006) also highlight other related differences that are
peculiar to music, such as the existence of dissonance within a tonal space.
Taking musical elements of spoken language more generally, musical rhythm and speech
rhythm are not completely alike: there is an element of periodicity or recurring metrical
structure in many types of music that is not present in most spoken language. We should
note, though, that periodicity is absent in some music styles, such as plainchant or some
contemporary music. Generally, rhythmic elements in speech still have much in common
with musical rhythm.
Other differences between language and music can be noted in how each mode is mani
fested in communication. Linguistic communication tends to involve an active speaker and
passive listener, with those roles possibly changing, such as in conversations. In Western
classical music, we often see the distinction between musical performers and listeners,
but if we consider music more generally, then such distinctions can become more blurred.
Emphasis is on active participation, rather than performance to passive listeners, for example
when improvisers are listening to each other and playing at the same time, or in collective
music-making scenarios such as in tribal groups (see Sawyer, Chapter 4).
These differences show us that care is needed when working with language and music.
Although the two modes have much in common, there are limits to those commonalities
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of which we should remain mindful when conducting multimodal work with creativity in
language and music.
The next section in this chapter considers existing creative research and practice areas
combining language and music that have successfully navigated across these modes.
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Chik reflects on how the creative use of English complements the musical conveyances of
this song genre at different levels, for example to add comic effect (if pronounced with a
highly exaggerated Cantonese accent) or to reinforce an intention to represent the idea of
modernity within the song. The addition of English to Cantonese pop (‘Cantopop’) has
widened the creative space of possibilities for pop composers in recent decades, towards a
‘new genre of English creativity’ (Chik, 2010: 521).
‘Spoken music’, such as chanting, rap, funk, hip hop, and beatboxing, combine speech and
music for creativity in a multimodal setting. Alim and Pennycook (2007: 90–1) discuss the
development of linguistic diversity in hip hop, considering ‘limited language’, ‘ill literacy’,
and the development of ‘ever free-forming and flowing’ language. They consider how hip
hop expresses socially or politically charged messages about power, politics, or identity
through creative multimodal communication. Similarly for funk music, Morant (2011) illus
trates the history of a spoken tradition being transferred into musical interpretations through
a language-based musical genre.
Creativity is often demonstrated through remixes combining speech and music, such as
Eminem’s ‘Stan’ (2000), which samples Dido’s song ‘Thank You’ (1999). Eminem’s use
of ‘Thank You’ significantly changed the semantics of the original Dido song. The sampled
lyrics sung by Dido express sombre, mildly depressed thoughts and reflections. Dido’s song
originally moved on to considerably more positive and uplifting lyrics in the chorus, comple
menting the more melancholy verse lyrics that Eminem sampled. The version by Eminem
did not include the positive chorus lyrics and instead added additional lyrics that were
more aggressive, with greater negative sentiment (describing a fan writing to his or her
idol and becoming increasingly angry by the lack of reply). Songs such as ‘Everybody’s Free
(to Wear Sunscreen)’ (released by Baz Luhrmann in 1998) also see speech placed over exist
ing music. The original speech, written by Chicago Tribune columnist Mary Schmich in
1997, was made to students on their graduation day, and advised them how to live life
successfully and happily. The remix places the speech itself in a new context with different
emphases and, presumably, a quite different entertainment effect for its listeners. Considering
performances of language that incorporate non-linguistic modalities, Bell and Gibson (2011:
566) reflect that ‘[t]he music sets up the interpretations which may be taken from the words’.
Figure 19.2 The ‘Ellington ending’ that forms the first part of the published title of Dueck
(2013), ‘The Ellington ending: Jazz endings, aesthetic discourse and musical publics’
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Background music has also been shown to assist creative language-based tasks such as
expressive writing (Gonzales et al., 2010) and interpretation of speech by listeners (Gfeller,
Asmus, & Eckert, 1991). Computational work by Monteith and colleagues (2011) has taken
advantage of background music’s effects on language, with their software program generating
emotionally targeted soundtracks to fairy tales. The soundtracks, well received by listeners,
use text analysis to identify emotions within the tales, the results of which guide the generation
of appropriate music.
Language can also be used creatively in musical domains. Consider Levitin’s (2006: 92–3)
description of the second movement of Haydn’s 1791 Surprise Symphony, which depicts how
the music ‘builds suspense by using soft violins’, creating a ‘soothing’ sound that nonetheless
‘sends a gentle, contradictory message of danger’ through the use of pizzicato (very short)
notes. Levitin’s interpretations help to illustrate what is happening in the music. Similarly,
music-theoretical terms used to describe intervals between notes such as ‘the perfect fifth’
and ‘the devil’s interval’ provide added information about how that interval is interpreted
musically. Another example is in Lopez Rúa’s (2010) findings about how alternative music
artists make creative use of language in choosing band names, to help to establish their musical
identity and style.
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Baer (1998) argues that it is safer for researchers to assume that creativity is mode-
specific and offers several examples in which creativity in one mode does not necessarily
correlate to creativity in another, as judged by experts in each mode. This view, however,
does not account for ‘multipotentiality’, whereby people have creative achievements in
more than one creative mode (Plucker & Beghetto, 2004), or the effects whereby creative
training in one mode transfers to another (as discussed earlier in relation to the similari
ties and crossovers between language and music). A hybrid view is now more prevalent
(Baer, 2010; Plucker & Beghetto, 2004), acknowledging that some aspects of creativity
transcend modes, while others are specific to that mode. This leads to Plucker and Beghe
tto’s (2004: 159) ‘richer question’: which aspects of creativity are general, and which are
specific to particular creative modes?
In a multimodal approach to answering Plucker and Beghetto’s question, Jordanous and
Keller (2012) use language analysis to identify general aspects of creativity and aspects of
creativity specific to musical improvisation. To identify cross-domain characteristics of cre
ativity, they analyse the language used in academic discussions of creativity in comparison
with the language used in academic papers not on creativity. Using the log likelihood ratio
(LLR) statistic to identify words that appeared significantly more often in the writings on
creativity, semantic similarity measures and clustering methods are applied to the identified
words. As a result, fourteen key components of creativity are highlighted (see Figure 19.3).
These fourteen components represent aspects and factors commonly related to creativity
across domains.
Active
involvement Dealing
Variety, and
divergence, and with
persistence
experimentation uncertainty
Domain
competence
Value
General
intellectual
Thinking and ability
evaluation
Creativity
Generation
Social
of results
interaction and
communication
Spontaneity/ Independence
subconscious and freedom
processing
Intention and
Progression and emotional
development Originality involvement
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Table 19.1 The fourteen components of creativity and how they rank in importance for creativity in
musical improvisation
While each of the fourteen components in Figure 19.3 contributes to creativity in some
way, some are more important in a given domain than in others. To identify what charac
terises a specific type of creativity in a certain mode, we can study the relative importance
of each of these components in that creative mode. As an example, Jordanous and Keller
(2012) use these linguistically derived components to investigate creativity in musical
improvisation. Thirty-four participants with a range of experience in musical improvisa
tion (from ‘listener, but non-musician’ to ‘expert improviser’) were questioned on what
creativity meant to them in the context of musical improvisation. The components in
Figure 19.3 were used to analyse responses. Based on occurrences of the components of
creativity in the participants’ responses, Jordanous and Keller (2012) conclude that three
of these components are of primary importance for creativity in musical improvisation:
social communication and interaction; domain competence and intention; and emotional
involvement. In other words, the most important contributors for creative musical improv
isation are the ability to interact and communicate with others, strong relevant musical
knowledge and abilities, and the desire for and emotional involvement with the improvi
sational process. The relative importance of each component is pictured in Table 19.1.
What we have seen here, and indeed throughout this chapter, is that creativity in language
shares various commonalities and shared characteristics with creativity in music, and indeed
with other manifestations of creativity. The common characteristics that occur across multiple
creative modes underline the validity of multimodal creative work such as the examples that
we have seen in this chapter. It is also useful, though, to study what distinguishes one type of
creativity from another, resulting in specific understanding of creativity in different modes.
The combination of both routes of study enable us to construct a more informed perspective
when considering multimodal creativity such as the combination of language and music.
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similarities between language and music are wide-ranging; in fact, it is not uncommon for
people to treat music as a language, although this is not universally so. We must be care
ful not to over-interpret the similarities between language and music; differences between
language and music exist, and we should be aware of them as we work with the two modes
in creativity.
Nonetheless, several authors (for example Jackendoff & Lerdahl, 2006; Juslin &
Laukka, 2003; Koelsch et al., 2005; Patel, 2008) have directly recommended multimodal
study as a way of gaining insights that would be hard to achieve in treating these two
modes separately. As Patel (2008: 351) puts it: ‘Comparative research on music and lan
guage can help illuminate the diversity of ways in which our mind derives meaning from
structured acoustic sequences.’ Various multimodal research findings have been discussed
in this chapter that illustrate Patel’s point. These include practical work, such as the use
of appropriate generated music to help people to complete expressive writing in a more
enjoyable fashion (Gonzales et al., 2010), and more theoretically oriented work, such as
the work by Jordanous and Keller (2012) in applying analytical methods to language to
learn about creativity in music.
As we saw in the last section of this chapter, language and music creativity are not alone
in sharing numerous areas of crossover. Several common aspects exist across different
creative modes, which contribute towards characterising creativity as a concept. Study
ing the commonalities affords a more tangible understanding of creativity in general, and
multimodal creativity is a powerful tool for such study. Overall, there is great potential in
sensibly approaching the combination of language and music in creativity; many fruitful
avenues lie open for exploration.
Related topics
creativity and dialogue; language, creativity, and remix culture; poetry and poetics; silence
and creativity
Note
1 Many thanks to Jennifer MacRitchie, Mona Mamoun, Caroline Hills, Simon Fox, and Rodney H. Jones
for their constructive comments in shaping this chapter.
Further reading
Cooke, D. (1959) The Language of Music, Oxford: Oxford University Press.
Cooke argues for the controversial hypothesis that music is a language, concentrating on commu
nication of emotions.
Jordanous, A., and Keller, B. (2012) ‘What makes musical improvisation creative?’, Journal of
Interdisciplinary Music Studies, 6(2): 151–75.
Jordanous and Keller identify aspects of creativity that are present to some degree across all creative
modes and study how these aspects are prioritised in an individual creative mode (by means of a
case study investigating musical improvisational creativity).
Lerdahl, F., and Jackendoff, R. (1983) A Generative Theory of Tonal Music, Cambridge, MA: MIT
Press.
Lerdahl and Jackendoff provide a seminal work on grammar-based approaches to the study of music,
working as a team consisting of a composer/music theorist (Lerdahl) and a linguist (Jackendoff).
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Language and music
Mithen, S. (2005) The Singing Neanderthals: The Origin of Music, Language, Mind and Body, London:
Phoenix.
Mithen adopts an evolutionary perspective in discussing the links between music and language.
Patel, A. D. (2008) Music, Language and the Brain, Oxford: Oxford University Press.
Patel offers a thorough overview of research carried out investigating commonalities and differences
between music and language from a neurological perspective.
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20
Silence and creativity
Re-mediation, transduction, and
performance
Adam Jaworski 1
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language (Maybin, Chapter 1; Maybin & Swann, 2007; Tannen, 1989). In visual arts, the
quality of composition, brushstrokes, or represented detail can also be considered important
markers of artistry and creativity. However, the notion of finding artistic quality as located in
the art object itself has been unsettled in contemporary art in no small measure owing to the
work of Marcel Duchamp, who exhibited his sculpture Fountain at the first exhibition of the
Society of Independent Artists in New York in 1917. As is well known, Fountain is a ‘found
object’ – a urinal – that Duchamp had bought a few days before the opening of the exhibition
from the showroom of the J. L. Mott Ironworks, then signed and dated ‘R. Mutt 1917’. What
Duchamp achieved in this momentous act was precisely a shift of focus away from the object
itself to the artistic process of turning it into a work of art (see Veale, Chapter 22). Therefore,
rather than taking the product-based approach to creativity – that is, focusing on the proper-
ties of a particular creative text, linguistic, visual, or otherwise – I am going to lean towards
the process-based approach that is concerned with what people ‘do to come up with a creative
product or inventive solution to a problem’ (Jones, 2012: 2).
This is not to say that the form or shape of the artwork is not consequential for its analysis.
However, rather than on form per se, I focus here on what Gunther Kress and Theo Van
Leeuwen (2001) refer to as the ‘constraints’ and ‘affordances’ – that is, the potential uses and
limitations – of the material and formal properties of texts, objects, and events that allow us to
perform specific actions, invoke particular representations, take preferred subject positions,
or express and share indexical meaning. This is what Rodney H. Jones (2009) refers to as the
‘technologies of entextualisation’ and ‘recontextualisation’ – the meditational means appro-
priated for the production and transportation of texts, such as typewriters, computers, video
cameras, oil paints, marble, metal, onstage performance, and so on – that create different
spatial and temporal ‘relationships of possibility’ (van Lier, 2004: 105) in moments of social
participation. There are strong echoes here of Bauman and Briggs’ (1990) work on perfor-
mance, which involves the recontextualisation, or transposition and relocation, of linguistic
resources from one domain into another, frequently with artful overtones and form focusing
(see also Coupland, 2007: 147). In performance, the importance of the ‘referential’ function
may be subordinated to the ‘poetic’ function (Jakobson, 1960), or, in the words of Richard
Bauman (2001 [1975]: 182), artful performance ‘offers to the participants a special enhance-
ment of experience, bringing with it a heightened intensity of communicative interaction’.
According to Bauman and Briggs (1990), performance invokes or represents a special inter-
pretive frame within which it is understood; it is highly (self-)reflexive, calling forth special
attention and heightened awareness of the act of speaking, holding the performer to scrutiny
and evaluation by the audience in terms of his or her skill and effectiveness. Entextualisation
renders discourse ‘extractable’ from its surrounding environment, opening up ways of con-
structing histories of performance, ‘linking performances with other modes of language
use as performances are decentred [decontextualised] and recentred [recontextualised] both
within and across speech events – referred to, cited, evaluated, reported, looked back upon,
replayed, and otherwise transformed in the production and reproduction of social life’ (Bauman
& Briggs, 1990: 80; see also Maybin & Swann, 2007: 501).
In sum, performance is an interactive or interpretive frame (Goffman, 1974) that is organ-
ised as a succession of intertextually linked recontextualisations, isolating ready-made texts
(discourses) and inserting them into new ones. Following on from Bakhtin, who treats all
language as dialogic and thus either iterative (retro- or prospectively), Richard Bauman
(2004: 9) cites Richard Schechner (1985: 36), who states that performance means ‘never for
the first time’. This notion then takes us to the consideration of repetition.
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Creativity as repetition
Entextualisation and recontextualisation have become particularly productive terms in cur-
rent discussions of discourse creativity, especially when scholars turned their attention
to the creative potential of repetition (see Carter, 2004; Johnstone, 1987; Tannen, 1989;
Toolan, 2012). For example, while accepting the importance of the inventiveness and nov-
elty in creative (literary) works, Michael Toolan (2012), following Jakobson (1960), consid-
ers creativity in terms of repetition. Toolan’s (2012: 23) view of repetition is very broad, and
includes all kinds of ‘schemes’ and ‘tropes’ that are often ‘complex’, detectable relation-
ships of sound, rhythm, word shape, or meaning, rather than ‘full and simple replication’.
Examples include rhyme, metre, assonance and alliteration, intertextuality, and irony, as
well as metaphor and figuration. However, Toolan (2012: 29) notes that not all instances of
literary creativity are equally successful, although those that are enable or compel the reader
to a sense of ‘an enriched apprehension of the Other, and therefore of the Self’ (see also
Attridge, 2004), as well as a judgement ‘that taken as a whole, in context . . . the text is to a
significant degree not a repetition of previous works, but a new and unforeseen departure,
a productive variation’ (Toolan, 2012: 34, emphasis original).
Alastair Pennycook (2007, 2010) delves deeper into the resolution of the apparent para-
dox between the ubiquity of repetition and widespread creativity in everyday discourse. He
suggests that traditional ideas about creative imagination linked to the romantic figure of an
artist working in relative isolation and crafting unprecedented, completely novel artworks
be replaced by a different philosophical tradition that ‘emphasizes difference, repetition,
intertextuality, flow, mimesis and performativity’ (Pennycook, 2010: 42). Pennycook sees
the origin of this approach in the Heraclitean notion of the impossibility of entering the
same river twice. Running through Nietzsche, to Heidegger, and on to Deleuze and Derrida,
Heraclitus’ idea appears to foreground sameness and generalisability as marked and in need
of explanation, in contrast to difference and repetition as unmarked. Deleuze (2004) argues
that repetition is a form of difference and that it produces difference rather than sameness.
This is, according to Claire Colebrook (2002: 120, cited in Pennycook, 2010: 43), because:
‘Each repetition of a word is always a different inauguration of that word, transforming the
word’s history and any context.’
For Pennycook (2010), creativity conceived of as repetition is linked to intertextuality and
recontextualisation, because no two occurrences of the same event, action, or text can ever
be the same. In this vein, Bauman’s (2004) account of performance involves the notion of
rekeying of texts – that is, opening up alternative and shifting performance frames for under-
standing and interpretation, for example through reports, rehearsals, translations, relays,
quotations, summaries, parodies, etc. Derrida’s (1982) notion of iterability of language con-
cerns its effectiveness judged by the recognition of some utterances as citations. Likewise,
Bakhtin’s (1935, 1953, 1963) literary theory (see also Vološinov, 1973) is centrally based on
the related concepts of dialogicality, heteroglossia, and multiply embedded speech genres
(see Pennycook, 2007: 504). Thus Pennycook (2010: 51) concludes: ‘Language creativity is
about sameness that is also difference, or to put it differently/similarly, language creativity
is about sameness that is also difference.’
Creativity as transformation
In the last quote, Pennycook (2010) both raises and illustrates a paradox intrinsic to the view
of repetition as creative. What I believe is central to the resolution of this paradox is the
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notion of transformation that runs through the above discussions of recontextualisation, per-
formance, and intertextuality. Transformation has been mentioned in passing several times,
although the specifics of how it is brought about and how it ‘works’ in the creative process
merit more detailed consideration. For this reason, I turn briefly to the work of the art and
literary theorist Franklin Rogers, and his 1985 book Painting and Poetry: Form, Metaphor
and the Language of Literature. I find Rogers’ discussion of the transformative processes in
the formation of the artistic vision, from the original ‘recept image’ to the ‘artistic image’,
of particular relevance to sociolinguists interested in language/discourse creativity.
Rogers (1985) documents his formulation of the transformational process with several
examples, ranging from Paleolithic cave paintings to modern art. By way of illustration, I
cite here just a few. First, we can consider the idea of the prehistoric artist tracing with his
fingers, or with a three-pronged instrument, the soft walls of a cave, leaving random mark-
ings called ‘meanders’, ‘macaronis’, or ‘finger flutings’ – a kind of prehistoric doodle (see
Figures 20.1 and 20.2). In some instances, the free-flowing markings may have given rise to
the shapes recognisable as human figures or animals. The shapes of these figures often tend
to be distorted because of their ‘found’ character. On occasion, however, they are clearly rec-
ognisable, as in the case of one such figure on a cave ceiling in Altamira (Figure 20.3), where
a prehistoric artist made a rather extensive field of meanders and then, as a consequence of
these marks, either he or some subsequent artist found, near the right end of the field, a quite
accidental linear formation suggestive of a bull’s head. A few additional touches sufficed to
provide the tip of the muzzle and the nostril, a better delineation of the eye, and a horn that,
since it crosses over all other lines in its course, was obviously the last stroke in that portion
of the drawing (Rogers, 1985: 29–30).
The ‘meander’ technique of the Paleolithic cave paintings turned out to be remarkably
contemporary, when, some 35,000 years later, Max Ernst wrote about his accidental ‘dis-
covery’ of the frottage technique of dropping pieces of paper on the floorboards and rubbing
over them with a pencil, leaving traces of the wood’s grain. Earlier, many other artists prided
themselves on similar ‘discoveries’, among them Leonardo da Vinci, whose advice to would-
be painters in inevitable cases of a loss of invention included the following:
Figure 20.1 Flutings on the ceiling of the Zone of Crevices, Gargas Cave, France (part of a
400m2 panel)
Source: © Kevin Sharpe and Leslie van Gelder. By kind permission of Leslie van Gelder.
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Figure 20.2 Flutings at the start of the 150m2 Desbordes Panel, Chamber A1, Rouffignac
Cave, France
Source: © Kevin Sharpe and Leslie van Gelder. By kind permission of Leslie van Gelder.
I shall not fail to include among these precepts a new discovery and aid to reflection
which, although it seems a small thing and almost laughable, nevertheless is very
useful stimulating the mind to various discoveries. This is: look at walls splashed with
a number of stains or stones of various mixed colors. If you have to invent some scene,
you can see there resemblances to a number of landscapes, adorned in various ways
with mountains, rivers, rocks, trees, great plains, valleys and hills. Moreover, you can
see various battles and rapid actions of figures, strange expressions on faces, costumes
and an infinite number of things which you can reduce to good integrated form.
(da Vinci, 1956: 50, quoted in Rogers, 1985: 24, emphasis original)
As observed by Rogers (1985: 24), this discovery by Leonardo (and later by Ernst and
others) was known not only to the early cave painters, but also to all other people, artists
and otherwise, who have seen ‘a figure in a piece of driftwood, a face in a grain of wood
or stone’. More importantly, however, what all of these examples (and others discussed by
Rogers) suggest is that creativity always concerns a pre-existing idea, object, text, or action
and a transformative element that involves the artist’s (or someone else’s) imagination, or
what will be called shortly ‘memory image’.
We can now proceed to an overview of Rogers’ (1985: 32–40) stages of the creative
process in art, or his model of how the artistic vision is formed and how it informs the work
of art.
1. The initial stage involves a recept image – that is, any object in the visible field, such
as the cave wall (as cave wall), or the meanders or doodles traced by the fingers of the
artist on the cave wall (again, as meanders or doodles). These could also be Leonardo’s
walls or Ernst’s floorboards.
2. The next stage involves the formation of the percept image with some elements of
the recept image retained and some filtered out in a selection–construction process. A
schematised memory image of the percept image is formed.
3. Next, certain elements of the percept image are re-perceived as potential elements of
something else – as elements of a memory image of objects of a distinctly different
order. For example, a schematised memory image of a percept ‘rock’ (first-order object)
is transformed into a memory image of another percept ‘bison’ (second-order object).
4. Once abstracted from the percept, and reduced to scattered and disjointed transformable
form fragments in the artist’s imagination, the form fragments are then reassembled
with other elements from the memory image to form the artistic image.
In sum, the transformative process described above can be schematically reduced to four
key stages arising from the presence of a recept image in the visual field: perception →
deformation → reformulation → reassembling (see Figure 20.4). Each stage results from
its own transformative process. First, the artist ‘sees’ or conceives the ‘original’ object, or
recept image, with all of its elements available for selection or rejection in the subsequent
creative process. We might say that this is the stage at which the artist weighs the affor-
dances and constraints of the recept image for further action. The act of perception is the
first transformative process through which the recept image is (de-)formed into a percept
image by having its elements broken up and scattered in the artist’s imagination (transfor-
mation1). A schematised memory image of the percept image is formed, which may include
only some elements of the original precept; this is the transformative stage of deformation
(transformation2). Next, the schematised memory image of the first order is reformulated
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Adam Jaworski
Schematised Schematized
memory memory
Recept image Perception Percept image Deformation Reformulation Reassembling Artistic image
image/first- image/second-
order object order object
(transformation3) as a schematised memory image of the second order. Finally, the artistic
image is arrived at through the reassembling (transformation4) of the selected elements of
the memory image of the second-order object. In other words, a composite image results:
from the fusion of transformable form elements in a percept image with trans
formable form elements in a memory image of a different order of objects, the fusion
occurring under a transformational impulse in the artist of sufficient strength to remove
the composite image to a plane clearly detached from the ‘real’ of the receptible
environment.
(Rogers, 1985: 37)
With reference to Gaston Bachelard (1943), Rogers (1985: 34) comments that rather than
forming images, the imaginative process involves deforming the images furnished by percep-
tion; creativity is, above all, the process of liberating ourselves from the initial images – of
altering images. In view of the earlier discussions of creativity in the context of performance,
recontextualisation, and repetition, this means, for example, the alteration and reformulation
of verbal utterances through their rekeying, reframing, repurposing, or rematerialisation, in
each case their formal and material properties effecting a new set of affordances and con-
straints that affect our understanding and interpretation.
As is the case with all similar models, that just summarised is an abstraction. In fact,
rather than the process of sensory perception in the creative process, it emphasises the role
of the artist’s image memory and the sensory, embodied processes of (re-)making (see
Ingold, 2013). This echoes Delacroix’s admonition that artists should be sufficiently trained
so that they do not have to run back to look at their models each time they want to draw a
human figure (or a bison, or any other figure or object):
‘Par coeur! Par coeur! [By heart! By heart!]’ Delacroix was fond of exclaiming and thus
said as much as Sabartés and Brassaï in their long conversation about Picasso’s image
memory. Sabartés commented first on the fact that Picasso’s memory for the forms of
the world about him was so good that he no longer needed models. ‘He knows them
all by heart – their contours, their singularities, everything that makes them unique.’
Agreeing with him, Brassaï suggested that Picasso’s image memory reminded him of
Balzac, who also was ‘so impregnated’ with the forms of the world that he, too, had no
need ‘to document’ himself to create his characters. Sabartés found the comparison a
just one: ‘Yes, your comparison with Balzac seems right to me. With Picasso too, it’s
a matter of an extraordinary impregnation. At any instant all the forms of the real are
at his disposition. What he has seen once, he retains forever. But he himself does not
know when and how it may take form again. So when he places the point of a pen or
a pencil on the paper, he never knows what will appear . . .’ [Brassaï, 1966: 70]. This
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Silence and creativity
Transformation is not the sole prerogative of creativity. In his social semiotic approach
to communication, Gunther Kress (2010: 34) observes that the semiotic work of social
interaction is always transformative – that it projects and proposes ‘possibilities of social
and semiotic forms, entities and processes which reorient, refocus, and “go beyond”, by
extending and transforming what there was before the interaction’ (see also Kress & van
Leeuwen, 2001). Later in his book, Kress (2010) uses the term ‘translation’ as the super-
ordinate term for ‘moving’ meaning ‘within’ and ‘across’ modes. The former, for which
he reserves the term ‘transformation’, involves changes in representation with no change
in mode (such as translation of a novel from English to German); the latter processes,
which are labelled ‘transduction’, involve moving across modes (for example from image
to speech), in a manner related to Roman Jakobson’s (1959: 233) notion of ‘intersemiotic
translation’, or ‘transmutation’, in particular concerned with ‘an interpretation of verbal
signs by means of signs of nonverbal sign systems’.
One final remark is in order to conclude this section. The artistic transformative process
discussed above does not simply concern the reconstitution of an anecdotal fact (the artist’s
original percept), but also the constitution of a new pictorial fact. What this means is that the
artist’s memory image of each ‘order’ (say, the protuberance on a cave wall and the bison)
undergoes a deformation and transformation, not only the first-order image (the protuber-
ance/cave wall) towards the idealised memory image of the second order (the bison). Both
images move away from their sources in their respective orders towards an unanticipated
union on a common plane, for example the cave wall. The example in Figure 20.3 provides
some evidence of how the Paleolithic artist transformed and adapted his or her unquestion-
ably intimate knowledge of the bison’s anatomy to fit the elements of the wall selected for
the projection of the bison’s image. For example, the crouching position of the bison is more
typical of a cat or a dog rather than of bovine animals, as bison’s necks are too short to allow
them to rest their jaws on the knees of their forelegs (Rogers, 1985: 36). This observation is
an apt illustration of why art (of any sort) is rarely, if ever, truly life-like. In order for art to be
‘art’, it needs an element of deformation of the recept image, as well as the artistic image, and
that always means a distortion of (perceived) ‘reality’. Having said that, art is never outside
of life, but always a part of it. As a performative mode, it is involved in social production of
decentred discourse, and each instance of decontextualisation and recontextualisation of text
is an act of control tied up with the issues of social power (Bauman & Briggs, 1990: 76).
What is silence?
Silence can be thought of as an ‘acoustic fact’: ‘any interval of the oscillographic trace
where the amplitude is indistinguishable from that of background noise’ (Duez, 1982: 13).
The ‘noise’ against which silence is to be ‘measured’ can be either linguistic (spoken) or
non-linguistic (sound). In English, the word ‘silence’ is ambiguous, and it may mean either
absence of talk or absence of sound. Other languages lexicalise this distinction, which
means that there are two different nominal and verbal forms to refer to ‘being silent’ or
being ‘in silence’. In this chapter, for the most part, ‘silence’ is understood in its broader
sense in relation to sound, linguistic and non-linguistic.
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However, silence need not be considered only in terms of its ‘negative’ definition as
absence of speech or of sound (Jaworski, 1993; Saville-Trokie, 1985). More generally, what
we choose to refer to as ‘communicative’ or ‘meaningful’ silence is not a predetermined onto-
logical entity. Its form, or ‘shape’, requires us to look beyond the binary oppositions, such
as silence vs speech or silence vs sound. Rather, silence should be considered as a dynamic,
emergent, and contingent resource deployed strategically in communicative events. Silence
is always embodied, multimodal, and material – that is, it arises as a form of social practice,
it interacts with other semiotic resources, and its affordances depend on the meditational
means, or technologies of entextualisation and recontextualisation (Jones, 2009; Streeck,
Goodwin, & LeBaron, 2011).
Nor is silence something that lies outside of language. It is capable of fulfilling a
full range of communicative functions, for example ideational, interpersonal, and textual
(Halliday, 1978). While silence may be relatively restricted in its capacity to fulfil the
ideational function, it has been identified as a possible vehicle for expressing a number
of pragmatic meanings (illocutionary force), and as a means of concealing information,
maintaining confidentiality, secrecy, and so on – that is, as having a kind of negative
referential function (Jaworski, 1993; Saville-Troike, 1985).
With regard to the interpersonal function, silence has a particularly salient role in mark-
ing and managing the dimensions of ‘power’ and ‘solidarity’ (Brown & Gilman, 1960). For
example, silence is frequently associated with the vertical/asymmetrical dimension of authority
and control, especially in situations of extreme power differential (see Braithwaite, 1990),
although it can also be used as a potent resource for challenging, defying, and subverting
established power relations (for example Gilmore, 1985). In relation to the horizontal and
symmetrical dimension of interpersonal distance, silence may be used to maintain extreme
detachment between individuals, for example marking their relationship as ‘strangers’, or
it may signal extreme closeness, for example between ‘intimates’ (Jaworski, 2000; Saville-
Troike, 1985).
Finally, silence, or a pause, is often used to fulfil the textual function, for example indi-
cating the relative salience or infrequency of the word to be said next (Chafe, 1985), or as
a type of a ‘contextual cue’, or keying device marking a shift from, say, an ‘interactional’
to a ‘performance’ frame.
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different whether the piece is performed ‘live’ in a concert hall, or pre-recorded and experi-
enced in the privacy of the listener’s own home.
The BBC Symphony Orchestra, under Lawrence Foster, at the London Barbican on 16
January 2004 (Hoofd, 2010) took on a rather solemn tone, with the musicians and the audi-
ence exercising maximum silence and stillness, and a minimum of the coughs and sneezes
that can also be heard during other performances of classical music. On other occasions, the
player and the audience may take a more joyful, irreverent, or outright comical stance, with
much deliberate shifting of posture, smiling and smirking, deliberate coughing, rustling, etc.
Therefore, as noted by Jenni Sorkin (2012: 84):
[E]ach version of 4’33” is its own chance-inviting performance, authentically new and
wholly contingent upon the environment and the audience’s reaction: a different group
witnessing itself reacting to the shock of prolonged silence and the eventual realization
that any ‘music’ produced is the result of a dramatically altered subjectivity. Each
subsequent presentation becomes a fresh endeavor, unable to be replicated. But while
the original 1952 audience was unsuspecting, contemporary audiences have, by and
large, come to anticipate the self-reflexive aural nature of the event. This expectation
has, in turn, altered the legacy of 4’33”, rendering it as a visual spectacle rather than an
intensive listening experience.
A shift to the ‘visual spectacle’ in the performances of 4’33” may be likened to one inter-
locutor looking up at the face of another to check the direction of their gaze in instances
in which a verbal turn is expected, but is not forthcoming. This suggests both that silence,
like any other communicative resource, needs to be understood as multimodal and that it
can be represented (transducted) through modes other than sound. Cage’s 4’33” is an apt
illustration of Kress’ transduction because Cage produced three types of notation of the
piece, each exploiting a different mode. The first, from 1952, now lost and existing only as
a reconstruction, was used by David Tudor for the premiere of the piece. It was a blank staff
notation, with each half-inch equal to 1 second of the duration of the piece. Subsequently,
the notation became more abstract and more linguistic. One version, so-called proportional,
consists of parallel, vertical lines symbolically delineating the duration of the three move-
ments. Finally, the written version contains three occurrences of the word tacet, arranged
vertically and separated on the page by three roman numerals – I, II, and III – defining the
three movements of the composition (Robinson, 2012: 210).
By conceiving this piece of music, inspired largely by Robert Rauschenberg’s 1951 White
Paintings, Cage transformed acoustic silence (recept image) into three types of notation, each
with different affordances specific to their modes. The musical notation of 4’33” underscored
the status of the piece as ‘a timeframe without intentional sound’ (Daniels, 2012: 24). The
graphic score (of which the first version was made in 1953) contained almost no traditional
features of the musical composition. It became closer in appearance to Rauschenberg’s and
other artists’ abstract monochrome paintings, with the vertical lines separating the different
parts of the piece suggesting gaps between canvases (Thoben, 2012). The linguistic scores
(produced both in typewritten and calligraphic versions) gave the piece a quality similar to
that of concrete poetry. In the words of Liz Kotz (2007: 17):
Cage reconceived the musical composition as a time structure, voiding the work’s
internal musical syntax by gradually abandoning conventional musical notes in favor
of noise sounds and quantitatively defined ‘sound parameters,’ and moving toward an
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indeterminate relationship between score and performance in which the musical notation
ceases to be a system of representation and instead becomes a proposal for action.
The ‘proposal for action’ is certainly crucial here. In his outline of the social semiotic
theory of meaning and communication, Gunther Kress (2010: 54) stipulates as one of its
fundamental assumptions that ‘signs are always newly made in social interaction’. The
notations of 4’33” do not aim to capture faithfully an idealised version of the piece, because
none exists. Each performance of 4’33” is a different reiteration of all previous ones (see
Pennycook, 2010) and a remaking of a collective experience of art in the moment of its
creation. Originally dedicated to and performed on the piano by David Tudor, inscrip-
tions on later scores state that 4’33” is a composition in three parts for ‘any instrument or
any combination of instruments’. The emphasis on agency and contingency of the piece,
its creative re-enactments, were emphasised by Cage in his subsequent alterations to the
linguistic scores, first made in 1957 or 1958, with the first typewritten version produced
in 1960. The new scores are indicative of Cage’s continual reworking and reimagining of
the piece. Jan Thoben (2012: 81) notes that the most significant changes in the subsequent
versions of the scores were the loosening of the rigid time grid, and the replacement of ‘any
instrument’ with a more personal and agentive ‘any instrumentalist’.
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in all instances of its re-mediation, transduction, and performance, are subject to varying,
systemic constraints and material affordances of the modes and circumstances in which they
are deployed. It is these spaces of contrast and change across modes and materialities that
are the sites of artistic creativity.
Related topics
creativity and dialogue; creativity and discourse analysis; creativity and technology; language
and music; language, creativity, and remix culture
Note
1 I thank James Cronin and Maciej Stanaszek for their useful comments on the final version of this
chapter.
Further reading
Cage, J. (1961) Silence, Middletown, CT: Wesleyan University Press.
This is essential reading on ‘silence’ by the man himself.
Daniels, D., and Arns, I. (eds) (2012) Sounds Like Silence: John Cage / 4’33” / Silence Today 1912 –
1952 – 2012, Leipzig: Spector Books.
Daniels and Arns present a celebration and critical assessment of Cage’s 4’33”, with a rich array
of visuals.
Jaworski, A. (ed.) (1997) Silence: Interdisciplinary Perspectives. Berlin: Mouton de Gruyter.
Jaworski’s collection includes several chapters on silence and Renaissance painting, monochrome
painting, and performance art.
Rogers, F. R. (1985) Painting and Poetry: Form, Metaphor and the Language of Literature, Lewisburg,
PA: Bucknell University Press.
This is a highly readable, rich, and wide-ranging account of creativity in art and literature.
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21
Creativity in the fourth dimension
The grammar of movement according
to Jean Tinguely
Theo Van Leeuwen
Introduction
In ‘The semiotics of kinetic design’ (Van Leeuwen & Caldas-Coulthard, 2004), Caldas-
Coulthard and I described how toys and/or their parts can be made to move, and how such
movements can be made to have meaning. The work was part of a research project titled
Toys as Communication in which we investigated the learning potential afforded by toys
and other objects. We had observed that display dolls such as Barbie and Action Man com-
municate discourses of gender not only visually, through Action Man’s muscles and square
jaw, and Barbie’s wasp waist and impossibly long legs, but also through their materiality
and their kinetic design. Display dolls are articulated. Their heads and their limbs can be
moved, and the way in which they can be moved follows semiotic, rather than anatomical,
rules. Comparing the kinetic design of a Sindy doll and an Action Man in the same price
class, we found, for instance, that Action Man’s head could only move sideways, and not
up and down, while Sindy’s head could move in every direction, creating the coy ‘head
cants’ on which Goffman (1979: 47) had commented in his study of gendered poses. Again,
Action Man’s legs could be spread, allowing him to sit in the way in which many men sit,
with legs spread wide, but Sindy’s legs could not. On the other hand, Sindy could bend her
knees (in fact, she had three degrees of knee bend), so she could adopt the ‘body cants’ and
‘bashful knee bends’ also described by Goffman (1979: 45–6), while Action Man could
not. But Action Man could be made to stand on his feet, while Sindy could not, and Action
Man’s hands could hold objects, while Sindy’s could not. In short, kinetic design conveyed
the same gendered meanings that Goffman had so strikingly analysed more than twenty
years earlier: women are represented as unable to support themselves, literally and figura-
tively, and as tending to make themselves small and childlike, which can then ‘be read as
an acceptance of subordination, and expression of ingratiation, submissiveness and appease-
ment’ (Goffman, 1979: 46), while men are represented as seeking to occupy the maximum
amount of space, and as standing erect, ready for action, and in no need of support. Having
discovered this, we investigated other dolls and other toys – baby toys, toy telephones, toy
clocks, toy computers, toy cars, toy locomotives, toy guns, and more – so as to construct a
‘grammar of kinetic design’. I will summarise our findings in the next section.
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At the end of our article, we added two afterthoughts. First, we noted that many formerly
inert objects, such as chairs and light fittings, are today also designed kinetically. Desk chairs
have wheels, they can swivel, their height can be adjusted, and their backs are flexible, and
so on. Light fittings, such as the Anglepoise light on my desk, can be tilted up and down, or
panned sideways, and their shades can be swivelled in any direction. Even text has become
movable – thanks to Microsoft Word, I can lift words, or clauses, or whole paragraphs and
deposit them elsewhere at the click of my mouse, and in film titles, television commercials,
and websites, bits of text are constantly on the move (compare Van Leeuwen & Djonov, 2014).
The other thing that we noted was that kinetic design has not only been studied aca-
demically, but also by modernist artists such as Calder and Tinguely – very thoroughly
and well before academics began to take note. Focusing on Tinguely, we wrote that his
oeuvre can be understood as having developed a grammar of kinetic design through the
production of sculptures, rather than through writing academic papers (Van Leeuwen &
Caldas-Coulthard, 2004: 379):
Every type of movement we discovered in exploring toys and other objects has been
used in [Tinguely’s] work in complex and multiple ways, in a wide range of combina-
tions, and in objects which have no use value of any kind and may therefore appear
absurd or humorous, but nevertheless form a systematic exploration of the semiotics
of kinetic design.
At the time, this was little more than an assertion. In this chapter, I want to put that asser-
tion to the test and describe that grammar. As such, the chapter fits in with another strand in
my work: interpreting the work of selected modernist artists as semiotic research (compare
Van Leeuwen, 2006, 2011; Van Leeuwen, Djonov, & O’Halloran, 2013). In what follows,
I will first summarise the main findings of the 2004 study, then analyse the grammar of
movement implicit in Tinguely’s work, and finally draw some conclusions about creativity
in art and semiotics.
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flexible
non
rigid articulated
deconstructable
non-deconstructable
rigid
Mobility and movability not only communicate meanings and values, but also facilitate
and constrain the user’s actions by creating subject positions. The mobile desk chair defines
its user as agile, ‘busy’ – moving from one activity to another. The same is not true for the
driver’s seat in a car: here, a single-minded focus on the road ahead is encouraged. Until
recently, this also applied to students’ seats in lecture theatres, but in some new lecture
theatres in my university, the seats can now swivel, so that students can engage in group
activities, rather than only listen to the lecturer. In the case of toys, such subject positions
become imaginary. If, in a toy car, only the driver’s door and the steering wheel are mov-
able, the user is positioned as an imaginary driver. If the bonnet can also open, revealing an
engine, the user becomes an imaginary mechanic as well. Thus toys encourage and facilitate
some interests, yet create obstacles for exploring and developing others. And an important
part of their learning potential consists precisely in encountering and noting such obstacles
and their implicit messages.
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Here is another example of the way in which movability (articulation, in this case) can
create meaning. In a plastic baby ‘pram rattle’, a number of objects could rotate around a
plastic pipe: a kind of paddle wheel; something resembling a heavily profiled tyre; and,
in the centre, a yellow plastic dog. The ‘technical’ objects, the paddlewheel and the tyre,
rotated easily, without friction. The dog, on the other hand, rotated stiffly, by means of
a noisy ratchet mechanism. An abstract quality of the objects and an ideologically tinted
message, well suited for the coming age of robots, is revealed here: technology is more
easily controlled and offers less resistance than living creatures.
The difference between articulation and flexibility is important. Articulation determines
what will and what will not be movable and how, as with the movements of Sindy and
Action Man. Flexibility not only provides users with more tactile satisfaction, because it
always involves a degree of softness, but it also allows more freedom of action. Soft toys
such as rag dolls and teddy bears, for instance, not only have affective value because they
can be cuddled, but also have a more open-ended kinetic potential. The ways in which they
can be bent and moulded is not ‘built-in’, but derives from the flexibility of the material.
But the transformations that flexibility allows will often be transitory, because the materi-
als will bounce back in their original shape as soon as the user withdraws his or her hands.
This teaches another lesson: tactile, affective, and creative experiences are fleeting and
transitory. They leave no traces. There are, of course, flexible materials that do allow more
permanent transformation, such as rubber, but interestingly their use in toys has remained
relatively marginal.
Deconstructability
Deconstructability provides a ‘hands-on’ lesson in what things are made of and how they
fit together. Even when toys are not designed for deconstruction, children want to take them
apart – not from some kind of destructive urge, but out of curiosity, because of a desire to
learn. Deconstructability teaches analysis.
Any object can be analysed in different ways and according to different principles. In the
past, and to a degree still today, construction toys such as Meccano or Lego taught children
that the world is built up out of a small number of, in themselves, meaningless items (‘atoms’
or ‘molecules’, you might say, or ‘phonemes’, if you want a linguistic example). Larger,
meaningful items could be constructed from these basic items, and this required careful
calculation of the proportion of different basic units required. The basic units themselves
connoted construction methods prevailing at the time of their invention: steel girders, in the
case of Meccano; building blocks in modernist colours, in the case of Lego. Here, the user
became an imaginary engineer or builder. More recently, construction toys are marketed in
do-it-yourself (DIY) construction kits that provide just the right amount of blocks for one
and only one larger item – a helicopter or Star Wars spacecraft, for instance – or as ready-
made, already-meaningful items for assembly. This positions users as consumers, rather than
as builders or engineers, and withholds a whole dimension of analysis and construction from
them. In Lego, it has also facilitated a quite extreme and, in my view, deplorable differentia-
tion between toys for boys and toys for girls.
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Many artificially powered objects are not easily moved by hand and thereby demonstrate our
dependence on artificial energy.
Toys may also be driven by natural power: wind, water, or gravity. Few contemporary toys
make use of this, so that especially urban-resident children may not get enough opportunities
to learn how to work with these forms of power, despite the fact that many traditional toys,
such as kites and spinning tops, owe their enduring fascination precisely to the way in which
they allow the exploration of, and interaction with, natural forces.
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from rusty bicycle and pram wheels, to plastic toys and devotional objects. He also experi-
mented with light and lighting, using spotlights to create moving shadows and incorporating
rows of flickering lights into his machine-like sculptures.
Sound played a crucial role throughout, most often by making the moving parts of
his sculptures hit resonant objects such as cans, pots, pans, and percussion instruments,
and by the squeaky, grinding, and thumping sounds of the rusty gears, cams, cranks, and
levers that Tinguely used to make the sculptures. Mengele (1986), a large sculpture made
from the charred remains of a farm that had burnt down close to Tinguely’s home, has
been described as emanating ‘grating, sighing, creaking, murmuring sounds mixed in a
discordant requiem’ (Violand-Hobi, 1995: 145). These sounds can be heard on a video
of the sculpture (see https://www.youtube.com/watch?v=DKdTF77RoxU). The fountain-
sculptures that Tinguely created with Niki de Saint Phalle, near the Pompidou Centre in
Paris (Stravinsky Fountain, 1983), orchestrate the dripping, sprinkling, spattering, and
splashing of water in rhythmical patterns reminiscent of the work of Stravinsky, after
whom the fountain was named.
Tinguely was also interested in smell. Mengele (1986), for instance, emanated the smell
of burnt wood, and Homage to New York (1960), a 7m long and 8m high sculpture with
eighty bicycle, tricycle, and pram wheels driven by fifteen motors, contained bottles with
chemicals that produced foul smells and smoke.
Two further aspects of his work are worth mentioning. First, many of Tinguely’s sculp-
tures are ‘co-authored’, most famously with his second wife, Niki de Saint Phalle, but also
with many other artists. The Fantastic Paradise (1966–7) consisted of six works in which
Tinguely’s black metal mechanical creatures interacted with de Saint Phalle’s colourful and
amply proportioned polyester women: Tinguely’s Madwoman, for instance, caressed de
Saint Phalle’s Tree-Nana with fork-like tentacles, while wiggling a large mechanical tail
(see https://www.youtube.com/watch?v=9Z8C7hMZcwo). Secondly, Tinguely consistently
sought to embed his work in events and practices, to create both ‘texts’ and ‘contexts’, so
to speak, one-off theatrical shows, and events such as the destruction of Homage to New
York, which went up in flames in front of hundreds of viewers in the sculpture garden of the
Museum of Modern Art in New York. As always, Tinguely was interested here in transience
and transient media: the work ‘had to pass by, make people dream and talk’ for a moment
and ‘be gone the next day’ (Tinguely, quoted in Hulten, 1987: 350).
In discussing the types of movement that Tinguely developed in his work, I will use
the terminology that Caldas-Coulthard and I developed in our work on toys, introducing
additional terms where necessary. The discussion is based on the extensive illustrations and
descriptions in Violand-Hobi (1995), together with Hulten (1975, 1987) – the most detailed
source of information on Tinguely’s work – and works that I have seen in the Stedelijk
Museum in Amsterdam and the Louisiana Museum in Humlebæk, Denmark, and on videos
of Tinguely’s work, especially those produced by the Tinguely Museum in Basel.
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Repetition was used to create meaning in many different ways. In Chariot 8 (1964), a
large crescent-shaped object repetitively pokes a kind of clockwork – a ‘mechanism that
makes love’, as Tinguely explained in an interview (quoted in Violand-Hobi, 1995: 60).
In Inferno (1984), a metal beam repeatedly tries to lift itself into an upright position, but
never manages to do so, in endless, Sisyphus-like toil, while other, smaller parts of the
same sculpture energetically repeat the same pointless movements – intransitive actions all,
without any impact on anything: movement for the sake of movement. When the actions
of Tinguely’s machines are transitive, they often have a destructive effect. In Rotozaza
II (1967), a hammer mechanically and repetitively smashes beer bottles (see http://www.
youtube.com/watch?v=QLVOTM5rKrc). Rotozaza III (1969) similarly smashed plates and
was exhibited in a shop window. Again, the context was part of the meaning of the work as
a statement about consumerism and its wastefulness: Tinguely had wanted the machine to
smash Swiss watches and other symbols of conspicuous wealth, but that turned out to be
too expensive (compare Violand-Hobi, 1995: 77).
Irregularity is another source of meaning in Tinguely’s work. Jealousy I (1960) repre-
sents jealousy by means of the nervous jiggling of strings of wooden beads suspended from
a moving metal bar. In Transmission of Death (1986), animal skulls move to and fro on a
conveyor belt, and are mounted on springs, so that they tremble anxiously as they are carried
along. (Grammatically, this could be seen as a case of embedding – a linguistic ‘translation’
might be ‘the conveyer belt conveys trembling skulls’ – or perhaps as a complex ‘sentence’,
translatable as ‘the conveyor belt conveys skulls which tremble’.) In Selfportrait (1988),
an animal skull with rags hanging off it and a falcon on the ‘shoulder’ (the costume that
Tinguely had worn in a Carnival parade) dangles on chains and is pulled now to the left,
now to the right, by chains connected to a large and heavy wheel (see http://www.youtube.
com/watch?v=GMPLRm56_ZI).
In most of Tinguely’s sculptures, there is little flexibility, which says something about the
machine-like universe that he created. But feathers and other flexible materials, such as dust-
ers, rags, and clothing, gradually began to appear in his work; it was, apparently, Niki de Saint
Phalle who first suggested that he should use feathers in his work. In Fairy Tale Relief (1978),
a ‘happy duck’ has its backside tickled by a fluffy duster, and in The Furious Feather (1986),
a large feather and a kitsch sculpture of a fox devouring its prey, bought at a flea market, are
mounted on a rotating wheel, performing a kind of dance that creates a contrast between the
freely moving feather and the rigidity of the animal sculpture. Flexibility was also used in
Maramar (1961), a hanging sculpture described by Hulten (1975: 204) as follows:
Nine levers hung from camshafts which were hidden by an intermediate ceiling. When
the machine was switched on, the levers tore at a tangled heap of junk and rags, a dirty
nightdress, an artificial leg wearing a red sock, a washing-up bowl, coffee-tins and
lengths of film. After the machine had been running for a certain time, this collection of
jumble suddenly exploded into violent, spastic jerks.
Mobility
Although many of Tinguely’s sculptures are immobile in the sense in which I have defined
that term above, he used mobility almost from the beginning, mostly by putting his sculp-
tures on wheels, but also by using rails, conveyer belts, and so on. Auto-Mobile (1954),
a small sculpture looking somewhat like a fragile Calder mobile, can move through the
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room driven by a small electromotor. Metamatic (1959) and Gismo (1960) are larger
sculptures that move in a similar way. In Klamauk (1979), Tinguely used a tractor to sup-
port a contraption made of cogwheels, the motions of which activate hammers and metal
sticks banging on bells and cymbals in a happy fairground cacophony (see http://www.
youtube.com/watch?v=si0UitSaUhg). Sculptures such as Hannibal II (1967) and Ceno-
taph for a Kamikaze (1969) run on rails, and consist of a large cart covered by a kind of
turtle shell pushing and pulling a smaller cart, while chains rattle and what looks like a
large gun barrel moves rhythmically backwards and forwards (see http://www.youtube.
com/watch?v=GmrDEX4P518). As Violand-Hobi (1995: 78) describes it:
Powering
While many of Tinguely’s sculptures are driven by motors, he also explored manually and
naturally powered motion. His Prayer Mills (1954) are wire sculptures with interlocking
wheels – some vertical, some horizontal – which the viewer can move with a crank handle.
Cyclograveur (1960) is a stationary bicycle with a saddle for the viewer to sit on, and ped-
als to activate a rusty and complex set of interlocking cogwheels, which ultimately drive a
mechanical arm creating a drawing – and which also drive a drum, a cymbal, and a rusty
toy car. The handlebar is a lectern allowing the viewer to read a book while pedalling.
Cenodoxus (1972) was created as the set of a religious play written in 1602 by a Jesuit
monk. A kind of seesaw, mounted high up on a slanted pole, represents heaven, seating
God on the one side and a group of angels on the other. God’s throne can be lowered, so as
to allow God to become Man – a theological concept realised through kinetic design. Hell
is a Ferris wheel, with actresses playing prostitutes presided over by the Devil.
Instigatory control
In many of Tinguely’s sculptures, viewers can manually (or with their feet) instigate the
movement, as in Prayer Mills and Cyclograveur. In other cases, they can switch on the
motor, as in Machine Bar (1960–85), in which small moving sculptures can be activated by
push buttons on the floor: a witch then climbs in and out of a metal box, a toy gets crushed
by a big hammer, and so on. In Drawing Machine (1959), viewers can attach a piece of
paper (pre-signed by Tinguely) and a coloured pencil or crayon to the machine, then insert
a coin in a slot to make its mechanic arm create a drawing, with highly complex, erratic
movements (see http://www.youtube.com/watch?v=FZpEYLa9PGs). In many works, the
viewer’s role as causative agent becomes part of the meaning. In Rotazaza I (1967), view-
ers throw balls into a kind of chute; the machine then throws the balls back to the viewer,
so that the viewer’s actions merge with those of the machine (see http://www.youtube.com/
watch?v=f80SLYonPO4). In Dissecting Machine (1965), the viewer activates drills and
saws that attack the dismembered parts of a life-like window dummy, so diminishing, as
one reviewer put it, the ‘gap between the vicarious enjoyment of cruelty and the act itself’
(Herald Tribune, 28 May 1971).
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Velocity
The speed of movement is another source of meaning in Tinguely’s work. Animal skulls
rock gently, and discs rotate furiously, expressing anger and frustration. Chaos I (1973–4)
was programmed to move at different rates during the day:
It will start very slowly in the morning, like the city getting up, and begin moving
faster and faster until it reaches a crescendo at noon, Then it will quiet down for an
afternoon rest and build up the same way again until 6, when everybody is going home
and the city is at its busiest. It will quiet down again for dinner, then keep getting
busier until 10 pm.
(Tinguely, quoted in Violand-Hobi, 1995: 86)
The system that underlies Tinguely’s work therefore not only defines specific movement-
processes, but also the manner in which these processes can be modified – a form of
‘circumstantial’ meaning in terms of Halliday’s (1994) systemic-functional grammar. A
linguistic ‘translation’ of the movement processes would have to introduce adverbs or
prepositional phrases, for example ‘the animal skulls wiggle irregularly’, ‘the discs rotate
in a furious way’. The two key forms of ‘manner’ that Tinguely developed were, as we
have seen, (ir)regularity (jerkiness, rhythmic unpredictability, and so on) and velocity.
The network in Figure 21.2 represents these options. The principal difference from the toy
network in Figure 21.1 lies in the contrast between repetitiveness and singularity, and in the
modifications of movement (regularity and velocity) that Tinguely developed. Instigation
also acquires another dimension, because it involves not only the contrast between instigatory
control and continuous control (the latter occurs, for instance, when the viewer activates a
sculpture by ‘cranking’, as in the Prayer Mill), but also the contrast between causativity and
auto-kinesis – that is, (apparent) ‘self-driven-ness’. On the other hand, despite Tinguely’s
interest in destruction, deconstructability does not play a role in his work: the artist remains
the creator of the work (the ‘text’), rather than the creator of resources for others to create
works with, despite the tentative moves in this direction represented by the drawing machines.
I should add that the system in Figure 21.2 is based on the material, technical resources –
the tools that articulate meaning – which Tinguely developed, rather than on the movements
that they can create. In a paper entitled ‘The morphology of movement’, Rickey (1965)
formulated nine kinds of movement based on directionality – a system that, of course, could
also apply to other forms of kinetic art, such as animation, and even to static designs and, in
fact, for Rickey kinetic art also included artworks suggesting movement or creating apparent
movement, as in ‘op art’:
Western music has twelve tones. Kinetic art has scarcely more . . . A bald summary
of possible movements in kinetic art would be: linear movement along the three
axes, rotations around them, and rotations around centers lying outside the object,
nine in all.
(Rickey, 1965: 106)
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Mobile Repetitive
Movable
Articulated
Flexible
MechanicalT
Non-mechanical
Natural
Auto-kineticI
Instigation
Causative
Regular
Regular
Manner Irregular
Fast
Velocity
Slow
In the same paper, Rickey (1965: 112) listed eight as-yet-unexplored possibilities of
kinetic art:
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We have seen that, between the time when this was written and his death in 1991, Tinguely
explored at least three of these in detail: water-driven sculpture; the use of chance as a com-
ponent (his interest in irregularity); and kinetic work on a huge scale (Head is a 22.4m high
sculpture built in the middle of Milly la-Forêt forest, near Paris, between 1971 and 1978).
We cannot forget that the tick-tock and the moving hands of a clock, the in-and-out
of a piston in a cylinder, the opening and closing of two cogwheels with the continual
appearance and disappearance of their square cogs, the fury of a flywheel or the turbine
of a propeller, are all plastic and pictorial elements of which a Futurist work in sculpture
should take account.
(Boccioni, 1912, quoted in Kepes, 1965: 81)
In 1920, the brothers Naum Gabo and Antoine Pevsner, in their Realist Manifesto, introduced
the term ‘kinetic art’:
We renounce the thousand year old delusion in art that held that static rhythms are the
only elements of the plastic and pictorial arts. We affirm in these arts a new element,
the kinetic rhythms, as the basic forms of our perception of real time.
(Gabo & Pevsner, 1920, quoted in Kepes, 1965: 81)
Earlier, in 1913, Marcel Duchamp had mounted a bicycle wheel on a stool and called it
Mobile. Everywhere, movement was heralded as a new semiotic mode, in ways that were
clearly connected to new technologies, whether technology was used as a new motif, a new
subject matter for art (as in the work of Léger), or as a new medium and a new language
(avant-garde artists of the 1920s also eagerly embraced the new medium of film) (compare
Popper, 1968).
None of this was entirely new. For several hundreds of years, people had used clockworks
to create animated chess players, walking dolls, dolls playing a miniature piano or writing a
few words, and so on, and all through the nineteenth century people had been fascinated by
the forerunners of the cinema, from flip charts to more complex ‘kinetoscopes’, ‘praxino
scopes’, etc., which were used as toys, as well as tools for the study of movement by
Muybridge and others. But it was only in the early twentieth century that these developments
began to find a place in the mainstream of cultural, social, and economic life, in a process
that is still continuing as movement is increasingly integrated in the design of toys, everyday
objects, and even texts (see Simanowski, Chapter 24). In 1961, after watching an animation
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film by Norman McLaren projected onto the gigantic Animated Electric Screen in Times
Square, New York, the historian of typography Beatrice Warde was as impressed by the
novelty of introducing movement into the formerly static mode of typography as Gabo and
Pevsner had been forty years earlier in relation to sculpture, even though artists such as Len
Lye and Norman McLaren had been animating letterforms for some time:
I saw two Egyptian A’s walking off arm in arm with the unmistakable swagger of a
music-hall comedy team. I saw base serifs pulled together as if by ballet shoes, so that
the letters tripped off literally sur les pointes. I saw words changing their mind about
how they should look even more swiftly than a woman before her milliner’s mirror.
After forty centuries of the necessarily static alphabet, I saw what its members could do
in the fourth dimension of time, ‘flux’ movement.
(Warde, 1961, quoted in Bellantoni & Woolman, 2000: 5)
And, today, moving dolls are finally leaving the sphere of toys and scientific curiosities:
Lewis Mumford (1939) has described the long incubation periods of the inventions that
change our lives as a period of ‘cultural preparation’, in which they already exist as ideas
that powerfully attract philosophers, scientists, and artists, even though they may not
always fully understand why, or as apparently trivial playthings and crazes that never-
theless exert a strong fascination on people, or in seemingly marginal applications that
nevertheless herald changes to come. Mumford described this process in relation to the
clock. Long before it began to regulate and control every aspect of social life, the clock
had existed in monasteries to regulate the daily prayer routine, and it had fascinated people
as an object of curiosity displayed in in public places, as with the huge clock in the Piazza
di San Marco in Venice with, among other things, its two large bronze figures hitting a
bell every hour and its three Magi, led by an angel with a trumpet, appearing from a door
behind the number 6 on 6 January. But only later, driven by an economic need for order
and regularity in the factories, and subsequently in other institutions, did the clock come to
play the crucial role in social, cultural, and economic life that it plays today, which then led
to many other inventions in the which the clock became embedded in other technologies,
such as today’s computers.
All of this suggests two kinds of creativity: the creativity of the pioneers, who create new
technologies and new forms of expression – new languages in which to formulate the issues
of a new age; and the creativity of the next generation, who embed the technology in new
applications and genres – and in further technologies, as is the case with kinetic typography,
which, fifty years after Beatrice Warde marvelled about it, is now available to all in software
such as Microsoft PowerPoint and Adobe AfterEffects.
In Tinguely’s work, all of these phases can be observed. In his early ‘Meta-mechani-
cal reliefs’, he created abstract paintings, inspired by Malevich, Kandinsky, and others,
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the forms of which could move by means of pulleys of different sizes linked by a rubber
belt that were hidden behind the work, as can be seen in his Meta-Malevich ‘Point Rouge’
(©Jean Tinguely/billedkunst.dk, 1956) (see Figure 21.3). Perhaps he was inspired by the
story that Alexander Calder, when visiting Mondrian in his studio in 1930, suggested
that the coloured squares that Mondrian had tacked to the wall should be made to
move.
But, after that, Tinguely systematically began to investigate machine motion itself,
developing the resources that I have described in the previous section, and exploring their
meaning potential primarily in relation to the machine itself and in relation to human–
machine interaction – the machine’s mindless repetition, its wastefulness (as in the
machine that endlessly smashes bottles), the way in which it can make people subservient
to its purposes (as in the Dissecting Machine), and so on – but often lightening his critique
of the machine with humour. Here, creativity lies in developing a new language for artistic
expression with the resources of mechanical technology and at the same time using it to
critically reflect on that technology, in a kind of love–hate relationship. In Chariot M.K.
IV (1966), for instance, a crescent-shaped blade endlessly moves forwards and backwards,
poking against a constellation of interlocking wheels, while at the same time projecting
a macabre shadow on the wall behind (see Aguiar, 2014; see also Figure 21.4): ‘I wanted
people to be shocked by the machine itself, to make big monsters, scorpions, bizarre
things – and I came to make mechanisms that make love’ (Tinguely, quoted in Violand-
Hobi, 1995: 60).
In later work, this language had developed far enough to take the next step. Now, Tinguely
broadened his vocabulary, using not only machine parts, but also plastic toys, feathers, ani-
mal skulls, and so on, to investigate the use of the new language in an increasingly wide range
of genres and contexts, from altar pieces and portraits, to children’s playgrounds and theatri-
cal sets. In his Self Portrait (©Jean Tinguely/billedkunst.dk, 1988) (see Figure 21.5), he was
able to use movement to portray himself as a kind of carnavalesque, but also mortal (the
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skull), ragdoll, chained to, and pulled and pushed by, a large, heavy wheel, which therefore
literally and figuratively ‘had a hold over him’.
In his article on the ‘morphology of movement’, Rickey (1965: 114) wrote:
If kinetic art is to have a characteristic form, it will be determined by two things: first by
what range of moving constructions it is technically possible to devise; then by the way
talented artists adopt and adapt these constructions as a vehicle for their ideas.
I hope that this chapter has brought out Tinguely’s contribution to both these things.
1. Patient craftsman with knowledge of common machine and hand tools and a high
degree of manual dexterity.
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Somewhat more recently, I made a somewhat similar list of ‘what semioticians do’ (Van
Leeuwen, 2005: 3) which I will quote in full too:
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Clearly, there are differences between the two lists. But there are also overlaps: the kinetic
artist, working in a developing field, needs to be a conceptual thinker and theorist, just as
much as the semiotician; and the semiotician needs to engage just as much as the artist with
the discovery and development of new semiotic resources, and new uses of existing semiotic
resources. There is commonality here. Both the artist and the semiotician are engaged in
changing the semiotic landscape – in developing, and seeking recognition and understanding
for, new semiotic modes. They are in the same business of ‘cultural preparation’, of showing
what can be done – and this, at all times, with a social critical eye.
But the differences between the two lists should also be noted. The semiotician can learn
from the artist. If we are to revalue the intellectual aspect of the artist’s work, we should
equally revalue the intuitive aspects of the semiotician’s work: the need for semioticians
to engage, just as much as artists, with the material, technical basis of semiotic modes, and
with the ‘relevance’ and ‘truth’ of their work; and the need for semioticians to remember
the fundamental role that ‘sensitive, poetic observation of the environment and the human
condition’ should have in the arts and humanities.
Truly pioneering artists perform creative intellectual work in exploring the means of
expression, as well as in expanding their use in new areas. We need case studies to argue
this point in detail. I hope that this study has done so for the work of Tinguely, in the
same way as I have tried, in earlier work, to understand Barnett Newman as a theorist
of colour (Van Leeuwen, 2006, 2011), and to understand and appreciate David Byrne’s
innovative use of Microsoft PowerPoint as an art medium (Van Leeuwen, Djonov, &
O’Halloran, 2013).
Related topics
creativity and digital text; language and music; literature and multimodality; silence and
creativity
Further reading
Jones, R. (ed.) (2012) Discourse and Creativity, Harlow: Pearson Education.
This edited book includes papers on multimodality and creativity by Charles Forceville, Sigrid
Norris, and Theo Van Leeuwen.
Kress, G. (1997) Before Writing: Rethinking the Paths to Literacy, London: Routledge.
Often using children’s drawings as examples, Kress’ work stresses sign-makers’ creative use of the
affordances of the semiotic resources available to them.
Van Leeuwen, T. (2005) Introducing Social Semiotics, London: Routledge.
The second chapter of this book deals with semiotic change, the creation of new semiotic modes,
and new uses of existing semiotic modes.
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Computational approaches to
language and creativity
Creativity ex machina
Tony Veale
Introduction
Creativity is a concept in flux. All too often we put creativity on a pedestal, as though the
very concept were itself a product of human artistry, carved from the enduring marble of
received wisdom. Yet any notion that the linguistic tender of words such as ‘creativity’ and
‘art’ is backed by a resolute gold standard at the level of conceptual structures and formal
definitions is itself just a convenient fiction. If we feel that we know creativity when we see
it, our experience with art – the most paradigmatic domain (along with science) in which we
perceive creativity – shows that the most creative art is that which causes the most people to
shout ‘That’s not art!’ or ‘My 5-year-old could have done that!’ (see, for example, Hodge,
2012) – for the reality belies the fiction, and our collective concepts of creativity and art
are constantly being reshaped by new cultural, societal, and technological forces. Each new
century presents new challenges to our shared understanding of art and, by proxy, to crea-
tivity more generally (Sawyer, 2006). In the twentieth century, three challenges in particular
have cumulatively chipped away at our human-centric ideal of creativity, and opened up
the possibility that machines can be more than tools in the hands of a creator and be truly
intentional, autonomous creators in their own right.
The first of these challenges was launched by Dadaist and artist-provocateur Marcel
Duchamp (Kuenzli & Naumann, 1989). In 1917, Duchamp submitted a urinal to an exhibit
of the Society of Independent Artists in New York. Cheekily titled Fountain and adorned
with the signature of its supposed maker, ‘R. Mutt 1917’, Duchamp’s contribution is what
artists call a ‘ready-made’ (Taylor, 2009): a ‘found’ object with perceived merit that an
artist chooses and presents as a work of art. While the Society initially rejected Duchamp’s
Fountain, denying that it was any kind of art at all, it has since found lasting fame as one
of the most influential artworks of the twentieth century. Yet Duchamp had a much larger
goal than the artistic rehabilitation of the much-maligned urinal: his goal was to challenge
cosy conceptions of what does and does not constitute artistic creativity (see also Jaworski,
Chapter 20). Duchamp’s Fountain asks us to view a piece of porcelain toiletware not
only as an object with its own aesthetic value, but also as a signifier for something larger: the
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artist’s power to decide on what constitutes art itself. Duchamp (1917: 5, emphasis original)
anonymously defended Fountain in an article for the art journal Blind Man, arguing that:
Whether Mr. Mutt made the fountain or not has no importance. He chose it. He took an
ordinary article of life, placed it so its useful significance disappeared under the new
title and point of view – created a new thought for that object.
Duchamp reimagined the artist as primarily a creator of meanings, and in doing so, he
dissolved the seemingly indissoluble bond between artefact generation and creativity.
Before Duchamp, artists were expected to generate and to select, to skilfully produce and
to critically filter. After Duchamp, creators were free to apply their selective aesthetics
and critical filters to the skilled outputs of others, such as the artisan J. L. Mott of 5th
Avenue, from whom Duchamp bought his urinal and to whom he playfully alludes with
the signature ‘R. Mutt’ (the initials R. M. also denoting ‘Ready-Made’).
The second challenge of the twentieth century came from the ‘beat’ writers Brion Gysin
and William S. Burroughs (1963; see also Lydenberg, 1987). Looking to the world of visual
art to spur innovation in the world of literary creativity, Gysin believed that literary art
lagged at least fifty years behind its visual sibling and that recombinant techniques from the
latter, such as collage, should be vigorously explored by exponents of the former. Dadaist-
style word games, such as ‘exquisite corpse’ – in which words are combined without regard
to their context in an effort to trump the mind’s love of cliché – had long been popular as
a parlour game amongst surrealists, but Gysin and Burroughs were to take these games to
the next level with their randomised textual collages. These writers sought more than a con-
scious disavowal of cliché; they sought a radical means of escaping the deep-hewn ruts that
unconsciously inhibit one’s spontaneity and creativity. As Burroughs (1978: 29) put it, one
‘cannot will spontaneity’ into being, but one can ‘introduce the unpredictable spontaneous
factor with a pair of scissors’. The scissors here alludes to the ‘cut-up method’ pioneered by
Burroughs and Gysin, in which a linear text is sliced, diced, and randomly spliced together
into new texts that give rise to new and unexpected meanings. The purpose of the method is
twofold: not only does it aim to create new combinations from old, but it also consciously
aims to subvert existing idioms and to disrupt the mind’s unconscious efforts to group fre-
quently co-occurring words and ideas into familiar gestalts.
Burroughs and Gysin built on the revolution launched by Duchamp in 1917, showing that
not only does a creator not have to manually produce the key elements of his or her own
works, whether linguistic objects or artisanal products, but also these elements need not be
treated with the reverence traditionally given to an artistic output. Great violence could be
done to them, and key decisions about their use and alignment could be made randomly,
so as to exult in the sheer combinatorial possibilities of a domain. If the cut-up method is a
vehicle for creativity, it is an off-road jeep, allowing a driver to veer off the trails blazed by
other writers and to explore the negative space that is implicit in what has already been writ-
ten (see, for example, Lydenberg, 1987: 44, who refers to the ‘negative poetry’ of the cut-up
method). As writer William Gibson (2005: 118) put it: ‘Burroughs was interrogating the
universe with scissors and a paste pot.’ Yet, as imagined by Burroughs and Gysin, the cut-up
method is a vehicle that requires a human driver, someone to purposefully filter its outputs, to
choose what is surprising, but meaningful, and to reject what is random and unusable.
The third challenge, then, which has its roots in the twentieth century, but which is only
forcefully asserting itself now, is the notion that any algorithm, such as the cut-up technique,
might contain its own autonomous driver for deciding what is a meaningfully creative output
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or what is an innovative direction to pursue. Just as artificial intelligence (AI) is on the verge
of giving us fully autonomous, driverless cars, AI is also close to giving us recombinant
algorithms that can make their own creative decisions. When William Gibson met William
Burroughs and asked whether the pioneer of the cut-up technique had yet embraced the new
possibilities offered by modern computers, Burroughs disdainfully replied, ‘What would I
want a computer for? I have a typewriter’ (quoted in Gibson, 2005: 118). The third challenge
to our human-centric sense of creativity suggests that our tools can be more than mere tools
and more than mere generators to be guided by human hands. Computers are so much more
than typewriters. The new field of computational creativity (CC) allows meta-creators to
place their own creativity into their tools, to produce outputs that can delight and surprise us
(see Veale, 2012; Wiggins, 2006). Moreover, CC allows our machines to follow their own
creative trajectories, to diverge from the paths identified by their creators in much the same
way as good students step out of their teachers’ shadows to find their own paths and their
own voices.
This chapter thus explores the core principles and techniques of CC as they relate to
linguistic creativity. I begin, in the next section, by providing a more solid grounding of CC
as a new sub-discipline of AI, before adopting a more specifically linguistic perspective in
the sections to follow. By describing CC systems old and new – this review is necessarily
selective – as well as those yet to be constructed, I aim to understand why anyone would
want the field of CC to thrive, and to show how CC systems can foster more, rather than
less, creativity from the humans who work with them and create through them.
Computational creativity
Those who push against boundaries should not be surprised when those boundaries push
back. Consider the case of Wegman’s bakery of New York, which – courtesy of a special
printer loaded with food dyes instead of inks – will decorate your cake with any text or digital
image that you care to provide via email. But technology can often throw the most unex-
pected of spanners into the works. Microsoft Outlook, for instance, inserts unseen HTML
tags into its emails, for the benefit of recipients who happen to use the same email client.
Those using a different program, such as Wegman’s, may not always know what to do with
these additional tags, if indeed they notice them at all, as content is hurriedly cut-and-pasted
from email client to printer interface. The cake shown in schematic form in Figure 22.1 is a
real product of the unintended bisociation of different email clients: one that garnered entirely
the wrong kind of media attention for Wegman’s in 2007. In an apologia of sorts, Wegman’s
explained the bakery’s workflow as follows:
We just cut and paste from the email to the program we use for printing the edible
images. We are usually in such a hurry that we really don’t have time to check, and if
we do the customers yell at us for bothering them.
(Quoted in Agarwal, 2012)
So while it is tempting to blame the technology, the fault here lies mostly with the tech-
nology’s human users and, residually, with the human clients of its users. Ultimately, the
cake mistake in Figure 22.1 arose from a lack of engagement with the processes of its
production, rather than from the technological nature of these processes. While computers
excel at executing a formal process that is grounded in explicit rules and can efficiently
detect when an input or output fails to meet these rules, they fare less well at handling
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Figure 22.1 A genuine example of a birthday cake from Wegman’s bakery, Rochester, NY,
with an unexpected sprinkling of raw HTML courtesy of Microsoft Outlook
Source: Based on Agarwal (2012)
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clusters of visual features (such as colours, shapes, textures, font sizes and styles, etc.) with
specific themes, target groups, ages, and genders, since stores helpfully organise greeting
cards by occasion, recipient age, and recipient gender.
An aptly decorated cake is still a cake that can be enjoyed as such. What, then, of purely
textual creativity, which has only its form and its meaning to offer? Can a machine offer
real meaning and real insight in the texts that it produces, or must its texts derive their worth
from being packaged with something of concrete value? An answer can be found, obliquely,
in the following quote from Orwell’s 1949 novel 1984:
The book fascinated him, or more exactly it reassured him. In a sense it told him
nothing that was new, but that was part of the attraction. It said what he would have
said, if it had been possible for him to set his scattered thoughts in order. It was the
product of a mind similar to his own, but enormously more powerful, more systematic,
less fear-ridden.
(Orwell, 1983 [1949]: 434)
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amount, of linguistic creativity to engage their audience. Puns remain an active area of CC
research (see, for example, Hempelmann, 2008), not least because more can be done to gen-
erate outputs that hit the trifecta of sound similarity, semantic opposition (to yield a striking,
but meaningful, incongruity), and pragmatic resonance.
That successful puns can be generated without insight into their meaning or as to why
an audience might find them funny makes most CC pun creation an act of mere generation.
Pun generation might also be considered a form of pastiche, in so far as it characterises a
CC system that skates on the surface of language, which relies too heavily on an existing
stock of familiar phrases and idioms, and which lacks the wit to venture into the unknown
territories of novel conceptual humour. This is a graded, rather than binary, distinction, for
some CC systems may venture further away from familiar shores than others. Consider the
Humorous Agent for Humorous Acronyms (HAHAcronym) program of Stock and Strap-
parava (2006), which invents new expansions and meanings for familiar abbreviations and
acronyms. Such humour combines punning with a degree of meaning invention, such as
that found on T-shirts that proclaim their ‘FBI’ wearers to be ‘Female Body Inspectors’ or
‘Full-Blooded Italians’. HAHAcronym uses the lexical resource WordNet – a dictionary/
thesaurus, the senses of which are organised taxonomically (see Fellbaum, 1998, for an
introduction and a range of its uses) – as well as additional resources that indicate the
general domain of a word sense (for example that ‘theology’ is in the religion domain) and
that indicate which senses exhibit a strong semantic or pragmatic opposition (for example
‘religion’ and ‘science’). This knowledge allows HAHAcronym to reinvent meanings for
familiar abbreviations such as MIT (‘Mythical Institute of Theology’) that are superficially
apt, but which exhibit a deep incongruity (contrasting with the purpose of the Massachu-
setts Institute of Technology). HAHAcronym uses more semantic insight than JAPE or
STANDUP, yet its outputs are more constrained and this makes them seem more formulaic.
HAHAcronym is noteworthy for another reason, however: it is the fruit of the first CC
humour project to be directly funded by the European Commission.
To what extent do existing CC systems, which wear their limitations openly, define the
scope of future CC implementations? Each CC system may be seen as the patriarch of a fam-
ily of yet-unborn systems that rely on the same techniques. The LightBulb Joke Generator
(LIBJOG) program of Victor Raskin and Salvatore Attardo (1994) is the patriarch of CC
systems that overly rely on templates that come complete with a convenient stock of fillers.
As Raskin and Attardo note, LIBJOG is capable of generating lightbulb jokes about members
of various ethnic groups (such as ‘Q: How many X-Men does it take to change a lightbulb? A:
It takes Y. One to hold the bulb and Y-1 to spin the room around’) only because the desired
jokes are effectively baked into the templates. Hempelmann (2008: 338) argues that this
failure of creativity is precisely the goal of LIBJOG: to expose the inherent limitations of
systems that use templates without adequate knowledge. In this view, LIBJOG is not so much
a CC system as a Duchampian prank: a trap into which subsequent humour systems such as
JAPE and STANDUP unwittingly fall.
Yet even humans obtain good mileage from templates, and other rules and tricks, for
linguistic creativity. Consider what Matthew McGlone and Jessica Tofighbakhsh (1999)
call the Keats heuristic, an insight about creative language that owes as much to Nietzsche
(‘We sometimes consider an idea truer simply because it has a metrical form and presents
itself with a divine skip and jump’) as to John Keats (‘Beauty is truth, truth beauty’).
McGlone and Tofighbakhsh (2000) demonstrated that, when presented with uncommon
proverbs with internal rhyme (such as ‘woes unite foes’), subjects tend to view these as
more insightful about the world than the equivalent paraphrases with no rhyme at all
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(for example ‘troubles unite enemies’). If the Keats heuristic is not exactly a licence to
pun, it is a licence to rhyme, and to give as much weight (or more still) to the superficial
aspects of linguistic generation as to the underlying semantics and pragmatics of poetry
generation. As such, the Keats heuristic is implicitly key to the operation of almost every
CC system to date for generating poetry (see, for example, Chamberlain & Etter, 1983;
Gervás, 2000; Manurung, Ritchie, & Thompson, 2012). If good human poets ask ques-
tions first and rhyme later, CC systems typically rhyme first and ask questions later, if at
all. If the human jury in the O. J. Simpson trial could be turned against bald facts with a
Keatsian ‘If the glove don’t fit, you must acquit’, readers of computer-generated poetry
can likewise be persuaded to see meaning and deliberate resonance in any CC output that
has a ‘divine skip and jump’.
For example, the Full-FACE poetry generator of Colton, Goodwin, and Veale (2012)
uses a template-guided version of the cut-up method to mash together semantically coher-
ent text fragments in a way that meets certain overarching constraints on metre and rhyme.
The text fragments in question come from a variety of sources, such as from online news
articles, from short social media messages (Tweets), or from a large stock of stereotype-
laden proverbial similes. News stories are a rich source of phrases that convey resonant
images, and these can be clipped from a news text using standard natural-language process-
ing techniques. Likewise, Tweets that use affective language to express strong emotional
viewpoints can be extracted automatically using standard sentiment analysis lexicons and
tools. Most interestingly, perhaps, a large stock of resonant similes, such as ‘as blue as a
blueberry’ or ‘as hot as a sauna’, can be extracted from the texts of the Internet using a
search engine such as Google (see Veale, 2012: 61–86), since the simile frame as x as y
is specific enough to query for, yet promiscuous enough to allow a bountiful diversity of
possible x:y mappings. Such mappings can also be recast in a variety of poetic forms to
make their clichéd offerings seem new again, as in ‘Blueberry-blue overalls’ or ‘sauna-hot
jungle’. Indeed, the very act of combining clichés can itself be a creative act, as evidenced
both by the success of the cut-up method in general, and the success of specific cut-ups in
particular. Consider William Empson’s withering analysis of the persnickety, cliché-hating
George Orwell, whom Empson called ‘the eagle eye with the flat feet’ (quoted in Ricks,
1995: 356, who admires Empson’s ‘audacious compacting of clichés’). The Full-FACE
system is just one of many CC poetry systems that use an autonomous variant of Burroughs’
cut-up method, building tight constraints on form and loose constraints on meaning directly
into Burroughs’ ‘scissors and paste pot’.
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Computational creativity systems that aim for human-comparable outputs are often
modelled on the idea of the lone artistic creator, yet a better model for CC systems is the com-
pany that is not afraid to outsource its creative needs whenever an external agency offers a
superior service. Comparative advantage is as real a factor in the design of large CC systems
as it is in the running of a large economies, especially when deep knowledge, or the flexible
representation of such on a machine, is so hard to acquire, organise, and robustly exploit in
a computational system. It makes sense, then, that CC systems that possess certain kinds of
knowledge, and which know best how to exploit it, be offered as specialist services that can
shoulder some of the creative responsibilities of other CC systems. For instance, the outputs
of a CC system that has been carefully crafted to create metaphors on demand, or conceptual
blends, or puns, or poetic couplets, and which has marshalled all of the necessary knowledge
and lexical resources to fulfil this goal with aplomb, can be offered to other systems that
need metaphors or puns or blends. If multiple services later compete to offer metaphors on
demand, then third-party systems suppliers can shop around and choose whichever service
works best for the particular task at hand.
Technologically, online services are best positioned to support this emerging marketplace
of creative services (see Erl, 2008, for a discussion of what constitutes a service-oriented
web architecture). The Internet is a well to which human creators frequently return, and
CC services can be established online to invite both human and machine visitors to take
up their offerings. Consider one such service – actually a suite of related services – called
Metaphor Magnet (Veale, 2013a). Metaphor Magnet (online at http://boundinanutshell.com/
metaphor-magnet-acl) provides metaphors on demand for a given target, or a given pairing
of target and source domains. For instance, given the target ‘religion’, Metaphor Magnet will
scour a large database of Web snippets – called the Google n-grams (see Brants & Franz,
2006) – to find copula metaphors of the form religion is a y. The values that it retrieves for
y will vary from ‘comfort’ to ‘myth’ to ‘philosophy’ to ‘virtue’. One can ask for only the
negative metaphors by prefixing ‘religion’ with a minus sign (–religion), while for posi-
tive metaphors, + is used (+religion), spurring Metaphor Magnet to retrieve ‘sham’, ‘lie’,
‘cult’, ‘virus’, ‘scourge’, ‘delusion’, and ‘fallacy’. Or one can ask for specific metaphors to
elaborate on the general conceit that science is a –religion, prompting Metaphor Magnet to
view its negative metaphors for –religion through its knowledge of science, to offer views
of science as a ‘complicated bureaucracy’, a ‘predetermined dogma’, a ‘troubling mystery’,
and an ‘irrational child’. The system acquires its stereotypes of children, dogmas, mysteries,
and bureaucracies largely from its large inventory of common similes, themselves harvested
automatically online (as described in Veale, 2012). These are the same similes exploited in
Colton, Goodwin, and Veale’s (2012) Full-FACE system, and Metaphor Magnet can also be
viewed as a knowledge-driven embodiment of the cut-up method. Indeed, if ever there were
a vast textual resource that was ideally suited to the autonomous generation of creative
cut-ups, it is Google’s n-gram database.
Metaphor Magnet provides a range of follow-up services for its metaphors. For instance,
one might ask about the emotional resonances of a metaphor – how is an audience likely to
feel about a given source concept? – and receive, in reply, a description of likely emotions,
such as that troubling mysteries make one feel ‘troubled’ (naturally), ‘confused’, ‘threat-
ened’, ‘intimidated’, ‘perplexed’, and ‘exhausted’. These feelings are suggested by corpus
analysis, which observes how the typical properties of mysteries (‘challenging’, ‘weird’,
‘engrossing’, etc.) are commonly coordinated with properties that convey feelings (‘con-
fusing’, ‘perplexing’, etc.). In addition, one might ask for a deeper, conceptual blending
analysis of a metaphor (as defined in Fauconnier & Turner, 2002), to identify the specific
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emergent properties that arise from its pairing of ideas. For instance, when science is viewed
as a religion, it can be seen to possess an ‘analytical grip’ (analytical from science, gripping
from mystery), ‘complicated twists’, a ‘spellbinding fascination’, a ‘defined magic’, and a
‘scholarly allure’. These bridging phrases are extracted from the Google n-grams database
so as to marry a property of the source domain to one of the target domain, and thus sug-
gest a nuanced blend-property that emerges from the integration of both domains. Bridging
phrases are often poetic, and in so far as they originate in other literary works the snippets
of which are captured within the Google n-grams, they may be viewed as linguistic ready-
mades that are ready to do service in newer literary contexts. (The conceit of a linguistic
ready-made is developed at length in Veale, 2012, 2013b.)
Metaphor Magnet will generate poems on demand for any of these blends, by sampling the
space of properties (both simple and blended) that emerge from each metaphor or blend, and
by using linguistic ready-mades and familiar tropes – such as simile, superlative, rhetorical
questioning, chiasmus, alliteration – to package each sampled property into its own poetic
line (see Veale, 2013c, for the technical details). One such poem, for science as ‘troubling
mystery’, begins ‘My science is an exhilarating mystery, sacred gods of rigorous description
do sciences enshroud’ and ends ‘Oh Science, you shock me with your impenetrable confu-
sion’. The key point here is not the quality of the text as poetry (like most CC poetry systems,
Metaphor Magnet still has a long way to go), but its use of deliberate metaphors to bridge the
domains of science, religion, and mystery. Of course, if any poem fails to please, another
can quickly be generated to take its place.
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CC bots, is a work in progress: a meta-creator that captures the voice of its creator, yet
which explores new ways in which to surprise us with what we already know.
Concluding remarks
Since the heyday of Burroughs’ and Gysin’s cut-up method, computers have gone from
being powerful alternatives to the typewriter to potentially credible alternatives to the per-
son that uses the typewriter. Although the field of CC is still inchoate, recent developments
in the sphere of social media suggest that it will grow quickly as people warm to the social
dynamics of computational creativity (see again, for example, Dewey, 2014). Not only do
meta-creators inspire other meta-creators, but also their bots provide the necessary concep-
tual and linguistic impetus for other bots to do their thing. One especially exciting dynamic
can be seen in the trend for autonomous bots to interact with other autonomous bots. To
consider a small, but illustrative, example, the @youarecarrying bot taps into the tropes and
texts of classic text-adventure games (which, incidentally, were created at much the same
time as Burroughs and Gysin developed the cut-up method) and tweets random collections
of the game items that players were expected to acquire in those games (maps, swords,
lanterns, ticket stubs, etc.). A rival bot, @_The_Thief, was quickly developed to exploit
the outputs of the former, with a twist: @_The_Thief reuses the vivid textual descriptions
of thieves from old adventure games, to offer crime reports on how the items ‘carried’ by
specific followers of @youarecarrying have just been stolen by a colourfully novel criminal.
While such interactions are still merely generative, they raise the possibility of true CC bots
that use language to creatively riff with each other, bringing the linguistic equivalent of jazz
improvisation to the Twittersphere.
For just as a sufficiently expressive medium can eventually become its own message, a
sufficiently complex tool may eventually become its own user. Whether everyone agrees
with this perspective is beside the point, because producers and consumers of all stripes
continue to squabble, and will always squabble, about the creative status of certain human
artists and their outputs. What matters is that, when judged purely on performance, our CC
systems are seen to produce outputs that are both novel and useful, and to produce them with
such variety and virtuosity that the apparent ingenuity on display cannot be attributed to any
simple trick or reductive technique. Computational creativity may eventually lead to insights
into the mechanics of human creativity – humans define what it means to be ‘creative’, after
all, and to play in this rigged game, a computer may well need to tap into the same structures
that allow us to innovate – but it is just as likely to force another historical shift in our collec-
tive concept of creativity, leading us to discriminate between human and machine creativity.
Conceding the idea that computers may be creative, even in a very different way to humans,
however, will be a seismic shift in itself.
Related terms
creativity and digital text; creativity and technology; language, creativity, and cognition
Further reading
Veale, T. (2013) Hand-made by Machines? Available online at http://robotcomix.com/comix/
Catalogue/mobile/#p=5 [accessed 13 May 2015].
This online book provides an introduction to the field of computational creativity.
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Computational approaches to language and creativity
Veale, T. (2012) Exploding the Creativity Myth: The Computational Foundations of Linguistic
Creativity, London: Continuum/Bloomsbury.
This volume provides a more comprehensive introduction to the algorithmic treatment of creative
linguistic phenomena.
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Creativity and Internet
communication
Angela Goddard
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High tech/high touch is a formula . . . to describe the way we have responded to technology.
What happens is that whenever a new technology is introduced into society, there must be
a counterbalancing human response – that is, high touch – or the technology is rejected.
The more high tech, the more high touch.
(Naisbitt, 1982: 39, emphasis original)
It is problematic if linguists and other researchers of new communication tools use the same
labels as those used in the marketplace, because written, computer-based ‘chat’ does not
necessarily share much common ground with spoken language. Ideas about speech and writ-
ing are elaborated further in this chapter, but the perils of confusion are clear: individual
Internet users who think of their keyboard or touchscreen as a simple ‘chat’ tool can face
dire consequences if they have a permanently embedded idea of their audience as an intimate
circle of friends. Exactly the same problem attaches to Twitter, which is a million miles
from the innocent chirping of birds. Since linguists know only too well that language has
the power to construct realities for its users, they have a particular responsibility to reveal its
representational values.
Historical perspectives
When computer-mediated communication (CMC) first emerged, it did not fit easily into the
frameworks current within linguistics to describe speech and writing. Of course, descrip-
tions of speech and writing could simply have been ignored. But this was problematic for
two reasons. First, the new tools themselves were being given the names of genres that
were currently in existence, precisely because producers of the tools wanted them to seem
familiar; so terms such as ‘chat’ and ‘mail’ brought a sense for users that they would be on
safe ground. If advertisers wanted to be creative and suggest innovation, they might also
reference another known genre and describe the new communication tool as a hybrid form:
for example, in one early campaign, British telecom referred to email as ‘the new way to
write a phone call’, while in another, the German phone company Mannesmann exhorted
consumers to ‘turn on the phone and watch the news’. These advertising hooks looked
startlingly rule-breaking at the time because they challenged ideas about the relationship
between established genres and channels of communication.
The second reason for retaining connections with concepts of spoken and written language
was so that researchers could understand how users were transferring the skills of com-
munication that they already had and creatively adapting them to new environments. New
technologies have reconfigured the conventional way of thinking about language acquisition
as a developmental aspect of young lives: we are all now permanently in a state of language
acquisition as we move from one technology to the next. Assessing the skills displayed by
learners also required – and continues to require – an understanding by educators of exactly
what the demands of different communication environments are. An early example of poten-
tial confusion in this respect is reported in Goddard (2005): the head of learning and teaching
at a university said that a chat tool, which was a real-time, writing-only space, would enable
students who performed ‘better orally than in writing’ to be successful.
However, linguistic studies of speech and writing have themselves been entangled in
some complex history of their own. In terms of formal description, speech has been much
less researched than writing, partly because of the lack of availability of portable, cheap
recording equipment. As a result, structural descriptions of language that may have suited
writing do not work for speech at all (see Carter, 1997).
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Carter also points out that culturally, speech and writing have often been valued differently,
with literacy – particularly the specialist form of literacy associated with literary works and
with conventional notions of creativity – being seen as a highly developed, rare skill and a
hallmark of an educated person. Goddard (1996: 5, emphasis original) notes that, in contrast,
spoken language – particularly in the form of everyday encounters – has not been seen as a
very skilful or creative activity:
We have difficulty thinking that everyday talk is metaphorical because this idea goes
against the received wisdom we have about talk, which is that it is somehow straight-
forward and serviceable – a bit like Marks and Sparks underwear, hard-wearing but not
particularly sexy, getting us through life without major mishap . . . so we certainly don’t
see everyday talk as being the home of figures of speech (even though we call them
figures of speech) like metaphor.
An associated difficulty in linguistic treatments of speech and writing has been the long
tradition of taking a binary approach, classifying these modes as either discrete systems
with no relationship between the two, or as oppositional, suggesting that what one had, the
other lacked (so if writing was ‘creative’, then speaking was not). Street (1988) notes how
this classic concept of ‘the great divide’ between speech and writing has been embedded in
many research papers over the years; and maintains that its replacement during the 1980s
by the notion of a speech-writing ‘continuum’ simply amounts to a renaming of the divide,
rather than a different approach.
The idea of the ‘great divide’ has resulted in some tangible problems of description,
because it tends to treat speech and writing as monolithic entities:
In fact, this account works only if the model for speech is face-to-face, casual conversation
taking place within a shared physical context, and if the model for writing is ‘essayist literacy’
(Tannen, 1982), a lone practitioner committing words to paper for an audience removed in
time and space.
If such notions of binary contrast were seen as problematic before the development of
new CMC genres, their application to electronic discourse, particularly to real-time writing,
rendered them largely redundant. In operating both visually and synchronously, IWD is
simultaneously space-bound and time-bound, spontaneous and editable. In considering the
‘face-to-face’ aspect of communication, IWD in its earlier forms involved ‘presence’, if not
face visibility. In any case, the idea of presence has a variable definition across different aca-
demic subject areas, with some scholars in CMC research regarding the concept not simply
as physical visibility or even geographical location, but as various degrees or aspects of force
or effect – in other words, as impressions of agency. Stone (1995: 93), for example, suggested
that ‘narrow bandwidth’ communication (that is, CMC in its then form) could produce a more
intensive experience of engagement – a more heightened sense of ‘presence’ – than the ‘wide
bandwidth’ variety (that is, face-to-face interaction): ‘The effect of narrowing bandwidth is
to engage more of the participants’ interpretive faculties . . . Frequently in narrow-bandwidth
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communication the interpretive faculties of one participant or another are powerfully, even
obsessively, engaged.’
In comparison with other academic disciplines, it seems that linguistics was rather
slow to recognise computer-based communication (CMC) as offering scope for research.
Said Herring (1996: 3): ‘Although text-based CMC is constructed almost exclusively
from linguistic signs, linguists have been slow to consider computer-mediated language a
legitimate object of enquiry.’ This could be because, as has been suggested already, rigid
systems of linguistic classification offered little support for the description of new fluid
types of communication. Carter (1999: 195), talking of the creativity of everyday speakers,
maintains that the history of twentieth-century linguistics has not equipped it to deal with
real language use at all, let alone forms of new communication: ‘[T]he preoccupation of
much modern linguistics with invented data, sentence-level grammar and a narrowly truth-
condition-determined semantics does not allow any direct engagement with such data and
its associated issues.’
Herring’s (1996) explanation for the tardiness of linguists is slightly different. She sug-
gests that this may have been because, when networks were first designed in the 1960s, their
primary purpose was to transfer information between computers, so no one conceptualised
the machines as conduits for human communication. The idea of ‘language’ was then seen
more as an issue for programmers than for ordinary users. However, some academics work-
ing in other disciplines did characterise language, without necessarily aiming to do so, in
their early commentaries on Internet communication. The first accounts of the potential of
the Internet for new types of communication tended to be somewhat utopian. The idea of a
new era in which communication would be free of attitudinal encumbrances such as accent
prejudice, and gender and racial stereotyping – since such factors are often thought to be
linked with acoustic and visual embodiments of difference – was articulated in statements
such as Donna Haraway’s (1990) ‘A manifesto for cyborgs’. This idea suggested a default
model of language as face-to-face speech – or a model of writing that was somehow free of
‘attitudinal encumbrances’.
Herring’s (1996) collection of research papers, which is often seen as a benchmark in
being the first significant scholarly treatment of language use in CMC, also included some
utopian ideas about how language might work in new communication contexts. For example,
van Gelder (1990: 130) claims that, since race, physical appearance, and language accent are
non-existent in CMC interactions, ‘a more egalitarian situation is created’, in which ‘the most
important criterion by which we judge each other in CMC conversations is one’s mind rather
than appearance, race, accent, etc.’. And Ma (1996: 177) expresses the idea of electronic
spaces as a cultural no-man’s land: ‘Those from different cultures engaging in computer-
mediated conversations do not occupy a common physical space, so they are not bounded by
any particular set of cultural rules.’ Ma (1996: 179) sees CMC as a kind of meeting of minds
in free-floating space: ‘The focusing-on-mind computer mediated conversations should
provide a better opportunity for information exchange between participants from different
cultures.’ These statements imply a model of language in which physically embodied non-
verbal communication carries most of the meaning and, again, in which language is a simple
information conduit.
Not all of the articles in Herring’s (1996) collection had this same model of language,
however. Rather than seeing CMC as a context that potentially reduces the idea of social
difference, Hall (1996) argues that CMC actually increases the level at which individuals
construct their social selves. In this case, she is talking about gender: ‘Rather than neutral-
izing gender, the electronic medium encourages its intensification. In the absence of the
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a fall from grace and loss of innocence, in its intertextual reference to Yeats’ poem, ‘The
Second Coming’.
One of the issues that arises in identifying an example of language as ‘creative’ in the
CMC context is that there have been seismic shifts in what Goffman (1981) would have
termed system constraints. This means that language producers’ starting points can be very
different, in terms of the raw materials with which they have to work. There are also, of
course, many disputations about what the term ‘creative’ means, as well as about what the
function of any piece of creativity actually is: this book offers many different perspectives
on both these issues.
Assessments of creativity need to be made with reference to the context in which users
are, which means a careful delineation of the characteristics not only of the medium, but
also of the participants. Koestler’s (1976: 644) broad definition of creativity – one that is
often quoted and applied – links creativity with the idea of breaking and realigning existing
frameworks: ‘The creative act does not create something out of nothing, like the God of the
Old Testament; it combines, reshuffles and relates already existing but hitherto separate
ideas, facts, frames of perception, associative contexts.’ An assessment of creativity against
this benchmark needs to include some awareness of participants’ starting points and also the
resources that are available to them.
This twin focus is exemplified in Goddard (2005), which study researched the language
strategies used by participants new to a simple, writing-only IWD context. Some 36,000
words of IWD data were collected over the course of an academic term (twelve weeks)
during 1999–2000. Participants were also interviewed about their language choices once
the IWD data collection had finished.
It is interesting now to look back to a point at which ‘being online’ was a largely unknown
or rarely experienced context, which was the case for the participants in this study. They were
beginning undergraduates using an IWD tool in order to discuss language topics. In what
would now be considered a very stripped-down, somewhat arid environment in which not
even emoticons were available, participants found ways in which to create three-dimensional
worlds from words. Some data samples from this study are given in the following text. (Note
that all data samples are written here as they appeared originally. Where the lines are written
consecutively, they appeared consecutively in the data. Where there is a space between lines,
they have been taken from different parts of the data.)
Technologies have changed and developed, and although some aspects of the behaviour
illustrated have become normalised in our everyday digital exchanges, there are other exam-
ples that shed light on what we do every time we are presented with a new environment. The
study highlights the role of creative play in exploring new communication contexts, as well
as the importance of creativity for interpersonal connection, for the expression of individual
identity, and for group cohesion. All of these areas are still key topics in language and Internet
communication, as well as in the wider field of language and communication in general.
Creative language play enabled participants to explore the reconfigured nature of the
spatio-temporal dimensions inherent in their new environment. In the playful line below,
Ryan registers that fact that, in this new space, the text has replaced him. But where is he?
The speed of writing required in the new context led to many errors – but did they count
as errors in this new world, or as a creative new way of looking at language? Either
way, errors were a fertile source of language play and interpersonal involvement. Below,
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Alex – who, interestingly, was dyslexic and, despite her initial anxiety, loved this new
environment – responds to Andrew’s criticism of her initial mistake of running two words
together by creating a whole sentence written as one word:
The participants below explore the effect that the linearity of writing has on opening routines
in multiparty contexts. In speech, opening routines can achieve economy via orchestrated
simultaneity, but interactive writing does not offer this affordance. Ryan’s creative reduction
of ‘hi there’ to ‘hi’, to ‘h’, to ‘….’, and ending with ‘zzzzzz’, performs a sense of comical
fatigue in transferring this routine from the rapidity of speech to the laboriousness of writ-
ing. The potentially endless nature of this cycle (repeated many times playfully in closing
routines in the data) has been termed ‘broken record’ (Gillen & Goddard, 2000):
Participants showed a range of linguistic strategies to metaphorise the new spaces in which
they found themselves. Spaces were quickly textualised via metaphorical deictics of ‘in–
out’ and ‘here–there’, which then blended seamlessly with ideas about outer space and the
spirit world:
Distinctive registers were used to create voices invoking various institutional contexts and
spaces, such as a bar brawl:
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Participants had to judge how prosodic aspects familiar to them in speech might be repre-
sented in writing. For example, in the following interaction, Natalie and Simon are trying to
capture the prosodics of variants of ‘yeah’:
Natalie>>yeak
Natalie>>sorry yea
Simon>>why yeah
Natalie>>i dont mean it like yeah man i mean it like yeay
Simon>>what is the difference
Natalie>>it’s happier and less cheesy
Simon>>and that is worthy of a yehah
The following list shows frequency of the variants above within the context of other examples
in the data:
yaaa 1 yeh 1
yea 1 yehah 1
yeah 42 yep 6
yeahbut 1 yes 87
yeahhh 1 yess 1
yeak 1 yeay 1
In formulating the ‘response cries’ (Goffman, 1981: 121), participants had to be creative in
their spelling choices, because sometimes the item had (and still has) no standardised written
form. Such interjections as those below fall outside the scope of phonology, which focuses
only on sound – but neither are they seen as lexical items, so they do not feature in dictionaries.
In his own exploration of response cries, which he describes as ‘blurted vocalisations’,
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Goffman (1981) notes how these forms sometimes pass between speech and writing in subtle
ways. For example, we can make a disapproving ‘tsk tsk’ noise, but because we also write
‘tut-tut’, we can say that too. However, saying ‘tut-tut’ can be a much more knowing and
complex expression of attitude, suggesting that the activity in question is normally subject to
opprobrium, but that this attitude is not necessary shared by the speaker:
oops
uh-oh!
arhhhhh!!!!
duh
eek
wey hey!/woo hoo!
WOOOOOPEEEEEE!!!!!
Ta da!
With our more frequent digital interactions, some of these spellings seem to have been on
the move. For example, ‘yeay’ can also be seen as ‘yay’, expressing delight at an achieve-
ment, and ‘oops’ can appear as ‘whoops’, or even ‘woops’; a current British advertising
campaign for a cosmetic product uses ‘Ta Dah!’
Representations of laughter also demonstrated some subtleties of meaning, as can be seen
from the following list. When participants were interviewed, they were able to describe
quite precisely how they intended different items to be ‘heard’. For example, while the first
two examples were seen as straightforward laughter, ‘heh heh’ was described as a chuckle
and ‘tee hee’, as sniggering laughter. Bracketed laughter and ‘har har’ indicated a judge-
ment that the humour was predictable, while the final example was one student’s attempt to,
as she put it, ‘laugh uncontrollably’. She added, philosophically, ‘I realised that you can’t
laugh uncontrollably in writing, because you’re controlling your writing’:
ha ha ha
he he he
heh heh
tee hee
I’m in Manchester and from Manchester (ha ha)
oh har har
hee hee hee ha ha ha hooooo hoo
Representations of ‘yes’, of laughter, and of response cries can all be seen in contemporary
language use on social media sites and in everyday exchanges of email. It is interesting that
items that might initially have been thought of as existing only in a real-time context can now
be seen in other contexts too. For example, the idea of response cries has traditionally been
that they were a spontaneous expression of emotion triggered by an event or stimulus in the
local environment. Goffman’s (1981) classic example is of someone tripping over a paving
stone and expostulating, as a result. But Goffman makes the point that the cry occurs only
when the person has recovered, not while the mishap is actually in motion. He speculates that
its function is a face-saving one: showing any bystanders that normal action is resumed. The
cry performs a momentary, but temporary, loss of control. So perhaps these little pieces of
behaviour were always ready-primed for symbolic functions in social interactions? If some-
one sends another person a ‘duh’ or an ‘oops’, because he or she did something wrong in a
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previous email, that person is inviting his or her reader to be an audience to the mini-drama
that ran in the sender’s own head when he or she discovered the mistake. But the sender is
also saying that he or she has recovered – and that it is back to business as usual.
The aspects of prosody and paralanguage illustrated below can also been seen in many
examples of contemporary use in different digital contexts – capitals for volume, duplicated
letters for speed and length of utterance, repeated dots (not always three-dot ellipses) to
represent a pause for thought or (as in the final example) perhaps adding an element of
‘vocal fry’ (Wolk, Abdelli-Beruh, & Slavin, 2012) to the breathy phonation:
While some of the response cries could be seen as connecting intertextually with the language
of comics, some of the examples echo the established conventions of literary representations,
for example in novelistic dialogue.
The creative manipulation of IWD seen in these examples are not great pieces of literature
or staged events of the type described in the Journal of Computer Mediated Communication
special issue on play in 1995. The participants were certainly highly skilled language users,
but their language choices reflected both their explorations of the new environment into
which they had been invited and their explorations of each other. They were new to univer-
sity and, as beginning undergraduates, new to each other too – although, as the term went on,
they did meet face-to-face, in other lectures on their programme. On many occasions, crea-
tive language use was a way in which individuals could invite others to connect with them:
it was a way of announcing themselves as sociable and ready to be a conversational partner
or group member. It also invited others to make aesthetic judgements of their performances,
involving a degree of risk-taking: others might not approve, or may not even understand the
language as play, or may not think it creative at all. But where creative effort is made, there
is often overt appreciation too:
Andrew>>Hi Lucy, I thought the chat had got your tongue, excuse the pun
RyanS>>nice
Sorcha>>god andrew what have you started
Andrew>>I’m no god, but thanks for the compliment
Sorcha>>heh heh
There are also examples of some highly complex group performances in which there is more
fun to be had in adding to the play than in commenting on it. The following example shows
not only creative play with patterns of sound and symbol, but also intertextual references to
shared cultural knowledge (The Wizard of Oz, The Blair Witch Project, a song by Prodigy).
These are not random references; rather, they all involve threatening figures or ideas, appro-
priate perhaps to people experiencing a strange new medium in which others are invisible
and may therefore be up to no good:
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Dave>>by the way, It might be best to say ‘okay’ rather than okey
Helene>>okey!
Dave>>sorry and all that!!!
Helene>>okey!:)
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from large numbers of users. Communication tools with specific constraints, such as the
140-character limit of Twitter, can generate creative strategies for economy in a similar way
as those seen in former Short Message Service (SMS) usage (Thurlow, 2003).
However, the technology needs to be seen not as the research method, but rather as a
result of the method chosen. And the method, of course, is determined by the research
focus. This means that the same types of question about method apply here as they do to
any other research field. For example, would the study benefit more from a qualitative or
quantitative approach? A qualitative, discourse-analytic method might suit research involv-
ing the nature of interactivity between participants, while a research focus on the use of
a particular word or phrase might benefit more from quantitative evidence. An example
of the latter – although not specifically focused on creativity – was research in 2014 by
academics at the University of London Centre for Advanced Spatial Analysis, which moni-
tored all geo-located Tweets in the United Kingdom over a particular period of time for
swearing. Some 1.3 million Tweets from smartphones were reviewed and the biggest peak
occurred on football’s transfer deadline day, with the most ‘profane’ areas being Redcar
and Cleveland, and the least, Kensington and Chelsea (BBC News, 2014).
A further, relatively recent, computer-based method is that of corpus research. Because
CMC is collectable, it is also storable in a way that enables it to be searched for specific
occurrences, including the frequency of items, but also their habitual environments or collo-
cations. Building one’s corpus from a collection of data can yield interesting results that can
be hard to observe manually, particularly in long episodes of IWD. Results can be compared
with other corpora that do not include data from CMC sources. Corpora can be very reveal-
ing, but it is important to recognise that they reflect only the language of the particular users
who have contributed to it.
A mix of methods can be valuable. For example, where the researcher is not part of
the community whose language is being researched, asking questions of the producers of
the language in question can provide useful insights into different ways of viewing the
same language item. For example, a British student participant in Goddard (2003) produced
an opening line in an IWD exchange with Swedish students of ‘Hello, England calling’,
which to an older researcher suggested might reference World War II or a 1940s BBC radio
programme called Forces Favourites. However, when interviewed, the student said that it
referred to the Eurovision song contest and was intended as recognition of the success of
the Swedish supergroup, Abba. These different interpretations support ideas suggested by
Bakhtin (1981) that language is culturally suffused and intertextual, carrying traces of its
history of use, but open to new layers of meanings with each reiteration.
Finally, it is important to recognise that not all methods can simply be transferred from one
application to the next. At the start of this chapter, I suggested that Internet communication
broke many aspects of the existing paradigms of speech and writing. If therefore follows that
if a method devised for researching an aspect of language is derived from existing paradigms,
it is unlikely to be transferable. An example of this in practice is the idea at the basis of many
former studies of speech and writing that interactivity involved sound – because, at that time,
there was no such thing as real-time interactive writing. New forms of communication need
some methodological creativity.
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that the Internet is a context, not an absence of one, and that ethical considerations attach
to this arena as to any other place in which human beings communicate. For users, Internet
communication has a material existence that lives alongside the other types of communica-
tion embedded in daily experience. Producing and receiving Internet communication is a
physical activity, even if it is not acoustic (which it may well be, if the tool is multimodal).
Typing on a keyboard or touchscreen, perhaps adding attachments, designing a text, seeing
it appear, processing others’ communication: all of this is physical activity, set within the
other physical parameters of where any user is, what room they are in, what kind of computer
they are on, whether they are multitasking, who else is around, and so on. If participants are
involved in IWD, then textual processing takes on a very sharp temporal aspect, as well as a
spatial one, with language items spilling down the screen and then disappearing from view as
the screen scrolls to accommodate others’ contributions. It is likely that participants end up
with their lines in a different place from where they intended to insert them, if they are slow
at typing messages. Keeping track of conversations can be a complex activity that is nothing
like turn taking in spoken language.
I have offered this description because it is easy to take something like a chatlog as
a decontextualised and self-sufficient text, and read it as if it were a literary play script,
complete with voices of one’s own making. A chatlog is not the same thing as the real
interaction, the interaction itself; it is simply the result of the interaction – it is what the
users have left behind. It is comparable to a speech transcript, which is a representation
of speech, not the speech itself. In both cases, the participants could not foresee what was
going to happen at any point in time. Real-time discourse unfolds in time and no one in an
interaction really knows how it is going to end. But an analyst is able to look at the whole
thing, and indeed often does so. There is nothing wrong with that, of course – but reading
backwards and forwards in a text from an analytical point of view produces a different ver-
sion of the event from that experienced by the participants. And in ‘voicing’ the language
of others, an analyst may be adding a creative performance of their own that was not really
there in the original.
Future directions
Future directions are certainly going to be interesting, if the past twenty years are any-
thing to go by. It is likely that new communication tools will continue to emerge and
to offer new opportunities for creativity, as well as new challenges for research and
analysis. Because social awareness tends to lag behind the technical affordances of com-
munication, there will be plenty of public debate about the nature of language use in
these new environments.
From a linguistic perspective, there is still much to learn about how we learn – how
we take what we know from one context and adapt to new constraints. And there are still
many unanswered questions about the hybrid nature of the new forms of language that we
are producing. We often see the language referred to as ‘speech-like’ when we are only
just learning, from an academic perspective, how speech works. It would be good to see
some much better, specific ideas about the ways in which Internet communication can be
said to resemble speech, or the ways in which it is nothing like it at all. Then we would be
able to say with more clarity how users are deploying their linguistic resources for all of
the purposes served by communication – including that of creative language play – in their
everyday Internet encounters.
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Related topics
creativity and digital text; creativity and technology; everyday language creativity; humour
and language play; literary stylistics and creativity
Further reading
Crystal, D. (2011) Internet Linguistics: A Student Guide, New York: Routledge.
As the title suggests, this is a guide aimed at students, offering a range of different approaches for
students who are interested in researching Internet language use.
Danet, B., and Herring, S. (2007) The Multilingual Internet: Language, Culture and Communication
Online, New York: Oxford University Press.
This is a slightly older book than the others listed, but its focus is multilingual.
Goddard, A., and Geesin, B. (2011) Language and Technology, London: Routledge.
The authors look at aspects of language use in new communication contexts, including evidence of
public attitudes and behaviour around new forms of communication.
Thurlow, C., and Mroczek, K. (eds) (2011) Digital Discourse: Language In The New Media, New York/
London: Oxford University Press.
In this text, the authors take a sociolinguistic approach to new media contexts, covering different
types of communication and different languages.
Thurlow, C., Lengel, L., and Tomic, A. (2004) Computer Mediated Communication: Social Interaction
and the Internet, London: Sage.
This is an older text, but one that still has useful things to say about the new social practices that
surround language use in computer-mediated environments.
Both the Journal of Computer Mediated Communication and Language@Internet include articles
about Internet communication involving languages other than English.
Useful websites
http://onlinelibrary.wiley.com/doi/10.1111/jcmc.2009.14.issue-4/issuetoc
This links to a special issue, (2009) 14(4), of the Journal of Computer Mediated Communication
devoted to technology and young people.
http://www.lkl.ac.uk/cms/index.php?option=com_frontpage&Itemid=1
Researchers at London University’s Knowledge Lab have produced many publications that are
particularly relevant to educational contexts.
References
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Carter, R. (1997) Investigating English Discourse, London: Routledge.
Carter, R. (1999) ‘Common language: Corpus, creativity and cognition’, Language and Literature,
8(3): 195–216.
Cook, G. (2000) Language Play, Language Learning, Oxford: Oxford University Press.
Crystal, D. (1998) Language Play, London: Penguin.
Crystal, D. (2001) Language and the Internet, Cambridge: Cambridge University Press.
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Roberto Simanowski 1
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and reader’s eye directly. More precisely, the meaning of a concrete poem consists of a
combination of the linguistic signification with the way in which this signification (that is,
the characters) appears. Thus, in Eugen Gomringer’s (1954) concrete poem ‘Schweigen’, the
word Schweigen (‘silence’) is presented in five horizontal and three vertical lines surround-
ing an empty, silent space in the middle of the third horizontal line (Gomringer, 1969: 27).
Understanding the linguistic meaning of the text allows for understanding the meaning of the
gap between the fourteen utterances of Schweigen. In digital media, concrete poetry becomes
kinetic, as in John Cayley’s (2004) installation Overboard, in which a program of carefully
designed algorithms allows characters to disappear or be replaced by other characters, thus
undermining the lexical relationship of the word until the original characters are restored.
The poem about a man falling overboard during a storm continually drifts in (rising) and out
(sinking) of legibility, and thus renders its own message visually.
As this example demonstrates, digital text is digital only if it is, in another sense, not only
digital. Undermining the prevalence of text as a linguistic declaration also undermines the
digital nature of digital literature: while it enters the realm of the digital on the operational
level, digital text or literature must leave it on the semiotic one. The former refers to the
computer as a technology based on digitisation; the latter refers to the nature of literature
as being grounded on a combinatory system of digital units, such as letters, phonemes, and
words. If, by definition, digital literature – digital as an aspect of technology – has to be more
than digitised text, then it must also not be limited to the digital nature of text – digital in a
semiotic sense.
To put it another way: since language consists of discrete signs, one could say that text
is always the result of digital encoding, unlike images or sound, which are based on non-
discrete signs. This is the basis for linguists’ objections to the prevailing expansion of the
term ‘language’ to non-linguistic signs such as images. They are not based on ‘a combina-
tory system of digital units, as phonemes are’, as Roland Barthes (1991 [1964]: 21) holds
in his essay ‘Rhetoric of the image’. However, in the case of digital text, both concepts
of language apply. Since digital literature, by definition, is different from traditional print
literature, it also, by definition, has to surpass semiotic digitality. This is achieved by con-
necting to non-discrete signs such as visual, sonic, and performative elements. The term
‘digital literature’ therefore points to the technological and not the semiotic aspect of the
medium. The result of this characterisation is a shift from linguistic hermeneutics to a her-
meneutics of interactive, intermedial, and performative signs. It is not only the meaning of
a word that is at stake, but also the meaning of the performance of this word on the monitor
that may be triggered by the reader’s action.
Thus digital literature can be defined as literature that is not only presented in and
distributed by digital media, but also takes aesthetic advantage of their specific char-
acteristics, which can be identified as interactivity, intermediality, and performance
(Simanowski, 2002). Interactivity aims at motivating the recipient to co-construct the
work. This encompasses reacting to:
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The printed word tradition that initially dominated the language of cultural interfaces
is becoming less important, while the part played by cinematic elements is becoming
progressively stronger. This is consistent with a general trend in modern society toward
presenting more and more information in the form of time-based audiovisual moving
image sequences, rather than as text.
The notion of the decline of the printed-word tradition is in line with the assumption
that electronic media, computers, and the Internet undermine the authority and cultural
supremacy of the word. Three significant books demonstrate this view: Neil Postman
(1985) claims, in Amusing Ourselves to Death, that the inevitable message of the medium
of television is entertainment and distraction; Barry Sanders (1994) holds, in A Is for Ox:
Violence, Electronic Media, and the Silencing of the Written Word, that literacy is on the
decline because of our fascination with electronic media – television, videos, computer
games – which fail to provide the narrative power of true literary sources; and Nadin
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Mihai (1997) entitles his book The Civilization of Illiteracy precisely because it addresses
an unfolding civilisation in which the language of the Internet, interactive multimedia, and
virtual reality have become the new languages of human interaction.
The advent and success of the Internet has – as soon as digital media also provided
images – enhanced the notion of the decreasing authority of the word after the ‘picto-
rial turn’ in contemporary culture (Mitchell, 1992). Hyperfiction author and theorist
Michael Joyce predicted in 1995 that the ‘post-alphabetic image’ will soon ‘either rob
us of the power – or relieve us of the burden – of language’ (quoted in Joyce, 2000: 42),
and Jay David Bolter, who investigated, in his 1991 book Writing Space: Computers,
Hypertext, and the History of Writing, the new opportunities for the word in digital
media, spoke in 1996 of the ‘breakout of the visual’ in the digital world, observing that,
in multimedia, the relationship between word and image is becoming as unstable as in
the popular press, in which images do not appear subordinate to the word anymore and
‘we are no longer certain that words deserve the cultural authority they have been given’
(Bolter, 1996: 258).
The observed subversion of the text’s authority can be treated with the concept of reme-
diation, which, a few years later, Bolter and his colleague Richard Grusin developed in their
book Remediation: Understanding New Media. Bolter and Grusin (1999) describe media
history as ‘the representation of one medium in another’, a process in which the formal
logic of prior media is refashioned, remediated, in new media. Bolter and Grusin (1999: 45)
speak of a ‘competition or rivalry between the new media and the old’.
Another concept to understand this rivalry is the cultural perspective on cannibalism
developed in Brazil seventy years ago. In his 1928 Anthropophagic Manifesto, Oswald
de Andrade claimed that the Brazilian must ‘devour’ – critically assimilate rather than
imitate – European codes using irreverence, inversion, joke, parody, sacrilege, and insult as
subversive anti-colonialist strategies (Bary, 1991). De Andrade’s manifesto appeared in the
first edition of the Revista de Antropofagi and sparked the very influential anthropophagic
movement of the Brazilian avant-garde. An example of the subversive anti-colonialist strat-
egies was to adopt the coloniser’s biased view of the colonised as a cannibal and to base
the quest for an originally Brazilian identity on the trope of cannibalism (Bary, 1991). In
contrast to the nationalist xenophobic movements of the time, the concept of Antropófago
aimed to produce national identity not through isolation or ignorance of foreign stereotypes
and imported culture, but through its intentional ingestion and digestion. Thus Antropófago
(and its offspring in the 1960s tropicalism) led to manifold metamorphoses, recognising
other cultures, opening the way for non-homogeneous cultural encounters.
If we extend de Andrade’s cultural conceptualisation of Antropófago to media, we may
understand the ongoing shift from the old, elitist medium of text to the new, popular
audiovisual media as a kind of reconquista of the centre stage of culture. This centre stage
had been ‘colonised’ by the ‘Gutenberg Galaxy’ (McLuhan, 1962) in the wave of the
‘Coming of the book’ (Febvre & Martin, 1997) and the so-called Leserevolution (‘reading
revolution’), with its ‘structural transformation of the public sphere’ (Habermas, 1991) in
the eighteenth century.
This ‘roll-back’ began with the twentieth century and the increasing importance of visual
culture in the form of cinema and television, which Guy Debord in 1967 famously identi-
fied as The Society of the Spectacle, and which Theodor W. Adorno (2005: 54) remarkably
called ‘language of images’ and ‘hieroglyphic writing’. The triumph of the image entered
a new stage with digital technology at the end of the twentieth century when software such
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as Shockwave and Flash facilitated the general ‘shift away from prior modes of spectator
experience based on symbolic concerns (and “interpretative models”) towards recipients
who are seeking intensities of direct sensual stimulation’ (Darley, 2000: 3). Despite artistic
projects to re-establish the authority of text within the aesthetic of the spectacle – such as
Michael Snow’s text-film So Is This (1982), and Barbara Kruger’s and Jenny Holzer’s text
installations – text has increasingly been substituted by the visual and spectacle. The latest
example of the anthropophagic process is the fact that the Global Language Monitor (2014)
chose an emoji – the icon ♥ for ‘love’ – as its ‘Top Word’ of 2014.
This substitution occurs not only as the deletion of text by replacing it with images, but
also as devouring the textual by turning text itself into an image – or into a sonic object.
There is a trend in interactive installations to incorporate text as an element of the work that
is not to be read, but to be looked at or played with. Such desemanticisation evokes a ‘can-
nibalistic’ relationship between the semiotic systems of text, on the one hand, and of visual,
installation, or performance art, on the other. However, sometimes these works allow us to
regain the linguistic significance of the text in later operations of reading and interpretation.
Hence some works may be digital art and digital literature at the same time, or, at least,
consecutively – if their audiences and readers are indeed interested enough to engage in an
adventure that aims to rescue their literary ‘prisoners’. The following sections illustrate this
‘cannibalistic’ approach to text by means of a close reading of three examples.
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from above reacts to the interactor’s shadow on the screen. On the other hand, if one reads
the poem, one realises a deeper relationship between the text and the installation. The poem
is about the conversation between bodies. Two of its lines read: ‘At your turning, each part/
of my body turns to verb.’ This relationship between verb and body, between ‘You’ and
‘I’, is mirrored in the installation, in which the movement of the interactor’s body creates
words. However, the poem ends with the lines ‘and yet turn to nothing/It’s just talk’. This
can be understood as a celebration of the aimless conversation, which does not turn into a
linguistic message as a practical result. Such aimless talk reflects exactly what the user does
in his or her interaction with the letters in the installation, which likewise does not lead to
any specific result in terms of a message: it is just play.
The installation turns out to be a performance of the poem from which it gains its
meaning. The text is devoured and metamorphosed as an object to play with. However,
it is important that the ‘dismembered’ text remains readable (in a book, or on the website
for Text Rain), since only its perception as intact poem reveals how the installation has
digested its meal.
It may not come as a surprise that most visitors experiencing Text Rain never look up the
provenance of the text, which is not provided at the installation venue. The majority engage
with the installation only on the level of a joyful play with falling letters and hence miss the
deeper meaning of the installation possible through interpretation of the text. The majority
of interactors are not really interested in putting the text together again and, certainly, to
assemble the text would require not only collecting some of its letters on one’s arm, but also
retrieving and reading it in its original form. While the artists may hope that the audience will
consult the original text to understand the installation, the audience may opt out of doing so
and simply consume the letters as visual, interactive objects.
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My starting place was simple curiosity: What do 100,000 people chatting on the Internet
sound like? Once Mark and I started listening, at first to statistical representations of web
sites, and then to actual language from chat rooms, a kind of music began to emerge. The
messages started to form a giant cut-up poem, fragments of discourse juxtaposed to form
a strange quilt of communication. It reminds me of the nights I spent as a kid listening to
the CB radio, fascinated to hear these anonymous voices crackling up out of the static.
Now the static is gone, and the words arrive as voiceless packets of data, and the scale is
immense. And so my curiosity gave way to my desire to respond to this condition.
(Hansen & Rubin, 2001: 1)
There was a mutual understanding between Rubin and Hansen that their projects should have
a strong social component, which is why they used data from online chats rather than from a
website. As Rubin says in an interview: ‘Internet chat is a strange mirror to look at society. It
reflects something about our society but I am not always sure what’ (Abumrad, 2002). Steve
Johnson, in an interview with Studio 360, compares Listening Post with Google’s zeitgeist
portraits, which show the most prevalent search requests over the year, and hence give an
idea of user search behaviour and contemporary culture (Abumrad, 2002). Jad Abumrad
(2002), in his feature for Studio 360, sees Listening Post as mirroring ‘the mood of the web
in that moment’. Sex, the war on terror, the space shuttle: everything that is obsessing people
on the Internet at that moment enters the room in a stream of text and sound. However, this
installation is more than simply documentation, which already becomes clear from the fact
that only some of the six movements allow actual reading of the texts. As Roberta Smith
(2003: 1) notes, Listening Post ‘operates in the gaps between art, entertainment and docu-
mentary’. There are specific aesthetic qualities that overwrite this installation’s function as
mirror to the zeitgeist.
First of all, one may wonder whether the cut-up method, in which the text is assembled,
and the collage form, in which it is presented, really provide an accurate reflection of ideas
communicated on the Internet. Taking text snippets out of their context resembles rather a
distorting mirror. This aspect of the piece is underlined in the third movement, when only a
very small part of the scrolling text becomes readable, which actually re-enacts the underlying
technique on the screen and underlines – as pars pro toto – the decontextualised status of the
presented text.
Apart from the questionable documentary value of the text assemblage, the way in which
the text appears distracts from its reading. The text is ‘flying by like blood racing through
a vessel, accompanied by the chittering sound of a rainstorm’, report Pop Fizz and Melanie
McFarland (2002). Peter Eleey (2003) speaks of the ‘particularly striking moments the text
washes rapidly across the screens in patterns akin to the topologies created by the movement
of wind across a wheat field’:
At one point, what begins with one phrase builds into a cacophonic deluge of commu-
nication, suggesting a kind of horror vacui in the human psyche. During another act
the text bursts across the screens like a flock of birds alighting, crawling in a Holzerian
manner, like stock quotes.
In addition, the sonic and visual arrangement of the text contributes to the aesthetic thrill:
the darkened gallery space features text pulses of soft blue light, and accompanying waves
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of synthetic voices and sonorous Glass-esque musical chords. There are eight computer
voices emanating from different speakers around the room, separately or in unison, in call-
and-response or round robin patterns. The sonification of the text is in line with the general
aesthetics of the piece – namely, its theatrical effect – which is reinforced by the location
of benches in front of the ‘text curtain’. The theatricalisation makes the text part of a larger
event – that is, dissolves it into the experience of the sonic and visual environment. This
experience has been compared with ‘watching graffiti out of a window of a moving car’
(Abumrad, 2002), or looking at a modern painting, the canvas of which consists of a
curtain of computer screens (Gibson, 2003). Rubin himself compares the ‘giant cut-up
poem’ Listening Post with ‘a kind of music’ (Hansen & Rubin, 2001: 1).
This appearance and arrangement of text lets visitors experience the installation as
‘beguiling, sublime’ (Schmader, 2002), as ‘almost irresistible, like magic’ (Smith, 2003),
as ‘meditative, sublime and elevating . . . hypnotic and captivating’, making it easy ‘to
be lulled into a trance-like state, forgetting the passage of time and the surroundings’
(Huhtamo, 2004: 3). One may conclude that, in the end, the set-up of the installation over-
shadows the text that it presents and actually (mis)uses words as ornament. This ‘misuse’
is the very artistic merit of Rubin’s and Hansen’s work.
At the end of her review, Roberta Smith (2003: 1) wonders whether Listening Post
‘is simply the latest twist in the familiar modernist tradition of making art from chance
arrangements of everyday materials, and is more a result of technological progress than
genuinely new thought’. Smith’s concern is a valid one, because there are many examples
of applied technology that have been labelled art, although they are missing a genuine
idea or artistic statement beyond their actual application. As other critiques note, Rubin
and Hansen ‘do what composers have done for centuries: transform ordinary, overlooked
means of expression into art’ (DeLaurenti, 2002). Rubin describes his position as an artist
with respect to Listening Post as follows:
As an artist right now with the whole prospect of war it’s a very difficult thing to know
how to conceive of a response. And this piece has no political message per se but it is
listening. It is at least an open space.
(Abumrad, 2002)
Rubin’s words explain and justify the withdrawal of the artist and the abdication of a
personal message symptomatic of naturalistic examples of mapping art, which mirror
everyday data found online without adding a specific artistic statement (Simanowski,
2011: 158–86). However, Listening Post not only listens – or transmits the data collected –
but also speaks to its audience, providing a specific message through the way in which
the data are presented. One aspect of its specific manner of presentation is the trance-like
experience, which overwhelms the overt message of the data presented. There are more
metaphors to be taken into account.
Debra Singer, curator at the Whitney Museum, points out that participating in a chatroom
is, while ostensibly social, actually solitary and isolating – ‘just the lone person, you in front
of your keyboard’ – and holds that Listening Post gives ‘a sense of that collective global
buzz. It sort of makes visceral the diversity and the scale of Internet conversations and
exchanges’ (quoted in Balkin, 2003). Singer is absolutely right in that Listening Post indi-
cates the magnitude of virtual communication. As Rita Raley (2009: 31, emphasis original)
notes, ‘“Listening Post” is the crowd, or least a representation of the crowd.’ However, it is
an artificial crowd created by Hansen and Rubin, because Listening Post makes data public
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that are ‘private to a particular community’, as Raley (2009: 27) also notes, referring to
the element of surveillance in this piece. The texts are taken from communities resembling
salons rather than crowds on the street. The crowd presented in Listening Post is the result of
the collage that Hansen and Rubin generate. The crowd represents individual groups, rather
than a crowd unified by the same opinion and intention. Only the combination of all of the
more or less private communicative communities creates the sense of a crowd. The scale of
Internet conversations, the sense of the ‘collective global buzz’ that Listening Post provides,
according to Singer, is the result of a collage of different communications making obvious
their diversity rather than their unity.
Even though Hansen and Rubin (2001) consider the ‘creation of a kind of community
from the informal gathering of thousands of visitors to a given Web site’ to be a by-product
of their Internet traffic sonification, the correlation between the crowd and the individual,
the social and solitary, is perceived as the underlying subject of Listening Post. Although the
piece funnels communication from thousands of chatrooms into the installation space, one
wonders whether this space is another room: thousands plus one. How does the exhibition
space connect to the online world? How does Listening Post talk about its own audience?
There is anecdotal evidence for the relationship between both spaces: ‘Hansen recalls one
showing that amused a silent audience when the installation’s strange song began with a
short solo that loudly asked, “Are there any bisexuals in the room?”’ (Fizz & McFarland,
2002). At least after bringing to mind the given exhibition situation, the audience knows that
it is not the addressee for this question. Nevertheless, the ambiguity of its situation of com-
munication points to the difference between both spaces. The audience of Listening Post is
listening (it is assumed silently) to the presented collection of text snippets, while people out
there are sending messages. The latter sit separately behind keyboards connecting to other
people via the Internet; the former come together in a room, most likely not connecting to
one another in person. Listening Post addresses two completely different situations of crowd
or groups. The text from the Internet – and not only the quoted particular question – asks
people in the gallery who they are and how they connect to each other. The answer may be
that they too connect via chatrooms to other people, which would only affirm the advantages
of the virtual room over the real.
But there is more: the meaning of Listening Post also lies in the texts’ dissolve into sound
or background music. The decontextualisation that Listening Post is undertaking – Rubin
calls the piece ‘a big de-contextualization machine’ (quoted in Coukell, 2004) – makes it
hardly reliable as documentary. This very fact, however, underscores its potential as an
interactive story. Rubin explains that, when everything is pulled out of its original context,
he tends to project around the fragments that he hears, to imagine the conversation from
which the fragment came (quoted in Coukell, 2004). When people listen to messages such
as ‘I am fifteen’, ‘I am alive’, ‘I am lonely and sad too’, ‘I am cooking now for my son’, ‘I
am sexy but not mature’, ‘I am getting tired of Muslims’, ‘I am back’, to quote only from
the ‘I am’ proclamations, they wonder what these messages mean, what their context may
be, and to whom they are addressed, as well as what they are responding to and how they
may have been answered. Thus Listening Post actually has its audience doing more than
listening; it also prompts them to fill in the gaps. The listeners are provoked to use their
imagination; they become co-authors in a kind of delayed collaboration with the unknown
authors from the Internet.
This is true at least as long as the text is presented in a readable way, and as long as
the audience stays with the text and moves through it as reader. The moment at which
the listeners – or visitors – step away from the text is the point at which the linguistic
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phenomenon eventually leaves the centre of attention, giving space to the experience of
sonic and visual effects no longer based on deciphering the text. And that brings us back
to our initial question: is Listening Post linguistic or visual art?
Eric Gibson, in his 2003 review in the Wall Street Journal, compares the experience of
Listening Post with the experience of a painting:
The viewer relates to Listening Post much as he does [to] a traditional painting, that is,
by alternating between the part and the whole. One may back up to take everything in,
then move in to scrutinize a detail – in this case a message on the screen.
Gibson’s comparison of the installation to the traditional medium of painting may intend to
furnish the former with the dignity of the latter, but it is nonetheless misleading. Although
Gibson sees a quantitative change between only the part and the whole, there is also a
qualitative change between two completely different modes of perception. The alteration
between the part and the whole is an alteration between reading and watching. The audience
redirects its attention from the text conveyed to the installation conveying it. The installation
takes on its own life, which is more than the sum of its parts.
What would be the meaning of the transformation from reading to watching – or ‘taking
everything in’, as Gibson phrases it – in the case of Listening Post? Pop Fizz and Melanie
McFarland (2002) describe this change of experience as follows: ‘Close to the screens,
voices and content color the experience more than if you take it as a whole from farther
away, a perspective that makes it look like a raging river.’ What has been text, with its par-
ticular linguistic meaning, becomes the image of a raging river when one steps away. This
change from reading the single text to taking it (in) as a whole is not only a change between
two modes of perception regarding the language of signification, but also a change in the
perceived mood. Reading the single text stimulates us to imagine its context. In this situa-
tion, the reader deciphers the text and connects with it, like a detective or archaeologist. The
reader feels himself or herself to be the agent of this undertaking. Stepping away from the
texts, the letters become a ‘raging river’, to which the visitor feels subjected and inclined to
surrender. The sensation of having control gives way to the overwhelming, ‘hypnotic and
captivating’, ‘trance-like’, ‘sublime’ experience reported earlier.
Listening Post lives a double life as a ‘document’ of online communication – or rather
a ‘giant cut-up-poem’ (Hansen & Rubin, 2001) – and as a sculpture or installation with its
own aesthetic value. As a document or poem, the piece presents text in a readable way. As
a sculpture – a gigantic curtain of screens with ever-changing compositions of dissociated
messages – it uses text as visual and sonic icon to convey the magnitude and immediacy
of virtual communication. Close to the screen, Listening Post therefore may be considered
an example of experimental literature. Farther away, when letters turn illegible, it becomes
visual and sonic art; it exists outside the linguistic paradigm and has to be read like a sign in
visual art or an action in a performance. This transmedial transition is the effect of walking.
Perceiving Listening Post either way lies in the hands (or rather the feet) of the audience.
One may go one step further in understanding the symbolic power of Listening Post.
Although it is debatable to what extent the work mirrors ‘the mood of the web in that
moment’ (Abumrad, 2002), it can be argued that the work tells the story of its history: walk-
ing away from the curtain is walking in time. At its beginning, the Internet consisted only
of words appearing as green letters on a black screen – pretty much the way in which text is
presented in Listening Post. What hyperfiction writer Michel Joyce (1995: 47) said about the
hypertext as an essential feature of the computer – ‘the word’s revenge on TV’ – was equally
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true for the Internet. However, with the arrival of the World Wide Web, people observed the
‘breakout of the visual’ (Bolter, 1996: 258).
This development is re-enacted in Listening Post by walking away from the curtain. The
walk communicates the history of the Internet in two ways. First is that the scale of commu-
nication changes: stepping back widens and deepens the perspective; the single-text screen
comes into sight as part of a grid of 231 screens, demonstrating the organic growth of the
Internet. Second is that the way of communication changes: stepping back shifts the attention
from the text as linguistic sign to the audiovisual environment demonstrating the develop-
ment of the Internet from textual towards multimedial signs. In this perspective, Listening
Post is not only about the content transmitted on the Internet, but also about the way in
which content is transmitted online. It is a linguistic artwork that turns into a sculpture
and allows the audience, in this transmedial transition, to experience time by experiencing
space. Walking backwards from the screen is going forwards in the history of the Internet.
Conclusion
Depriving text of its linguistic value and turning information into an ornament can, as noted
in this chapter, be situated within the aesthetics of the spectacle that is part of the contem-
porary ‘society of the spectacle’ (Debord, 1967). With a perspective more centred in media
studies, the transformation of text from a linguistic artefact to an audiovisual object can also
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The more advanced and rationalized activity [that is, the engagement with text as a
linguistic object] can also have its dream of the other, and regress to a longing for the
more immediately sensory, wishing it could pass altogether over to the visual, or be
sublimated into the spiritual body of pure sound.
Text Rain and Listening Post, as well as The Complete Works of William Shakespeare,
surely carry out such sublimation into the sensory. The text, in its physicality, is stared at in
‘rapt, mindless fascination’, to use Jameson’s (1992: 1) words.
To be precise, what is stared at is the hidden, unexposed, embedded text: the programming
code. The code makes the text – the words falling down in Text Rain and pulled from websites
in Listening Post – appear in a particular, fascinating way, and so, during this process, the code
is in fact exhibited itself. However, we do not stare at the code as an alphanumerical equation,
but rather as a materialisation on the screen or on the scene: the falling, flying text. Staring
at the code processing the text is inter-reliant with stripping this text of its linguistic value.
Blending de Andrade, McLuhan, and Jameson, we can describe the concept in the following
way: the pornographic message of digital media is code devouring text. This can be linked to
N. Katherine Hayles’ (2006: 182) notion about the ‘eventilidation’ of the text in digital media,
whereby each letter is the result of the computer’s processing. While the audience may not
be aware of this ‘eventilisation’ when reading (seemingly) static text on the screen, the ‘can-
nibalisation’ or ‘pornographisation’ of text draws their attention to it. In this perspective, the
pornographic turns into elucidation: making the text illegible makes the code visible.
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Such a conclusion can be arrived at with respect to the three works discussed here and
many other installations employing text as audiovisual objects, as well as with respect to
other genres of digital art, such as kinetic concrete poetry, computer-generated text, and map-
ping art (Simanowski, 2011). In fact, the focus on code may, with the application of the title
of another seminal text by Jameson (1991), even be considered the inherent ‘cultural logic’ of
digital technology. Even though processing in digital media is primarily invisibly embedded
behind the interface, we may say that it is this technology’s natural (narcissistic) intention to
centre stage its own basic material: code work. The shift from the linguistic to the physicality
of text, from the expression of ideas to the thrill of technical effects, demonstrates the desire
for publicity and recognition. This desire, however, builds completely on discipline (that is,
the skill of virtuoso programming), for it is the faultless code that generates the ‘perfect body’
(or ‘visual’) at which we cannot help staring.
The discipline of coding has its counterpart in perception. As the close readings of Text
Rain and especially Listening Post have shown, the thrill of the technical can, beyond sensual
stimulation, also be approached within a hermeneutic model. Although text deprived of its
linguistic value no longer utters a specific message, the way in which such text is presented is
surely meaningful. In the end, the pornographic of the medium lies in the eyes of the beholder:
staring at the materialisation of code can always (and finally should) turn into looking through
it down to its deeper meaning.
Related topics
computational approaches to language and creativity; creativity and technology; literature
and multimodality; silence and creativity
Note
1 The chapter combines passages from earlier discussions of the subjects presented in Simanowski
(2010, 2011, 2012).
Further reading
Bolter, J. D. (1996) ‘Ekphrasis, virtual reality, and the future of writing’, in G. Nunberg (ed.) The
Future of the Book, Berkeley, CA: University of California Press, pp. 253–72.
This essay compares the ‘breakout of the visual’ in the digital world to the relationship between
word and image in the popular press, holding that the word is losing its traditional cultural authority
against the image.
Darley, A. (2000) Visual Digital Culture: Surface Play and Spectacle in New Media Genres, London/
New York: Routledge.
This book explores the prevalence of technique over content and meaning in contemporary culture
with respect to contemporary movies, music videos, and computer games.
Debord, G. (2006 [1967]) The Society of the Spectacle, Oakland, CA: AK Press.
In this essay from 1967, Debord develops his thesis about the increasing commodification of modern
society and the function of the spectacle as a relationship between people mediated by images.
Mitchell, W. J. T. (1992) ‘The pictorial turn’, Artforum, 30(7): 89–94.
In this essay, Mitchell discusses the relationship between text and image, and portrays a movement
of various disciplines in the humanities towards the picture as research subject.
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Language, creativity,
and remix culture
Michele Knobel and Colin Lankshear
Creativity
As the contributions to this book demonstrate, ‘creativity’ means different things to different
people and is valued by them for quite different reasons. While seeking a final, definitive
account is pointless, there is strong support for the idea that creativity involves producing
something that has value for, or is appreciated by, people beyond the creator, which is
regarded as being of high quality or excellent of its kind by those who are competent to
judge, and which is in some way new, innovative, and/or surprising or unexpected.
As is often noted, creativity does not occur in a vacuum; it always arises within some
context, and involves drawing on resources, purposes, challenges, and so on that already exist,
and then doing something that transcends what already exists. As Negus and Pickering (cited
in Thurlow, 2014: 169) state, creative acts are ‘usually shaped by convention’; creativity
involves ‘giving form to the material we draw on and transform, and this cannot be done
without reference to existing rules, devices, codes and procedures’. These materials, together
with the rules, devices, and codes, are the properties and resources of the domain or field of
activity within which the creators work and upon which they draw in order to produce and
innovate. This domain or field is also populated by other participants who are aware of these
same properties and resources – knowledgeable insiders to the field and activity – and it is
they, first and foremost, who appraise and recognise instances of creativity. Of course, the
fruits of creative and innovative production can be recognised, and appreciated, and enjoyed
by all manner of people outside the original field of endeavour to different degrees and in
different ways. But to the extent that ‘creativity’ is a matter of esteemed appraisal, the initial
appraisers are informed insiders to the field.
Three related points about creativity are important for the present discussion. First, it is
important to acknowledge a spectrum of creative production, from major innovative achieve-
ments through to more everyday contributions that constitute incremental improvements,
changes, or originality (Csikszentmihalyi, 1999; Florida, 2012). Secondly, creativity is always
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supported to a greater or lesser extent by others within a domain and by shared cultural stock,
as noted already, and creative achievement often reflects collaborative endeavour by groups
or teams rather than individuals (Robinson, 2011). Finally, those who see creativity as a
defining feature of our times – as integral to meeting contemporary challenges, handling
unpredictability, and as a key to prosperity and advantage – emphasise the importance of a
socialising component to creativity: that creativity can and should be nurtured by providing
appropriate learning contexts and opportunities (Florida, 2012; Robinson, 2011). From this
perspective, the kinds of popular cultural remix practices and ‘communities’ engaged in and
inhabited by research subjects in the studies on which we draw in this chapter can be seen as
important socialising environments for fostering creative capacity.
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‘professionals’ create cultural items for a majority to consume by reading, viewing, and
listening to them), in which the many who ‘read’ the resources of their culture also ‘add
to the culture they read by creating and re-creating the culture around them . . . using the
same tools the professional uses’ (Lessig, 2008: 28). Remix cultures can operate at a large,
nationwide (or wider) scale through to smaller-scale, (sub-)cultural group levels. They
comprise a kind of ‘creative commons’, making resources, advice, and tools available for
contributing to the culture. Remixed additions – especially by amateurs and novices – are
welcomed and encouraged; this is a collective space in which to share, contribute, and use
cultural resources made readily available to everyone.
Digital remix culture is marked overall by a generosity of spirit concerning media resource
sharing, and a willingness to have others take up one’s original work and make something
else of it. At the more ‘micro’ level, fans or aficionados themselves develop specific support
materials and online spaces to resource particular shared interests or passions. There is a
willingness to share content and content sources, and to provide troubleshooting advice and
feedback on remixed works, and to share know-how and expertise with others. Much of this
idea is reflected also in the idea of ‘participatory culture’ (Jenkins et al., 2006).
Language
We view ‘language’ broadly as a ‘set of social conventions, shared by a group of people,
about how to communicate’ or exchange meanings (Gee & Hayes, 2011: 6). This is a help-
ful conception of language for talking about remix and creativity. It admits the full range of
communicative modes and registers, resonating with Kuhn’s (2012) identification of remix
as ‘a digital utterance expressed across the registers of the verbal, the aural, and the visual’.
It also emphasises conventions, which are shared or communal properties and have to be
acquired within contexts of being socialised into proficiency.
Language in this sense self-evidently includes everyday spoken language. It also encom-
passes written language in the ordinary sense of literacy, as well as an expanded sense
of written language relevant to communicating ‘multimodally’ by means of digital media.
Digital technologies function on the basis of foundational programs written in programming
language or code. Once we are at the level of the screen, ‘writing’ with keyboard, mouse,
or touch are all communication modes on the same plane. We click, key, or drag for sound,
for text, for colour, for animation, for whatever. But to communicate meanings successfully
from this plane, we need to master the relevant conventions germane to whatever discourse,
genre, or practice we are in at the time.
Language and creativity intersect at different points and in different ways, which are
nicely illustrated within the cultural worlds of remix. Sometimes, the focus might be on
how language mediates the pursuit of creative ends, such as asking questions or shar-
ing information within a forum. Sometimes, the focus might be on language as the crea-
tive product itself or a substantial dimension of it, as with a work of fan fiction or a fan
film trailer. Alternatively, a digital remixer might employ creative forms of language (for
example poetic language forms) within the pursuit of a larger creative end, which itself
consists in language. Exploring language and creativity in remixing involves considering
all such combinations, and others besides.
Learning to be
The more creative a process and outcome is, the more it will reflect deep learning in a sense
that enables ‘real understanding, the ability to apply one’s knowledge, and . . . to transform
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that knowledge for innovation’ (Gee, 2007: 172). Deep learning involves what Gee (2007)
calls ‘learning to be’ (and not simply ‘learning about’ in the sense of learning facts, and where
they come from and who believes them). ‘Learning to be’ involves taking on an identity –
such as be(com)ing a biologist, or a tailor, or a chef, or some kind of media remixer – and
coming to see the world and act on the world in the ways that biologists, tailors, chefs,
and particular kinds of remixers do. This is so, says Gee (2007: 172), because:
[I]n any domain, if knowledge is to be used, the learner must probe the world (act on it
with a goal) and then evaluate the result. Is it ‘good’ or ‘bad,’ ‘adequate’ or ‘inadequate,’
‘useful’ or ‘not,’ ‘improvable’ or ‘not’?
To make such judgements, learners must develop ‘appreciative systems’ (Gee, 2007: 172)
Appreciative systems
The concept of ‘appreciative systems’ comes from design theory (Schön, 1991, citing Vickers,
1978). When we are creating or producing something within a field of activity, aiming
to get it as good as we can and as right as possible, and perhaps to create something that
is significantly new in the process, we make ‘moves’ in our work, in the light of what we
know and what we have available, and then make qualitative judgements about what we
have done. We make these judgements on the basis of appreciative systems that are relevant
and appropriate to the activity in which we are engaged. These are systems of ‘beliefs,
values, norms, prizings’ (Schön, 1991: 12) that we have developed and which are shared
by groups, affinities, and sometimes by entire cultures. Gee (2007: 172) describes them as
value systems that are ‘embedded in the identities, tools, technologies, and worldviews of
distinctive groups of people . . . who share, sustain, and transform them’. We are initiated
into them, become committed to them, master them, and enact them as a consequence of
taking on identities within fields of activity, striving within those fields, and interacting
with others in the field and heeding their expertise. Fields of remix practice are, precisely,
examples of contexts within which we develop appreciative systems as part of learning to be.
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adventure or quest for player characters to complete, or developing original resources such
as new characters, weapons, enemies, mini-storylines, etc.
Machinima (machine + cinema, with a hint of anime) involves remixers using three-
dimensional video game animation engines and on-screen recording software to create
films. These animated films can be fan homages to the originating game or may have very
little to do with the original storyline. Machinima films can be created using a scripting
editor that enables the remixer to write small ‘programs’, or scripts, for the game engine
to follow and which, once running inside the game, will automate what characters say and
do (see, for example, ScriptEase for Neverwinter Nights). The remixer then ‘films’ this
pre-programmed action and splices these clips together to create a video, adding sound
effects and voice tracks once the editing is done. Alternatively, creators manipulate player-
controlled characters like puppets and record the resulting action, before splicing different
‘takes’ together into a final video.
Anime music video remixes are a popular practice within anime (animated Japanese
cartoons) fanship. Most anime conventions, for example, include AMV competitions or
screenings (Ito, 2010), and many AMVs posted to YouTube attract hundreds of thousands
of views. Anime music video remixes comprise snippets of anime edited together and
synched to a soundtrack of the remixer’s choosing (typically a Western/Euro song). Anime
music video remixes can sample clips from within one anime series or film, or across
several. These short videos use the soundtrack and anime clips to tell a story connected to
the original anime, or a new story altogether, or can convey a message (for example the
remixers’ feelings about war, friendship, betrayal, etc.), or examine characters’ biographies
or relationships in ways that add to the original anime, and so on (Milstein, 2007). The
remixes can be used for social critique or parody, but mainly celebrate the original anime
on which they draw.
Video remix is a large, loose category of different ways of re-editing existing or ‘found’
video into new forms. ‘Shreds’ take an intact music video and painstakingly recreate – in
a deliberately amateur way – some or all of the soundtrack, carefully synching on-screen
action with the new soundtrack to parody the original. Political video remix uses news clips
to create social commentary (for example video of national leaders edited to look like they
are having an affair). Film trailer remixes resequence clips from a film to create a trailer that
presents the film in a completely different light (for example Mary Poppins as a horror film).
Other types include dance, queer, and commercial video remixes, among many others.
Photoshopping involves manipulating images using digital image editing software to create
a new image. Image remixing takes various forms, including adding text to images, creating
photo montages that mix elements from two or more images, changing the image content
itself in some way, and changing image properties (for example changing colours or image
focus, manipulating brightness levels or shading, etc.). Photoshopping is often done for fun or
humour, to express solidarity or affinity, or for political/activist purposes.
Historically, once ‘remix’ entered everyday talk riding on the back of music remix (for
example dub, scratch, rap, DJ, hip hop), and particularly once copyright cases began impact-
ing on media remixers, scholars began applying the term retrospectively to historical cases
such as Shakespeare (Pettitt, 2007), Virgil (Gruber-Miller, 2013) and literary, political, and
philosophical authors at large (for example Frosio, 2013). They reoriented long-standing
scholarship on the ‘borrowings’ of famous figures in terms of what is significant for the
affordances of digital technologies, especially in relation to copyright law and infringement.
Looking beyond the canon and to more recent history, researchers working with a remix
perspective have traced the history of fan fiction in its current form at least to the Star Trek
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fandom from the 1960s (Black, 2008), and of video remix genres such as vidding (Tushnet,
2011) and fan music video genres such as AMV (Springall, 2004) to the 1980s.
Thus the recent history of remix spans analogue and digital technologies. Research
addresses both media, although unsurprisingly the bulk of studies deal with digital remix.
Nonetheless, bodies of research and remix creations from the analogue period drawn
on by authors such as Tushnet (2011) affirm the inventive uses of available tools and
workarounds, and the imaginative, informed, and rhetorically powerful mixing of video
resources, to achieve widely appreciated multimodal narrations prior to digital media tools
becoming the norm.
Similarly, scholars such as Henry Jenkins (1992) do the same work for analogue (print-
based) fan writing. Indeed, Jenkins’ landmark work on ‘textual poachers’ can be read as a
treatise on analogue fan creativity across fan writing, fan music, fan art, and music video
remixing – showing how creativity spans processes and outcomes, as endorsed by the
frame developed in our opening section. Jenkins carefully documents the development and
maintenance of fan practice communities in ways that show how conventions, support and
sharing systems, feedback, and evaluative protocols developed across multiple practices
and genres; he appraises, from the standpoint of a literary scholar and critic, the creative
quality of specific fan works (see, for example, Jenkins, 1992: 177–84); he describes the
‘bringing-into-existence’ of entirely new creative practices and genres; and he captures
specific instances of creative symbol use, such as the appropriation of the / (forward slash)
symbol to name the genre of fan writing focused on same-sex relationships among key
characters (for example Kirk and Spock, or ‘K/S’, within Star Trek fandom).
As noted, however, most research on remix addresses digital creations, which will be
addressed in the central section of this chapter concerning research on remix and remixers.
The most obvious issue concerns copyright and intellectual property law, legal infringe-
ments that may arise for remixers, and the restrictions that Read/Only culture entail for the
development and enrichment of Read/Write culture grounded in the value of creative activ-
ity and production (Lessig, 2008). Ignorance of copyright law and its actual application can
itself curtail remix activity when fear of infringement impedes participation – yet where
the law itself provides some degree of flexibility (for example for educational use) and
where flying beneath the radar is tolerated (Knobel, Lankshear, & Lewis, 2010: 222–3).
Moreover, developments such as creative commons licensing arrangements offer important
alternatives for creating remix. Such alternatives simultaneously enlarge Read/Write cul-
ture, enrich remix communities, and build the conditions for seriously creative production
(Lessig, 2008).
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Most studies investigated adolescents engaged in self-chosen remix pursuits (for example
Black, 2008; Chandler-Olcott & Mahar, 2003; Thomas, 2007), undertaken in out-of-school
spaces such as fan fiction sites and purpose-built online forums, with researchers ‘finding’
their participants online and rarely meeting them in person. Gustavson’s (2008) study of a
turntablist using a school space with permission during breaks and study periods is a notable
outlier. Several studies investigated remix activity within literacy, art, and media classes in
schools (for example Burn, 2009), after-school programmes (for example Ahn et al., 2012),
and universities (for example Dubisar & Palmeri, 2010), while some covered remix prac-
tices of people within larger contexts of being online (for example Ito et al., 2010) and in
whole-community settings (for example Ahn et al., 2012; Diakopoulos et al., 2007; Durga,
2012; Hayes & Lee, 2012; Keegan, 2010). Others analysed texts or sites, such as films
involving remix and remixing remixes (for example Cheliotis et al., 2014; Frølunde, 2011).
To best convey the kinds of insights into language and creativity afforded by this research,
we will briefly render three typical core cases.
Case: Nanako
Tanaka Nanako was one of several anime fan fiction writers whom Rebecca Black stud-
ied on FanFiction.net over a three-year period (Black, 2008). A native Mandarin speaker,
Nanako moved to Canada and began learning English just two-and-a-half years prior to
Black’s study commencing. Nanako had long been a fan of anime and was pleased to dis-
cover the anime fan fiction community on FanFiction.net at age 13, shortly before Black’s
study began. FanFiction.net is an English-dominant, online community in which authors
post their fan narratives and readers can write reviews. Black found Nanako ‘exceptional’
in terms of the popularity of her writing. When the study concluded, Nanako, at age 16, had
‘developed a considerable group of readers and avid followers’ and had ‘over 6000 reviews
of her 50 plus publicly-posted fan fiction texts’ (Black, 2007: 120). These numbers suggest
that Nanako’s work was rated highly by other fans within this community.
Initially, Nanako spent much time reading and reviewing other people’s fan fiction to gain
a sense of how these texts were written and to make connections with other writers before
posting her own stories (Black, 2008). She mainly wrote romantic ‘in-canon’ fanfics, taking
characters from within the same anime and exploring romantic relationships not developed
in the originals. Her first stories drew on models provided by other popular fanfic writers.
Hence one early narrative included pop song lyrics to help to convey mood, reflecting the
influence of one of her favourite fanfic writers (Black, 2008). Later stories were longer, more
complex, used more polished language and refined plots, and also integrated some Japanese
and Mandarin language content. Nanako was learning Japanese at school and found that
including Japanese character dialogue added valuable cachet to anime fanfics. Her stories
also began capitalising on Chinese anime characters, and she wrote their dialogue in a form
of Mandarin (for example a Chinese exchange student who appears in the Card Captor
Sakura anime). At the close of Black’s (2008: 94) study, Nanako explained that she was
planning a crossover fic between Card Captor Sakura and the book/film Memoirs of a Geisha,
to inform readers about Japanese and Chinese history.
Nanako’s earliest stories showed that she understood the remix culture enacted on FanFiction.
net. She used author notes to explain a story, to thank reviewers, and to seek constructive
feedback. These notes showed that she grasped the practice of declaring non-ownership of
characters taken from anime, and the practice of ‘borrowing’ (with acknowledgement) other
fanfic authors’ original characters and remixing them into a story of her own. Her notes
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regularly expressed appreciation for reviewer feedback, and time taken to read and respond
to her stories. Nanako also included Japanese expressions in her author notes, such as
Konnichiwa as a greeting, or gomen nasai to apologise for sloppy grammar and spelling. She
used ‘manga-fied’ emoticons to underscore meaning and to express affiliation with anime
fandom (for example, ^_^, a variation on :)). Including Japanese and anime markers in her
notes helped to cement Nanako’s alignment with other anime fans. While some fanfic aficio-
nados deride author notes, arguing that a story should stand on its own (Black, 2008), Nanako
used her notes as a social space in which to highlight connections with other fanfic authors,
to thank her ‘fans’ for adding her to their ‘Favourite Authors List’, and to acknowledge how
much she appreciated others enjoying her stories. She also understood the value placed on
regularly adding chapters to stories-in-progress and posting fresh stories. Nanako regularly
revised her texts in light of comments and suggestions, again showing that she valued others’
feedback. Likewise, she understood the importance of supporting other writers and regularly
posted reader feedback for others.
Reviews indicated what others valued in Nanako’s narratives. Some commented on nar-
rative developments, for example ‘This is really interesting, the plot is thickening every
minute!’ (Black, 2008: 89). One reader focused on more technical aspects and writing:
‘Congratulations! I deem you another Han Yu Ping Ying champion! :D’, referring to Nana-
ko’s proficiency in phonetically spelling Chinese (Black, 2008: 88). Another wrote, ‘You
use different languages in just the right places . . . it makes the story complete’ (Black,
2007: 131). Many wrote about how much they loved her particular romantic pairings and
her narratives, begging for more: ‘Will the season finale be followed up by a sequel? I
hope!’ (Black, 2007: 131).
To summarise, Nanako drew on existing anime and took up unexplored romantic pair-
ings in fresh, new ways that were valued by her community of anime aficionados. That her
stories attracted so many reader reviewers indicates their perceived quality and popularity
within the community. Nanako’s language use carried her ability to tell a good story and
to achieve an esteemed final product. She also used language creatively within her remix:
characters spoke in Japanese or Chinese (with translations provided within parentheses).
She wove in different genres, for example song lyrics and email messages sent between
characters. She wrote her author notes and narratives with the values of the anime fanfic
community in mind, which meant attending to anime fan preferences, quality of plotlines
and character development (in keeping with the characters as they appear in the original
anime), and observing standards for spelling and grammar. Cases like Nanako’s remind us
that simply researching final remix products risks overlooking important ‘insider’ values,
practices, and interactions that contribute to the quality and take-up of the remix, and how
these play out in creative practice.
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argues, is that the availability of computers, and sound and video editing software, means
that more and more fans see AMVs as something that they can produce themselves for their
own and others’ enjoyment; for example ‘My first video took about two and a half hours to
make and it turned out extremely horrible. But I loved it’, said a remixer calling himself or
herself ‘Gepetto’ (Ito, 2010).
The anime industry has been lenient with copyright laws, seeing these videos as a form of
free advertising and promotion. Typically, AMV remixers are drawn to the practice through
their anime fanship and develop their technical video editing skills along the way, usually by
means of emulating more polished AMVs. ‘Insiders’ to AMV remixing soon become aware
of what constitutes a ‘good-quality’ AMV. For example, clichéd anime + song pairings are
to be avoided – especially Dragon Ball Z anime paired with any Linkin Park song, as one
AMVer found out the hard way: ‘[Experienced AMV remixers] were accusing me of not
being very creative because the anime has been so overdone’ (Ito, 2010). In our own study
of AMV remixing, ‘Dynamite Breakdown’ spelled out key elements of the appreciative
system to which he attends in his own work (Knobel, Lankshear, & Lewis, 2010; Lankshear
& Knobel, 2011). These included: careful synchronisation between on-screen action and the
soundtrack, with serious value placed on being able to lip synch characters’ mouth move-
ments to the song lyrics; ensuring consistent resolution quality across all of the clips used;
matching the chosen song to the kind of anime drawn on, unless a clashing effect is wanted;
recognising the importance of sharing videos and advice freely, and leaving feedback for
others on AMV.org and YouTube; and taking time when creating an AMV and working on
innovative editing techniques, regardless of the software being used, to name a few. Thus,
while AMV remixing is open to anyone, there are nonetheless obvious standards that set
good-quality or innovative AMVs apart from the rest.
Language-wise, AMVs can be ‘read’ as personal interpretations of anime storylines,
especially from a non-Japanese standpoint (Ito, 2010). Dynamite Breakdown works hard
to ensure that he authors an engaging narrative that stands on its own, while at the same
time adding layers of meaning for those familiar with the source anime. Colour and the
mood of a song are used to convey information, too. Dynamite also superimposes words
over clips at times to emphasise the message that he wants to convey (for example ‘Trust’,
‘Courage’). Some AMV remixers use song lyrics and video clips to speak to inequality
(for example the portrayal of women in anime), or to comment on the futility of war and
so on. Lessig’s (2008) point about young people ‘writing with images’ is exemplified in
the world of AMV remixing.
The research of Ito and others suggests an AMV is considered by remixers to be creative
when it has a seamlessness that tells a whole new story or message, but looks as though the
anime was tailor-made for that specific video. Anime fans consider AMVs ‘successful’ when
they evoke emotional and appreciative responses in viewers – because the video resonates
with their own fanship of an anime, the video is thought-provoking, it brings together dif-
ferent anime in innovative ways, or the remixer has used unexpected visual effects to weave
clips together. Ultimately, however, AMV remixing is all about participating in a particular
fandom, regardless of the quality of the remix or the status (newbie, veteran) of the remixer.
Case: Machinima
In machinima, scope for creativity exists at several levels: the story being told; the ways in
which constraints and affordances of the animated actors, props, and settings available are
used by the remixer; and how the ‘aura’ of the original game is built into the story.
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Andrew Burn (2009) documents the case of Britta Pollmuller, an artist, animator, and
teacher, and her work in an after-school programme with a group of 13–17-year-olds as she
helps them to create a machinima movie inside the three-dimensional virtual world, Second
Life. Britta found the automated animation functions (for example the walk cycle), and the
flexibility of being able to create settings and props, and to modify and dress avatars, etc.,
appealing as an animation medium and began teaching herself to make machinima within
Second Life. She learned from members of the Second Life machinima community, and
attended machinima festivals and seminars within Second Life. She participated in an Ed
Wood festival (entrants have 48 hours in which to create a machinima responding to a sup-
plied film title), winning first prize for her horror animation. Britta worked collaboratively
with others to design, script, and film her prize-winning machinima, which influenced her
subsequent approach to machinima work with students.
Britta became involved in the Open University’s (UK) Schome project (school + home),
which owned an island with building rights within the Second Life ‘Teen’ grid. Britta and
her group of teens met in the ‘Teen’ grid for two hours each afternoon, five days a week,
throughout the three-month project. They used much of this time to brainstorm their film
idea, develop props – either finding them in-world or creating them using Second Life’s
building algorithms and scripting tools – and write their script. Burn (2009: 153) says that
they needed to ‘beg, borrow, steal, as well as design, invent and transform’. Britta explic-
itly taught participants filmic language and galvanised the group as a film crew (working
on everything from costume design, through setting up camera shots, to editing, etc.),
which she saw in terms of ‘professional apprenticeship [rather] than amateur production’
(Burn, 2009: 153).
The group created a 12-minute machinima about the 1937 Hindenburg airship disaster
(inspired by an airship that Britta had brought with her from the open Second Life grid and
which was previously her avatar’s home). Britta consciously acted as ‘technician’ for the
group (Burn, 2009: 147), and challenged them to think about what they were filming and
why – especially if it was a topic or ‘move’ that had become clichéd in media or popular
culture. Collaboration on all aspects of their film – down to camera angles and costume
details – was a key element of their work together.
Language played a central role in their virtual world sessions, with everyone using public
and private chat to make decisions to troubleshoot, to get organised for filming that day, to
role play their script development, and so on. They also engaged in learning the scripting
language needed for building items in Second Life, such as understanding prims, vectors,
x, y, and z axes, what it means to ‘rez’ something, and so on. The storyline itself took the
historical narrative of the Hindenburg disaster, and blended it with murder and thriller
genres, to produce ‘a mysterious saboteur who kills a guard and plants the explosive which
destroys the ship’ (Burn, 2009: 148). Burn (2009: 147) construes creativity as being able
to ‘rework remembered or found cultural resources into something new’, attributing this
quality to the students’ machinima.
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literacy studies (for example Thomas, 2007), media studies (for example Ito, 2010),
communication and journalism studies (for example Diakopoulos et al., 2007), and games
and education studies (Hayes & Lee, 2012), in particular. Given that many researchers do
not yet speak explicitly in terms of ‘remix’, it was necessary – as explained earlier – to
identify the phenomenon, in addition to relying on how it is named in order to generate a
substantial corpus of studies to review. That said, an interesting trend exists in composition
and rhetoric studies whereby an overt focus on ‘remix’ and ‘remix culture’ appears to have
gained significant ground in recent years (Church, 2013; Jones, 2015).
Most studies focus on remixers rather than remixes. This is surprising, given the ready acces-
sibility of digital remix productions (videos, music tracks, artworks). It is also advantageous,
however, since our own study of media memes (Knobel & Lankshear, 2007) – one of the few to
examine remix artefacts apart from their creators – revealed limitations resulting from not docu-
menting remixers’ design and meaning-making decisions, values, and strategies. A number of
studies examine sites and ‘affinity spaces’ dedicated to particular remix practices, or to remix
based on fanship associated with particular media or video games (for example Keegan, 2010;
Lammers, 2012; Stedman, 2012). These typically include interviews with remixers or their
forum posts as data. This focus on remixers is a positive methodological trend, because remix
research is not reduced to mere ‘text analysis’, and instead asserts the importance of process,
design, and attention to what is valued within specific remix practices.
The most common research design that we found is case study. These tend to focus on a
single user – for example Barb and her fanfic writing in Trainor (2004); Gil and his turntable
music remixing in Gustavson (2008); Jack and his work in a fan community in Curwood
(2013) – although multiple case studies are not unusual (for example Chandler-Olcott &
Mahar, 2003; Dubisar & Palmeri, 2010; Magnifico, 2012). Ethnography – ranging in length
from twenty weeks to four years – is likewise a popular methodological approach, although
specific cases from these ethnographies are often written up for publication (for example
Black, 2007; Ito et al., 2010; Lammers, 2012; Thomas, 2007). Other research designs include
interview- and survey-based studies (for example Ahn et al., 2012; Diakopoulos et al., 2007;
Stedman, 2012), analysis of online forum posts (for example Hayes & Lee, 2012; Lammers,
2012), and remix video analysis (for example Frølunde, 2011).
Most studies to date have been conducted either fully online or in non-school spaces.
Nonetheless, we found a growing body of studies addressing remix, language, and learning
within formal contexts, such as school classrooms, university coursework, or after-school
programmes (for example Ahn et al., 2012; Burn, 2009; Dubisar & Palmeri, 2010; Lacasa,
Martínez, & Méndez, 2011; Thomas, 2010).
Data collection methods include documenting online spaces through participant observa-
tion and artefact collection, interviews (conducted in person, in groups, via email or Skype,
or instant messaging), surveys, collecting bounded sets of forum posts, and collecting remix
products – including comments or posts about these artefacts. Data analysis methods range
from variants on discourse analysis and systemic functional linguistics, through semiotics
and multimodal analysis, to basic and thematic coding strategies.
Surprisingly, we found no remix studies documenting and analysing what remixers
do as they do it – that is, recording the actual creative process through which a remixer
goes to produce a final, polished remix. This is a serious oversight from the standpoint of
understanding the interplay of language and creativity. Such studies illuminate the specific
design decisions that people make and their reasons for making them at key points in the
process, especially in relation to how they wittingly collocate or juxtapose sound, images,
and shared understandings of the original remix resources in order to create meaning.
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Future directions
While there has not been space in which to develop the theme beyond a mention here,
‘creativity’ is a contested concept in the sense that there are multiple, long-standing, and
competing discourses of creativity. Currently, however, the ‘creative economy’ and ‘crea-
tive industries’ variant probably rules the roost. At the same time, however, it typically
glosses the concept of creativity itself, ignores competing traditions, and subordinates crea-
tive endeavour to a set of instrumental-pragmatic ends. These latter are important, but the
argument from this perspective ends up advocating the integration of historically central
aspects such as literary, artistic, and cultural creativity, with their connotations of intrinsic
worth, into a worldview that rarely gets beyond considerations of economic and technological
growth, and ideas of sustainability compatible with those considerations.
By contrast, research in the area of language and creativity – as reflected in this volume –
resists a reductionist approach and provides an important corrective. Peters and Besley
(2008: 103) conclude a discussion of academic entrepreneurship and the creative economy
with the claim that, in the current conjuncture, ‘we need to creatively revisit “creativity”,
its historical conceptions and its philosophical underpinnings’, and at the same time seek
a better understanding of how some (academic) institutional practices ‘encourage and har-
ness talent in individuals and communities while others constrain or prevent it entirely’.
Over-domination by a single creativity paradigm is likely to constrain or prevent forms of
creative endeavour emanating from alternative value positions and visions of a good life. It
is important to note here that one of the central messages communicated by research subjects
engaged in media remixing is their passion for their interest and the extent to which they
pursue it to the limits as an intrinsic end – as activity in which they live richly, and with a
sense of personal vocation and fulfilment. Whatever the future directions of researching the
intersections among language, creativity, and remix, we would hope to see as many creative
revisitings of creativity as possible.
While the stock of research studies of remix practices remains small and some practices
are minimally represented, we were nonetheless surprised to find no studies whatsoever of
people creating serviceware mashups, or ‘apps’: the process of mixing together two or more
application programming interfaces (APIs) with each other and/or available databases to
leverage what already exists for the purposes of doing something new. Given the ubiquity of
apps, and the disposition of many fans to create apps as resources to be used productively for
building the affinities to which they are committed, and given the interesting ways in which
language – not least language as programming – plays out in creating apps, we anticipate
future research in this area.
Finally, while it may take some time, we anticipate learning within formal institutions to
gradually include opportunities for digital remix creation within their curricula (Erstad, 2013;
Jenkins, 2010), and with such shifts will come further opportunities and incentives for enacting
and understanding how language and creativity may be related, and for improving practice in the
light of what we find. Effective change that genuinely enlarges scope for creative achievement
will not come easily, however, since we are inevitably limited by our imaginations. Some of
the challenge involved is nicely captured by Stedman’s (2012) report of a hypothetical college
course on remix culture, mooted in a 2010 article in the future-oriented magazine Wired under
the description of ‘Seven essential things you didn’t learn in college’ (or school, for that matter).
Stedman (2012: 107) notes how, paradoxically, the course emphasises students writing essays
that analyse remixed cultural artefacts, yet includes only a lone sentence referring to some actual
creative composition activity, which was ‘dropped in at the end of the article’.
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For future directions in formal learning to tap productive links between language and
creativity, there is likely much to be gained from paying attention to cases of creative
achievements by analogue and digital media remixers, and their cultural contexts of
production, learning, sharing, and interaction.
Related topics
computational approaches to language and creativity; creativity and digital text; creativity
and discourse analysis; creativity and Internet communication; creativity and technology;
everyday language creativity
Further reading
Curwood, J. (2013) ‘Fan fiction, remix culture, and the Potter Games’, in V. Frankel (ed.) Teaching
with Harry Potter, Jefferson, NC: McFarland, pp. 81–92.
An ethnographic study of Cassie, a 16-year-old fansite moderator, with an emphasis on writing and
social purposes.
Ito, M., Antin, J., Finn, M., Law, A., Manion, A., Mitnick, S., Schlossberg, D., and Yardi, S. (2010)
Hanging out, Messing around, and Geeking out: Kids Living and Learning with New Media,
Cambridge, MA: MIT Press.
This volume presents twenty-three case studies from a three-year ethnographic study of integrating
new media into their lives and learning within home, after-school programme, and online settings,
with close analysis of group dynamics.
Jenkins, H. (1992) Textual Poachers: Television, Fans and Participatory Culture, New York:
Routledge.
This is the original scholarly account of fan remix practices within analogue participatory culture.
Centred on de Certeau’s concept of poaching, from The Practice of Everyday Life, it draws on
diverse theory to provide close analysis of creative production of media texts.
Peppler, K. (2014) New Creativity Paradigms: Arts Learning in the Digital Age, New York: Peter
Lang.
Peppler surveys research literature on youth digital media production and their interest-driven
learning. Peppler makes research-based recommendations for inviting, sustaining, and supporting
arts-oriented activities within school and a range of youth-oriented project settings.
Thomas, A. (2007) Youth Online: Identity and Literacy in the Digital Age, New York: Peter Lang.
Based on a seven-year study, this book provides rich examples of how young people remix cultural
material within processes of creating identities online. It uses methods of textual, visual, and social-
psychological analysis to describe and understand how participants made sense of their identities
and their locations in wider communities.
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26
Vernacular creativity in urban
textual landscapes
Victoria Carrington and Clare Dowdall 1
Introduction
The urban landscape – the urban design, infrastructure, architecture, and social patterns of
the urban spaces in which we dwell – has always been a message system that proclaims
wealth, political power, and cultural values. Writing in the field of globalisation, Sassen
(1998, 2007) noted that contemporary urban landscapes are shaped by – and therefore tell
the story of – the cultural, racial, and spatial diversifications and contestations that occur
within them. Mitchell (2000: 102), writing about the production and consumption of land-
scapes from the perspective of cultural geography, reminds us that ‘landscape’ is a relational
process: ‘. . . an ongoing relationship between people and place.’ In this chapter, our interest
lies in examining the ways in which texts form a key part of this relational process. We begin
this chapter from the position that the urban landscape is textual, as well as architectural,
characterised by the presence of the printed and visual texts that are arranged in and around
these spaces, contributing in their own way to the deployment of values and identities.
While there have been linguistic mappings of various neighbourhoods (Aalbers &
Rancati, 2008; Backhaus, 2007), explorations of youth geographies (Holloway & Valentine,
2000; Skelton & Valentine, 1998), studies of graffiti culture (Carrington, 2009; Moje, 2000),
and some important early work on developing a semiotic framing of urban signs (Scollon &
Scollon, 2003), the ways in which existing and incoming groups and individuals read, and
then write themselves into, the textual landscape is not yet well documented or systemati-
cally analysed. Surveys such as those focused on linguistic diversity carried out by Backhaus
(2007) in Tokyo and Ben-Raphael and colleagues (2006) in Jerusalem approach the task as a
snapshot of a single layer of text or signage in time, rather than chronicle change over time,
or explore the ongoing relationship between people, text, and place. This chapter and the
research underpinning it have moved to explore this landscape.
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by humans to make sense of their worlds, to position themselves in relation to others, and
to construct identities. He argues that spoken and written texts are moments in which cul-
tural representations, and social relations and identities, are articulated through language and
other sign systems (Luke, 1995: 18). Writing as a critical discourse scholar, Luke privileged
discourse and identity along with issues of power, and considers the text to be the manifes-
tation of these social and cultural forces. Fairclough (1999: 75) similarly argues that daily
life is ‘pervasively’ mediated by texts, noting that, in these circumstances, the ‘politics of
representation becomes increasingly important – whose representations are these, who gains
what from them, what social relations do they draw people into, what are their ideological
effects, and what alternative representations are there?’ This chapter takes Fairclough at his
word, and focuses on texts as they appear in and on selected urban landscapes, forming what
we might call the ‘textual landscape’ (Carrington, 2005, 2009), giving consideration to how
these landscapes can be read in relation to the individuals and groups travelling through
them. In this context, ‘text’ is understood as a publicly visible artefact (Pahl & Rowsell,
2010) that contributes to the materiality of the urban landscape, as well as the creative com-
munications of the individuals and groups who inhabit urban spaces. Interpreting text as a
material artefact is also important in understanding how we live out our lives in communities
and neighbourhoods.
Blommaert (2010) has argued that while the language practices and cultures of communities
have historically been interpreted in relation to stable locations in horizontal sites and spaces,
there is an increasing need to conceptualise these spaces with more nuance and complexity.
Attempting to capture the increasing mobility and diversity of linguistic practices, Blommaert
(2010: 5) argues that ‘every horizontal space (e.g. a neighbourhood, a region, or a country)
is also a vertical space, in which all sorts of socially, culturally and politically salient distinc-
tions occur’. Here, he describes a ‘layered and stratified space’, rather than a one-dimensional
and homogenous place. Thus while every space is horizontal – in which texts are arrayed in
relation to particular types of regulatory, communicative, and transgressive work – it is also a
vertical and layered space, in which a range of social, cultural and political distinctions play
out materially and temporally. This view is also reflected in Scollon and Scollon’s (2003) par-
allel work in geosemiotics. They argue that any urban space is composed of ‘semiotic aggre-
gates’ – that is, multiple discourses competing and overlapping, amplified or silenced by their
materiality and positioning. In essence, Scollon and Scollon (2003: 175–89) identified four
distinct types of discourse in urban spaces: municipal regulatory discourse; municipal infra-
structural discourse; commercial discourse; and transgressive discourse. Focusing on signage
in place, they noted that different orthographies and fonts carry meanings differently. They
also pointed out the fixed or impermanent nature of the sign itself, arguing that ‘once the sign
is in place it is never isolated from other signs in its environment, embodied or disembodied’
(Scollon & Scollon, 2003: 205). Texts are therefore material contributors to the sedimented
histories of each neighbourhood – located in time and place.
Taken together, Blommaert and the Scollons establish that texts are linked to complex sys-
tems of meaning and differential valuations of linguistic and cultural practice. The Scollons’
work argues for the importance of location and temporality, as well as the content of text
in public urban settings, while Blommaert’s work reimagines the ways in which linguistic
communities move through time and space in contemporary globalised conditions. In a study
of graffiti and street art, Carrington (2009: 2) notes that, ‘in urban sites, the sanctioned and
unsanctioned dwell alongside each other, jockeying for attention and space, representing the
views and interests of the often quite diverse individuals and groups sharing and competing
for urban spaces’. Against this background, this chapter uses data collected as part of a study
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Vernacular creativity in urban textual landscapes
of urban textual landscapes to take up these ideas as the basis for a close consideration of text
as an artefact of social practice in two urban environments. Drawing from Blommaert and
the Scollons’ frameworks for considering discourse and its textual artefacts in urban spaces,
we argue that it is important to map and analyse the ways in which the texts written onto, and
displayed within, urban landscapes write individuals and groups into and out of the changing
urban environments in which they live. The chapter reports specifically on data collected
in two sites – one in the United Kingdom and another in the Netherlands – with a particu-
lar interest in the creativity displayed by the various uses of texts. Drawing on data from
both sites, the chapter analyses the material evidence of diverse textual practices, focusing
particularly on evidence of creativity in the textual landscape.
The sites
Two urban sites were selected for exploration: one within the city of Exeter, in the United
Kingdom; and the other in Amsterdam, Netherlands. Each site met a series of criteria laid
out by Lynch (1960) in his study of the lived experience of the city: each area was formed
around identifiable ‘paths’, such as streets, transit lines, or walkways; each had identifi-
able ‘edges’, such as edges of development or walls; each had distinguishable ‘districts’,
or zones; each contained a node point or intersections and crossings; and each had land-
marks such as key buildings, street furniture, or other external reference points. Both sites,
although intrinsically different, met these criteria.
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Victoria Carrington and Clare Dowdall
and high street is populated with large buildings dating from the late nineteenth century.
These buildings are occupied by an eclectic variety of independent shops and civic ser-
vices, including the railway station and its entrance, cafes and restaurants, hair salons, a
handicraft shop, a music shop, a card shop, the entrance to some public gardens, a large
solicitors’ office, County Chambers, and the Royal Albert Memorial Museum.
••Site 2: Amsterdam, Kinkerbuurt
Kinkerbuurt is located in Amsterdam’s Oud West district, comprising an area of 1.70km2
and with a population of around 31,000, representing 177 different nationalities. A
quarter of this population are of Surinamese, Turkish, and Moroccan descent, predomi-
nantly first- or second-generation migrants. This reflects the broader demographics
of Amsterdam, where 45 per cent of the population has non-Dutch parents (https://
en.wikipedia.org/wiki/Amsterdam#Twenty_first_century).
This mixed residential/commercial area is one of the most densely populated
neighbourhoods in Amsterdam. Named after the eighteenth-century lawyer Johannes
Kinker, the neighbourhood was established around 1900 when Amsterdam was experi-
encing rapid expansion following a period of immigration. In the 1970s, the next wave
of immigration saw an influx of Moroccan and Turkish families moving into the area
to occupy cheap housing estates, as simultaneously numbers of ethnic Dutch moved to
other areas of the city. More recently at the time of the study, Oud West had been iden-
tified as an area ‘threatened by long-term unemployment, poverty, a growing feeling of
insecurity, low average education, a homogenous housing supply of poor quality and
only a few public spaces all in a poor state of repair’ (European Commission, 2001)
and a series of resulting investment programmes had led to the cascading gentrification
of some areas, an increasing growth in owner-occupancy, the return of small numbers
of ethnic Dutch, and upgrades to public areas and housing.
Kinkerbuurt sits alongside the main transport and shopping route through the district,
the Kinkerstraat, and is bounded by a set of tramlines, canals, and intersecting main
streets. A number of Turkish and Surinamese restaurants, greengrocers, bakers, carpet
and bric-a-brac stores, and cafes line the street, and the permanent street market that
is a feature of the area provides a mix of traditional Dutch and immigrant goods and
foods. Intersecting Kinkerstraat are a series of smaller streets, with a mix of residential
and small commercial properties that include kitchenware, local restaurants, a pet store,
shoe repair, cafes, and a newsagent. This was the site from which the Amsterdam-based
data was collected.
As a geographic locator, each research zone was selected because it represented the intersec-
tion of main thoroughfares in the identified areas, meeting Lynch’s (1960) criteria. The two
sites, however, have distinctive features: the Exeter site can be described as predominantly
civic and commercial; the Amsterdam site is mixed residential and commercial, with a range of
social housing backing onto a busy commercial and transport main road and shopping district.
Despite their differences, both sites reflect the intersection of diverse groups and individuals,
and provide the opportunity to focus on a range of textual landscapes in motion over time.
Data collection
Using a digital camera, photographic data was collected at each site using a ‘photographic
mapping’ technique. As outlined by Collier and Collier (1986), ‘photographic mapping’
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Vernacular creativity in urban textual landscapes
can act as a baseline to establish the range of textual artefacts present. This mapping was
then used on subsequent site visits and repeated, in order to create a layered view of change
in particular sites. The researchers visited the chosen sites five times in a three-month
period between September and November 2011. In each visit, photographic data were
collected to record and preserve noticeable textual artefacts, potentially making available
detail that is not noticed by an observer operating in real time. This method provided ‘an
absolute check of position and identification in congested and changing cultural events’
(Collier & Collier, 1986: 9), as the researchers revisited the same urban sites. For the pur-
poses of this chapter, the focus was on capturing texts in situ in boundaries and nodes, to
observe instances of sanctioned and unsanctioned text, and to identify textual nodal points
and changes in text over time. Field notes were made to support observations and to raise
questions that occurred at the time of each photographic mapping. Analysis of the photo-
graphic data and accompanying field notes included consideration of the key types of sign/
text photographed, the features of signs/texts photographed, and time-dated shifts in the
display and presence of signs/textual artefacts. Following the working process established
for the study codes, categories and themes were generated out of the photographic data and
observational field notes.
Exeter
In Queen Street, the first impression of the textual landscape is that of a highly regulated
space. ‘Official’ municipal texts dominate and, on initial scrutiny, vernacular trangressive
texts are notable by their apparent absence. Many of the official regulatory texts are particu-
larly prominently placed. These include parking notices and restrictions, mainly relating to
parking fines and warnings. They are made from metal sheets and displayed at eye level on
specially erected posts or attached to existing walls. Important information is often presented
in red (see Figure 26.1).
Civic/municipal texts giving information about the neighbourhood and areas of specific
interest are also evident. These include maps and directions, and information about local
attractions. The maps are displayed beneath laminated screens, where they cannot be defaced,
on purpose-built posts and blocks. The materiality of these formal municipal infrastructural
texts contributes to their official status. However, some official regulatory and infrastructural
texts also appear to have been placed more opportunistically: ‘official’ stickers on lampposts
are used to direct walkers towards the city centre, railway station, cycle routes, and Exeter
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Cathedral (a main tourist attraction). These provide information about routes, distances, and
time to travel. A ‘no smoking’ sticker has been added to the wall of the telephone box, long
after the telephone box was erected. These official texts are made from long-lasting, sticky-
backed, laminated material. They have been attached to the lampposts and street furniture
manually, and are designed to last – to be impermeable to the weather and to unofficial
attempts to remove them. The result, however, is less slick. While these texts are profession-
ally printed and glossy, they do not achieve the same sense of authority as the metal-formed
regulatory and infrastructural texts that sit alongside them.
Commercial texts, in the form of signage and sanctioned advertising, which have been
purchased and displayed on laminated hoardings, are also evident (for example signs and
posters for Exeter Central Station, a coffee shop, a handicraft shop, and a coffee brand).
These also vary in materiality, with some signage being painted or printed, or even chalked
on boards, while the sign for the long-established ‘County Chambers’ office is carved in
stone above its doorway. These commercial texts have a sense of permanence. In addition,
other ‘official’ texts with less permanence are also displayed: in the telephone box, an offi-
cial Samaritans leaflet has been opportunistically placed; outside the museum, temporary
hardboard hoardings cover the red-brick walls as the museum undergoes refurbishment.
Attached to these mainly empty hoardings is a life-sized poster of a Roman centurion and
information about how to access museum activities during the refurbishment. Of note in
what is clearly a larger multimodal textual landscape (Jewitt, 2013) is the absence of image-
driven texts. With the exception of the poster of the Roman centurion, most of the official
texts displayed in Queen Street are word-dominant.
These less-permanent ‘official’ texts sit atop the regulatory and infrastructural tex-
tual landscape. They exist as a superficial layer or sediment of the textual landscape that
occupies a more temporary timescale and materiality than the permanent municipal texts.
Regarded in this way, the positioning and materiality of the full range of ‘official texts’
begins to reflect Blommaert’s notion of landscape as a vertical space, in which linguistic
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practices intersect, and political and social subjectivities compete for attention and authority.
The range of official texts identified on initial scrutiny did not change through the duration
of the study. Municipal regulatory and infrastructural texts, such as parking notices and
maps to the city centre, and the permanent official signage for shops, cafes, and commercial
enterprises (including lawyers, hairdressers, and card shops), remained a permanent and
dominant feature of the textual landscape.
In addition to Queen Street’s dominant ‘official’ textual landscape, initial scrutiny of the
district identified the presence of unofficial textual artefacts too. Graffiti, in the form of tags,
is painted in the telephone box and on street furniture. Slaps – small printed stickers made
by graffiti artists – are stuck to lampposts and traffic lights (Delana, undated). Indepen-
dently produced posters advertising music events, and relocation information, are displayed
in empty shop windows. Stickers advertising ‘spaces available for rent in nearby carpark’
are attached to parking meters, and semi-permanent stencils on the pavement advertise a
competitor to Queen Street’s Exeter College.
Fighting against this trail of unofficial textual activity, some surfaces show evidence
that tags or fly posters have been removed by official or unofficial clean-up operations.
Some stickers have been removed roughly, leaving sticky marks; some surfaces are
newly cleaned. Queen Street is a site of regeneration. At the time of data collection,
the Royal Albert Memorial Museum was covered in plain hoardings while it was being
refurbished, and the railway station entrance was preparing for redevelopment. Conse-
quently, the site could have been appropriated by opportunistic fly posters and guerilla
marketeers. However, what is noticeable in this textual landscape is the apparent absence
of opportunistic flyposting. During the data collection period, the number of posters and
slaps increased slightly, but the museum hoardings remained mainly empty and the land-
scape seemed largely devoid of transgressive, vernacular texts, despite its selection as a
district with potential for this study. On first inspection, this landscape seems so highly
regulated and sanitised that it is almost atextual in relation to the presence of unofficial
vernacular texts.
However, while not initially obvious, of note in the Queen Street district was the increas-
ing presence of slaps (small printed stickers) over time (Figure 26.2). These texts sometimes
overlay municipal texts, while in other places they were attached to bollards and traffic
lights, almost hidden from the view of casual passers-by. Sometimes, they are above eye
level; sometimes, they are placed in quite obscure positions, for example at the back of an
official sign. The slaps displayed in Queen Street are relatively unobtrusive, often much
smaller than a banknote. However, while apparently inconspicuous, closer scrutiny revealed
that some slaps were not merely the independent productions of graffiti artists, aiming to
present themselves in the landscape; rather, these texts were functioning to publicise a
brand or potent message. Distinctive, image-driven slaps for the bands ‘Gecko’ and ‘Cosmo
Kings’ appeared on numerous bollards and other street furniture within the district. These
repeating texts, once noticed by the passer-by, serve to create a witty, vivid logographic
representation working to market products, services, or events.
Further research revealed that some apparently ‘innocent’ slaps carried complex messages.
A slap portraying a comic-strip-style image and the wording ‘This was your life’ was iden-
tified as a tract from the evangelical website Chick Publications (http://www.chick.com).
The slap shows the key image from Chick Publications’ most popular tract, which explains
the ‘Day of Judgement’. This slap would be meaningless to uninitiated viewers, but for
converts to evangelism, and this form of worship and message sharing, the graphic and
text would be meaningful and significant. Another slap positioned nearby simply read
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‘GORF STR’ in tag-style script. This slap is a tag for a well-known and popular street artist
who apparently died early in 2011: GORF was a member of the Cardiff-based Small Time
Rockers (STR) Crew (http://streetswithart.wordpress.com/2012/06/11/upfest-2012-bristol-
str-crew/), whose work is recognised and admired. Whether this slap had been posted as a
tribute or had existed since GORF’s active time as a street artist was uncertain, but along
with the Chick Publications slap it exemplified the notion that, as textual artefacts in a tex-
tual landscape, slaps can exist to do more than merely stake a claim in the landscape. They
have a backstory and intertextuality that connects them significantly to the textual land-
scape and the occupants in it, for whom they have meaning. Equally, these slaps exclude
the uninitiated from making meaning. They are highly complex texts that serve to alienate,
as well as to communicate. Vertically, they are layered over (or under) other sanctioned
textual forms, yet their potential for intertextuality, and to include or exclude, suggests that
these texts are highly connected and contestable by groups wishing to communicate across
local and more global spaces.
The existence of Queen Street’s slaps, secreted amidst a regulated and sparse textual
landscape, raises questions about the layering of texts and the behaviours of text producers
in a given textual landscape. Over the duration of the study, occasional new slaps and tags
appeared in Queen Street. However, their witty positioning, high on lampposts or behind
the ‘official’ face of street furniture, rendered their potential for unofficial communica-
tion extraordinarily subtle. When these texts are made visible, they provide evidence in
Queen Street of some contestation for space and audience using textual forms. The voices
of the text producers are cleverly concealed here, perhaps to avoid attention from the official
forces, who may seek to remove them.
This apparent lack of vernacular texts contrasts starkly with the landscape in Kinkerbuurt,
where vernacular texts abound.
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Kinkerbuurt
Any contemporary urban setting is the site of many overlapping and competing imagined
communities (Anderson, 1991) and narratives. Many of these can be read on the textual
landscape. For the Kinkerbuurt neighbourhood of Amsterdam, many of the larger stories are
about immigration and change, of cooperation and tension between individuals and groups.
The shared public space of the textual landscape is a location where these stories can be read
and interpreted. Kinkerbuurt is a mixed economy area, with residential housing, large-scale
commerce, and smaller local business rubbing up against each other. Reflecting this, there
is a mix of commercial, informational, and commercial signage clearly displayed. There
is also a range of vernacular and unsanctioned texts on display, contributing to the textual
landscape.
Informational signage on council bins provides details on recycling and contact infor-
mation. Where appropriate – for example informational text identifying the bicycle lane,
parking sites, or rubbish bins – images are used. The TNT postbox located on the street
corner displays a semi-permanent sign – in Dutch – outlining mail pick-up times; parking
meters provide information on parking costs and directions about how to pay; residences
have signage on their letterboxes that either encourage or discourage ‘junk’ mail. Commer-
cial signage is readily visible: location, colour, and font combine to attract attention. Shop
windows display a mix of commercial and informational text, advertising goods, as well as
providing information on, for example, the availability of wi-fi. Council power substations
have commercial advertising spaces, such as poster frames, permanently attached to their
backs, while local newsagents shop windows display posters advertising council-funded
cultural events.
Non-sanctioned and/or non-authorised texts abound. They exist simultaneously on and
with the authorised texts visible in the landscape. Vernacular and non-sanctioned texts are
often more complicated than they initially appear. For example, commercially produced pro-
motional stickers masquerade as slaps: a sticker on the pole holding a street sign promotes the
San Franciso-based indie reggae/hip hop collaborative and label ‘Audiopharmacy’; another
street pole atop which is an official sign is covered in smaller hand-made stickers, which
provide often opaque commentary and messages; an exchange box is the site for a ‘Hello,
my name is . . . ’ sticker and some tags. Examples of sticker bombing and guerilla marketing
abound. Further along, on a crossing on the main street, an anti-fur sticker combining English
‘Fur is sick, not chic’ and Dutch ‘Respect voor dieren.nl’ is attached to a street-crossing pole.
Not only does the sticker mix and match English and Dutch, but it also overlays a well-known
animal rights agenda with a commercially operated veterinary practice. There are small stick-
ers promoting the Dutch DJs ‘Girls love DJs’ and the Amsterdam Student Association on
multiple lampposts. In fact, it seems that, for every official text, there are multiple stickers
piggybacking on the key location, materially different and speaking to a different audience.
Here, the texts are sedimented in terms of placement in time, but also in terms of to which and
for which audiences they speak.
Taggers have also left their mark on the neighbourhood (Figure 26.3). Shop blinds, flower
markets, council bins, exchange boxes, and bicycle baskets around the neighbourhood have
been tagged. The residential properties, however, appear not to have been targeted across
the time frame of the data collection.
The textual landscape of this area also contains home-made, one-off signage, such as lost
cat announcements, and messages taped to doors for delivery people and visitors. On one
street, a construction site is cordoned off on one side by a tall wooden temporary wall that is
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covered with fly posters (Figure 26.4). Colourful posters with eye-catching fonts and visual
designs are on repeat display along the fence, drawing attention to DJs, gigs, clubs, and
other events. Over the course of the data collection, almost all of the signs were replaced or
covered up multiple times, and as a result the wall is sedimented with torn and faded posters
layered one over the other. The depth of each flyer under the more recent layers signals its
relative age. As each set of posters starts to wear, the older layers are revealed.
These fly posters and home-made messages are ephemeral texts, with a fragile materiality,
designed to send a message that has a time limit. Interestingly, ephemerality does not always
mean home-made. The fly posters are commercially produced en masse and act to attract the
attention of passers-by to commercial events such as concerts, plays, and festivals. They are
all, however, designed to be disposable, with a certain redundancy built in via the materiality
of their design and their multiple nature. These disposable texts located in high sedimentation
locations feature a mix of English signs and Dutch language. These signs – concert/event fly
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posters in particular – mix fonts and colours along with languages. There is rarely, if ever, a
single poster. The posters are glued to the fence in large numbers, in a set. Part of their strik-
ing visual imagery is linked to their display in multiples. In this site, these professionally
produced texts mixed English and Dutch, speaking to an imagined community of bilingual
youth interested in clubs and events taking place in other areas of Amsterdam. There is
a distinctive difference in materiality, audience, and temporality in this sticker signage.
While civic and municipal signage is designed to be relatively permanent in situ – long-term
mounted and highly visible (for example street signs, rubbish bins, crossings) – the small
stickers appear on them like fungi or parasites.
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commercial and religious agencies voice their own logics of authority in the same spaces
using multiple ‘slaps’. Both types of text refer to authority that sits outside the actual site:
municipal authority resides in the local or district council, which itself references national
legislation. Commercial texts, from the more obvious advertising billboards to the guerilla
marketing slaps, reference products and activities that are predominantly accessed outside
the location in which the texts are located. In the Kinkerbuurt site, in addition to municipal
centres of authority, commercial organisations, indie popular culture, and individuals are
referenced as sources of legitimation for texts.
There are real issues of temporality involved in the ways in which textual landscapes build
over time. While the municipal and larger commercial texts have longevity in the urban
landscape, the more ephemeral texts come and go as their messages outlive their purpose
or audience. Vernacular creative texts often have a limited lifespan. For one thing, these
ephemeral texts are materially different from the permanent authorised texts that take up
dedicated spaces. Some of these vernacular texts are made of paper and attached to other sur-
faces, piggybacking on the space offered by the more permanent texts. Others are written in
paint or ink and use the surface of buildings as spaces on which to write, ignoring whatever
else is placed there and often overwriting existing forms of authorised text, all fading and
weathering over time. Some of these vernacular texts are layered over each other, forming
sediments and textual echoes. Some, but clearly not all, of these vernacular texts are contes-
tational. Graffiti tags applied to existing authorised texts – on postboxes and shop shutters,
for instance – may well be challenging their authority, but simultaneously they are claiming
space and speaking to a particular audience (Carrington, 2009). Thus the textual landscape
is formed by a juxtaposition of authorised, long-term stationary texts with the cacophony of
temporary and ever-changing vernacular texts that operate at different scales and speak to
fluid and mobile readers.
Geographically, the positioning and incidence of official and non-official texts is also of
note. In particular, the Queen Street site, despite the opportunities provided by the regen-
eration of the site for flyposting and graffiti, seems almost sanitised. An aesthetic of clean
urban space prevails. Official municipal texts dominate the landscape and unofficial texts
are almost concealed from the unenlightened passer-by. In this relatively atextual space,
little stickers and slaps work very hard to contribute to subtle webs of intertextuality that
move communication from the local to the global. Here, alongside the existing forms of
graffiti and tagging, new forms of counter-transgression, whereby a range of commercial
and non-commercial organisations communicate complex messages using stickers and slaps,
can be recognised. Insider knowledge is required to read and contribute to this urban textual
landscape, which both includes and excludes. The use of space and the act of concealment
contribute directly to these subtle acts of contestation.
Concluding thoughts
As Blommaert (2011) argued, there is an indexicality of texts in these urban textual land-
scapes. Every space is a layered space – socially and materially – in which different texts
speak to different audiences in different ways, and invoke differing norms and authorities.
As part of this, the textual landscape is a cauldron of creativity, as people and texts interact
across and within these different scales and layers. In Blommaert’s terms, these differing
forms of text percolate at different scales – that is, they have validity and meaning at differ-
ent scale levels. A poster for a lost neighbourhood cat operates at a very local scale, which
may stretch only for a few streets or even houses, while a municipal traffic sign is linked
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to a broader, potentially globalised, scale by its connection to other like signs at the city,
national, and international levels.
The textual landscape is a vibrant and creative space that swirls around the permanent
fixtures of the urban environment. The municipal and regulatory signage acts as static and
long-term structures on and around which entire ecologies of vernacular texts circulate, com-
ing and going at different rates of decay. The messages of both forms of text are designed to
pull the attention of particular audiences within particular time frames as they move through
these landscapes. The municipal and regulatory texts are fixed in place, and are constructed
materially to last indefinitely. Once this work is done, these texts are replaced by newer
messages and texts that may speak to the same, or differing, audiences. The materiality of
these ephemeral vernacular texts makes this sedimentation of meaning and moment in time
possible. The limited lifespan of these texts and their often smaller size in comparison to
the regulatory signage amongst which they dwell requires that they are responsive and ever-
changing. This rapid layering and turnover of fleeting text fuels a vibrant and creative zone.
As Anderson (1991) noted in relation to nations, cities and their various neighbourhoods
are imagined communities, as well as physical spaces. They are hauled into being by the
creative processes and by those who move through them. These layers of text, official and
vernacular, contribute to the identities and identity practices of the individuals and groups
who engage with them and to the landscapes that they occupy.
Luke’s (1995) work around the role of texts in the construction of identities, and the dis-
tribution of social and cultural power and authority, reminds us that everyday engagement
with these urban textual landscapes does, in fact, matter. It matters who is represented in these
texts and who is not. It matters that some individuals and groups find themselves reflected
only in the ephemeral vernacular and unsanctioned texts identifiable in the landscapes around
them. It matters that some centres of authority are accessible by the individuals and groups
traversing this landscape, while others are not. It also matters that the temporality of these
differing texts sends messages about what really counts in our social spaces. Equally of note
is the sense that transgression through text production and distribution is becoming appro-
priated by new organisations, as the producers of pseudo-unofficial textual forms (religious
and political messages), in an attempt to beguile an insider audience, use stickers and slaps
to communicate their messages. The key message of this chapter is that textual landscapes
are an important window into the social and cultural patterns of the communities that create
and occupy them. As Luke (1995) would remind us, none of the texts in these landscapes are
neutral: the seemingly immutable regulatory signage draws from local, national, and interna-
tional authority, seeking to naturalise particular power distributions; the glorious cacophony
of vernacular texts speaks to a range of different audiences and references numerous alternate
authority sources – and yet each of them is attempting to build an imagined community.
The research made it clear that a key feature of these landscape are the texts that form,
decay, and are replaced in cycles that exist outside municipal and regulatory channels. These
texts and the vernacular creativity that spawns them are important barometers of everyday
life in these neighbourhoods, and the ways in which individuals and groups engage with
each other and the larger imagined communities (Anderson, 1991) to which they are allied.
As such, they should not be overlooked nor their importance discounted.
Related topics
creativity and discourse analysis; language, creativity, and remix culture; literature and
multimodality
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Note
1 The project ‘Urban textual landscapes: Diversity and change’ was funded by a United Kingdom
Literacy Association (UKLA) research grant.
Further reading
Backhaus, P. (2007) Linguistic Landscapes: A Comparative Study of Urban Multilingualism in Tokyo,
Clevedon: Multilingual Matters.
This is a key text that analyses signage in positioned locations, specifically Tokyo, to build an
analysis of the dynamics of contemporary multilingual urban contexts. Backhaus constructs a
detailed and fascinating analysis of contesting, overlapping, and diverse language use that shows
clearly the complexities of urban linguistic landscapes.
Blommaert, J. (2011) The Sociolinguistics of Globalization, London: Cambridge.
An important text in the field of sociolinguistics, with implications for a range of other fields,
Blommaert’s work addresses issues around language use and power in an era of increasing mobility,
globalisation, and cultural/social change. He makes a case for the decline of traditional modernist
sources of power and legitimacy for language use, arguing instead that we are now deeply embedded
in an era in which new sources of legitimacy and new priorities around language use are emerging.
Pahl, K., and Rowsell, J. (2010) Artifactual Literacies: Every Object Tells a Story, New York: Teachers
College Press.
Kate Pahl and Jennifer Rowsell make a compelling case for looking beyond our cultural bias to
written text in order to engage with the powerful discourses embedded in material culture. They
propose a social semiotic, multimodal approach to understanding language and literacy practices in
contemporary culture, engaging in innovative and important work.
Scollon, R., and Scollon, S. (2003) Discourses in Place, London: Routledge.
This text was, and remains, ground-breaking, both theoretically and methodologically. Scollon
and Scollon argue that public texts, such as road signs, advertising signage, logos, and municipal
signage, can be understood only in their location and by seeing them in relation to the social,
cultural, and physical context in which they are placed. It was one of the first theorised studies to
explicitly consider the materiality of text and the ways in which it contributes to urban life.
References
Aalbers, M., and Rancati, S. (2008) ‘Feeling insecure in large housing estates: Tackling Unsicherheit
in the risk society’, Urban Studies, 445(13): 2735–57.
Anderson, B. (1991) Imagined Communities: Reflections on the Origin and Spread of Nationalism,
London: Verso.
Backhaus, P. (2007) Linguistic Landscapes: A Comparative Study of Urban Multilingualism in Tokyo,
Clevedon: Multilingual Matters.
Ben-Rafael, E., Shohamy, E., Hasan Amara, M., and Trumper-Hecht, N. (2006) ‘Linguistic landscape
as symbolic construction of the public space: The case of Israel’, in D. Gorter (ed.) Linguistic
Landscape: A New Approach to Multilingualism, Clevedon: Multilingual Matters, pp. 7–31.
Blommaert, J. (2007) ‘Linguistic scales’, Intercultural Pragmatics, 4(1): 1–19.
Blommaert, J. (2010) Sociolinguistics of Globalization, Cambridge: Cambridge University Press.
Blommaert, J. (2011) The Sociolinguistics of Globalization, Cambridge: Cambridge University Press.
Carrington, V. (2005) ‘New textual landscapes, information, new childhood’, in J. Marsh (ed.) Popular
Culture: Media and Digital Literacies in Early Childhood, London: Sage, pp. 13–27.
Carrington, V. (2009) ‘I write, therefore I am: Texts in the city’, Visual Communication, 8(4): 409–25.
Collier, J., and Collier, M. (1986) Visual Anthropology: Photography as a Research Method, rev’d
edn, Albuquerque, NM: University of New Mexico Press.
Delana (undated) ‘Graffiti designs and styles: Tagging, bombing and painting’, Web Urbanist.
Available online at http://weburbanist.com/2009/09/24/graffiti-designs-styles-tagging-bombing-
painting/ [accessed 13 May 2015].
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Creativity in
second-language learning
Tan Bee Tin
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Main focus Some key findings from general creativity research Studies related to second-language learning
Person approach
Focus on characteristics of Characteristics of creative individuals include broad interests, attraction Studies investigating relationships between
creative individuals to complexity, curiosity, risk-taking, tolerance of ambiguity, individual creativity and second-language
imagination, high energy, independence of judgement, autonomy, learning (e.g. Albert, 2006; Ottó, 1998)
and intuition (e.g. Barron & Harrington, 1981)
Product approach
Focus on characteristics of Characteristics of creative products include novelty, appropriateness, Studies analysing the formal and functional
creative products usefulness, social acceptance, transformation, surprise, and problem features of creative texts, and promoting
solving (e.g. Amabile, 1996) the use of creative texts and notions of
creative competence in the second-language
curriculum (e.g. Carter, 2004; Cook, 2000)
Process approach
Focus on the process Some processes involved in creative thinking include: chaotic and Studies identifying the processes that students
people go through in ordered thinking (Finke, 1996); combinational, exploratory, and undergo in creative tasks and their
creative tasks transformational thinking (Boden, 2001); and idea generation and contribution to second-language learning
idea exploration phases (Finke, Ward, & Smith, 1992) (e.g. Tin, 2011b)
Environmental approach
Focus on situational Positive external features contributing to creativity include freedom, Studies investigating different language learning
features that contribute autonomy, good role models and resources, encouragement for opportunities in different creative language
to or hinder creativity originality and innovation, freedom from criticism, and tolerance of learning task types, including of:
failure (e.g. Amabile & Gryskiewicz, 1989) constraints internal to creative tasks vs free tasks
Negative external features hindering creativity include time pressure, (Tin, 2011b, 2012, 2013)
competition, unrealistic expectations, constraint, lack of recognition rule-based games vs role play (Kim & Kellogg,
for originality, and lack of autonomy and resources (e.g. Runco, 2004) 2007)
Positive internal task-related features contributing to creativity include play episodes vs non-play episodes (Pomerantz
disciplined and imaginative use of task constraints (e.g. Stokes, 2008) & Bell, 2007)
(Cook, 2000; Maybin & Swann, 2007). The focus of many language creativity studies has
been on describing the finished product rather than identifying the process involved in pro-
ducing creative texts. Numerous studies have described formal and functional properties of
creative texts produced in various contexts ranging from literary to everyday contexts, from
classroom to workplace communication. Although some studies have examined the cogni-
tive processes, their focus is often on the ‘reader’, exploring the processes through which
the reader goes in interpreting creative texts (finished products) (see, for example, Maybin
& Pearce, 2006) rather than investigating the processes that the social actor undergoes in
producing such texts.
The findings of product-oriented language play studies have made contributions to second-
language curricula in terms of language learning objectives and the nature of language to
be reflected in language teaching materials. However, less attention has been given to the
design of tasks, the cognitive processes involved in creative thinking, and the conditions in
which creativity can prosper. As Tosey (2006: 30) suggests, as language educators, ‘we may
not need to create “creativity” so much as generate conditions in which it can flourish’. To
understand the conditions in which creativity can thrive, we need to consider the processes
involved in creative thinking.
Vygotsky (1971), taking a process approach to creativity, calls for studies that focus on the
creative process in motion. A researcher cannot trace the creative process back from the fini
shed product because ‘the product has crystallized the process in such a way that obscures
the process’ (Vygotsky, 1971, cited in Moran & John-Steiner, undated: 7). Both product
and person approaches to creativity seem to deal with the fossilised outcome (either in the
form of a creative person or a creative product) of a creative process that has already been
completed and do not provide answers to how that particular creative outcome happened.
Many language play studies in second-language contexts leave several key questions
unanswered, specifically questions regarding why and how play tasks contribute to the
production of rich, complex language. Apart from describing learners’ performance in play
tasks, those studies do not fully clarify the processes by which learners arrive at more
complex language in some play tasks as compared to other tasks. They do not fully detail
the conditions and task features that might have led to the qualitative difference in learner
language. For example, Pomerantz and Bell’s (2007) study shows a qualitative difference
in language produced between the language play episodes and non-play episodes/transac-
tional talk. In play episodes, learners exhibit richer use of language at both syntactic and
lexical levels. Kim and Kellogg’s (2007) study, on the other hand, compares the language
quality produced in two different play tasks: role plays and rule-based games. Their study
shows that rule-based games produce more complex linguistic products – more complex
discourse structures, more negotiation and co-construction of messages, and more complex
language patterns. However, they still do not answer the question of why some play task
types, such as rule-based games, lead to more complex language patterns as compared to
other non-play, transactional episodes or role-play activities.
In this chapter, following the cognitive approach, I use the term ‘creativity’ to refer to the
processes involved in creative thinking – that is, the process involved in generating new and
valuable ideas. Three critical questions are explored, as follows.
1. How does creativity, as the process of producing new ideas, contribute to second-
language learning – in particular, the emergence of rich, complex language?
2. What are the processes involved in creative thinking and producing new valuable ideas?
How do new ideas emerge?
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3. What are some conditions that can promote creative processes that, in turn, can contri
bute to the development and transformation of learner language? Why do some language
learning tasks lead to the emergence of complex language patterns and new ideas, whereas
others do not?
These questions are explored with reference to various key theories such as the cognitive
approach to creativity as process, emergentism or the complex/dynamic theory of creativity,
and Vygotsky’s view of creativity and development. The various issues discussed are also
illustrated with a sample analysis of pairwork discussions during two different language
learning tasks.
So how might we create conditions for the co-emergence of complex1 language and new
knowledge? To help us to answer this question, the next section takes a closer look at the
nature of emergence and creativity as process. How new ideas emerge has been the focus
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of creativity researchers taking the cognitive psychological approach and the complex/
dynamic systems approach.
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Emergence takes place during the process of self-organisation in complex systems. This
arising or emergence of new properties is neither predictable in advance of, nor deducible
from what came before or from, lower or micro-level components. Thus an emergent new
phenomenon can be described only after it has manifested. A complex system requires mul-
tiple interacting agents, components, or basal elements. The repeated interaction between
these multiple agents over time within a (usually simple) set of rules (often known as the
system’s ‘sensitivity to initial conditions’) gives rise to the emergence of new complex
patterns. These new patterns, once emerged, become part of the complex system, giving rise
to further emergence at the higher level.
The relationship between lower level and higher level properties in a complex system is
non-linear: a small change can have a big impact on the system as a whole, whereas a big
change may have little impact. The relationship is also dialectical or dynamic – through
repeated interaction, lower level components affect the system as a whole and are in turn
transformed.
Emergence is also associated with the arising of attractors that are not pre-given. New
attractors show themselves when a dynamic system bifurcates, giving rise to both a quan-
titative and qualitative change. These new attractors dominate the system, allowing for the
emergence of something radically novel in comparison with what came before.
This arising of radical novelty, which characterises emergence, involves taking advantage
of accidental occurrences or random events, which are required for the system to bifurcate
and for new attractors to appear.
However, not all knowledge systems are complex. Researchers make a distinction between
ordered (simple or complicated) systems and complex, unordered systems. Snowden (2002)
notes that, in an ordered system, various components that make up the system have a fixed,
linear, cause-and-effect relationship. Both the system’s components and all of their relation-
ships are known, knowable, and definable. Cause and effect can be separated, and we can
predict and control outcomes in such ordered systems. However, a complex system has many
interacting components. Both the components and their relationships are not fixed, but are
changing: ‘Cause and effect cannot be separated because they are intimately intertwined’
(Snowden, 2002: 14).
Although emergence of new knowledge in complex systems is unpredictable, it can be
identified, influenced, and reinforced. For emergence of new complex ideas and language
patterns to take place, language learning tasks need to create a complex system that com-
prises multiple interacting components and a set of rules (initial conditions), which can seed
the emergence of patterns, affecting the patterns of interaction, allowing the interaction to
create coherence and meaning. Designing tasks plays an important role, and it is important
to consider what sets of rules or task features are likely to disrupt, reinforce, and seed the
emergence of new, complex patterns. Do students come up with less complex language in
some language tasks with looser formal constraints (such as role plays, transactional, infor-
mation-gap tasks) because the set of rules desirable for complex systems are missing, and
because such language tasks create an ordered system made up of known, knowable com-
ponents and predictable outcomes? Do some tasks create order and predictability, whereas
others enable complex dynamic interactions and radical change? To understand this, we
need empirical studies that investigate the process of creativity-in-the-making in different
language learning task types with different levels of constraints and rules. We need studies
that examine the effect that constraints, rules, and initial task conditions have on creativity
and emergence.
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Creativity-in-the-making: A study
Background
The study reported here is a replication of a study that I conducted (Tin, 2011b). The data
were collected and transcribed by Tzu Ning Huang (2013). The tasks used in the study
were jointly designed. The findings reported in Tzu Ning Huang (2013) are similar to
my earlier study, showing that, in tasks with high formal constraints, students engage in
more negotiation, exploration, and transformation of not only ideas and meaning, but also
language. Here, the data are reanalysed, paying particular attention to the emergence of
new meaning and language patterns. The process that the pair undergo is detailed with
reference to various issues discussed so far in this chapter to illustrate how creativity takes
place (or does not take place) in two language learning tasks with different sets of initial
rules, constraints, and conditions.
Participants
The participants, N and S, were non-native English-speaking Taiwanese students in their
final year at a university in New Zealand. At the time of data collection, they had been in
New Zealand for about five years. They were both aged in their early 20s and had been
good friends for several years. They were used to speaking Chinese when they met. The
study was conducted at N’s home in one evening. N and S had not yet had dinner when they
performed the tasks and the feeling of hunger often popped up during their discussions. The
main data used here were the final written products and the transcripts of their discussions
during pair writing tasks.
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Task design
The pair engaged in two types of task: acrostics and similes. For acrostics, they were shown
some examples of acrostics and a brief explanation was given in Chinese concerning the
rules of acrostics:
•• the formal constraints – that is, the requirement to start each line with the letter of the key
word provided; and
•• the semantic constraints – that is, that the poem produced must be related to the key word.
In the simile task, they were also shown some examples of similes and were given a brief
explanation in Chinese – that is, they needed to provide two reasons for a given simile (‘Hope
is like parking spaces’). The given simile was randomly generated before the data collection.
The two tasks differed in their initial conditions and rules: while the acrostic task had
higher formal constraints in addition to semantic constraints, the simile task had looser
formal constraints. In the simile task, the pair needed to expand the pre-given relationships
between the two concepts: hope and parking spaces. In the acrostic task, they were merely
provided with the key word time, and no other concepts and relations were given. The simile
task was similar to many language learning tasks in which learners were required to talk
or write about a pre-given topic freely, providing specific details or reasons in support of
the topic (in this case, in what way ‘hope is like parking spaces’). However, in the acrostic,
they could not freely write about time because their thinking was constrained by the formal
requirement (the need to start lines with letters from the key word).
Data analysis
Table 27.2 illustrates the two poems produced by the pair.
The finished products by themselves do not give clues about the way in which the ideas
and language are formulated. To understand the process through which the pair went, the
transcripts of their discussion need to be examined in detail (see Appendices A and B). In
both tasks, N and S spoke mostly in Chinese, and the translation of their discussion is typed
in italics, while the English words that they used appear in roman font.
Introduction
The pair took about 17 minutes to write the acrostic (see Appendix A). The process through
which they went can be divided into two phases: idea generation (lines 1–61) and idea
exploration (lines 62–166).
Acrostic Simile
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In the first phase, they generated words randomly and engaged in exploration at the lexi-
cal level. They also generated new self-invented rules and constraints, such as ‘changing an
angle from thinking about words to time-related behaviours’ (line 50), ‘categorising words
into categories’ (line 62), and ‘starting with the biggest group’ (line 97). These self-imposed
constraints/rules emerged as they carried out the task and were not planned in advance.
Words (pre-inventive forms) were randomly generated without knowing what they would
be used for. The pair also freely generated words not necessarily starting with the letters
of the key word, thus slightly transforming the formal requirement of the task. A complex
system requires many interacting agents/components and it seems that, by engaging in ran-
dom exploration of words, the pair’s performance demonstrates one of the features of the
working of a complex system.
In the second, idea exploration, phase (lines 62–166), the pair engaged in exploring and
transforming the ideas generated both at the lexical and syntactic levels within the formal and
semantic constraints of the task. Along with the meaning, the syntactic structure emerges.
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from words generated in the earlier lines or from the pair’s experience. The words generated
seem to serve as ‘pre-inventive forms’ (forms generated without knowing what they will
be used for), which in turn serve as the ‘multiple interacting agents’ that a complex system
requires if emergence of new knowledge is to take place.
In lines 96–99, N notices that they have more words in group 2 and proposes a new rule that
they start with the biggest group. She also notices that ‘they are all time-related’ (line 99).
In this way, the pair start exercising ordered thinking, and attempt to generate new ideas
through purposefully analysing and extending existing ideas. Their thinking is highly structured
and directly connected to previous ideas and concepts. The structure (that is, self-generated
rules – categorisation and starting with the biggest group) is imposed.
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further seeding the emergence of syntax. N acknowledges that it is hard to think of a word
for ‘T’ (the first line in the acrostic) (line 106), and later she chooses a simple word ‘the’ and
suggests ‘how about “the one”’ (line 108). S agrees, saying that ‘we can add many words
after the letter’, further reinforcing the emergence of syntax. N realises that although they
need two more words (for ‘I’ and ‘E’), she is constrained by the semantic requirement of the
task (line 114: ‘but it can only be time-related’). After a pause, N suggests ‘eternal’ for ‘E’
in line 116, and this word seems to be probed by an earlier word in group 2 (‘belief’) (N: ‘I
just thought of “eternal” . . . because many beliefs are about . . . . . . you know’). The word
‘eternal’ also seems to be related to ‘forever’ in group 2, a word that N proposed earlier in
the idea generation phase.
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between words. What has emerged (the final product) is just one of the possible outcomes,
and cannot be predicted or knowable in advance from the lower level order (the letters of the
given key word time and words generated in the idea generation phase). However, it can be
explained in retrospect. We can identify and trace the co-emergence of meaning and form:
how the various words lead to one another, and how the syntax and the new meaning (that
is, the new relation between ‘time’ and ‘marriage’) emerge. When the word ‘marriage’ is
first generated in line 12, there is no apparent connection between ‘marriage’ and ‘time’ yet.
However, as the discussion continues, the new meaning emerges, along with the transforma-
tion of their language.
Introduction
It takes the pair only about 7 minutes to write the simile (see Appendix B). There is little
transformation of their language and meaning. The poem that they write reflects more about
the common ideas associated with ‘parking spaces’ (‘hard to get’, ‘people steal from each
other’). The meaning of parking spaces is not transformed in the process of comparing it
with ‘hope’. The idea that they write seems to be a knowable, predictable idea, or a ‘resultant
property’, rather than an ‘emergent property’. Resultant properties are additive and subtrac-
tive properties, and are predictable from information at the lower level, whereas emergent
properties are ‘neither additive nor subtractive, and not predictable, on the basis of the lower-
level properties from which they arise’ (Kim, 2006: 550). The pair – in particular, N – get the
idea right from the beginning based on N’s own negative experience with parking spaces.
Because the idea that they want to convey is already known, there seems to be a lack of
desire to transform their language. Their discussion lacks complex negotiation, transfor-
mation, and exploration of meaning and form. They simply apply what they know about
‘parking spaces’ to ‘hope’, with little transformation of the sentences generated. Lack of
constraints (although randomness generates an interesting outcome) leads to this. No new
self-generated rules and constraints emerge either. The final product is written in a rather
straightforward linear manner.
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production is more like adding and subtracting words (a feature of an order system), rather
than transforming the sentence.
Unlike the acrostic, the pair’s language and ideas in the simile are not explored and trans-
formed, and the final product is written in a linear manner, mainly proposed by N. While in the
acrostic N tends to dominate (by proposing most of the words, such as ‘marriage’, ‘eternally’,
‘the one’, which are finally used in the poem), S plays an important role in transforming their
meaning and form by exploring new relationships between words generated. However, in the
simile task with looser formal constraints, S lacks an opportunity to contribute to the writing
task. N is also unable to transform what she knows about ‘parking spaces’. Along with this
static known meaning, they fall into known forms, using sentences and words that readily
arise and which they already know. The task seems to create an order system in which the pair
impose ‘structure’ and ‘order’ on what could have been a complex meaning.
In the acrostic, the connection between ‘time’ and ‘marriage’ is an unusual, novel emer-
gent property that arises through the process of various components – the various randomly
generated words, the pair’s experiences, and the task constraints – interacting with each
other in a complex manner. However, in the simile task, the connection or the imaginary
situation (‘hope is like parking spaces’) is pre-given at the beginning of the task, requiring
the pair to elaborate it freely. This different initial condition somehow leads to a different
trajectory in their thinking: they seem to simply apply the known features of one concept
to another instead of trying to transform their current conceptual space (that is, what they
know about ‘parking spaces’). The process that they undergo is somewhat linear: because
the meaning is known, there is a lack of desire to further transform their language and mean-
ing. However, in the acrostic, their meaning is shaped and reshaped until the end, along with
their language. The language changes as they use it to explore and construct the unknown.
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Related topics
creativity and dialogue; creativity and discourse analysis; everyday language creativity;
language, creativity, and cognition; language, creativity, and remix culture; literature and
language teaching; teaching creative writing
Note
1 The word ‘creativity’ has often been used in association with ‘complexity’ in many discussions of
creativity in the linguistic discipline. Complex linguistic patterns emerge along with our constant
need to construct new meaning (see, e.g., Steels, 2005). In other words, creativity (the human need
to construct and communicate about new meaning) gives rise to the emergence of complex linguistic
patterns – in particular, complex grammar.
Further reading
Carter, R. (2004) Language and Creativity: The Art of Common Talk, London/New York: Routledge.
The book explores the creativity inherent in everyday spoken language and demonstrates how ordi-
nary language users exercise language creativity in everyday contexts.
Cook, G. (2000) Language Play, Language Learning, Oxford: Oxford University Press.
This book examines the importance of language play and creative language use for human life,
human thought, culture, and language learning.
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Craft, A., Jeffrey, B., and Leibling, M. (eds) (2001) Creativity in Education, London/New York:
Continuum.
This book contains a lively collection of chapters on the issue of creativity in general educational
settings, and the role of creativity in learning and teaching.
Tin, T. B. (2011) ‘Language creativity and co-emergence of form and meaning in creative writing
tasks’, Applied Linguistics, 32(2): 215–35.
Refer to this article for more information about how new ideas and language co-emerge or lag behind
one another in different creative writing tasks. It investigates the cognitive processes that students
undergo and the role of first language vs second language in two different creative writing tasks.
Tin, T. B. (2012) ‘Freedom, constraints and creativity in language learning tasks: New task features’,
Journal of Innovation in Language Learning and Teaching, 6(2): 177–86.
This article discusses several task features to be considered when promoting creativity for language
learning.
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Appendix B
28
Multilingual creative cognition
Theory and practice
Anatoliy V. Kharkhurin
Overview
This volume presents a comprehensive overview of the state of the art of the conjunction of
two important fields of scientific inquiry: language and creativity. In doing so, it declares a
sound position of the cross-disciplinary approach incorporating efforts of scholars working
in both areas. The volume extensively deals with how language use interplays with creative
practice. This chapter adds a cognitive developmental perspective, in which language is
perceived as a dynamic system undergoing constant modifications at both intra- and inter-
personal levels (see also Langlotz, Chapter 2; Veale, Chapter 22). We start from scratch
and develop into fully functioning language users. Acquisition of such a complex cognitive
system inevitably leaves a trace on an individual’s general cognition. Development of the
latter may spur creative development. Indeed, increase and decrease in creative perfor-
mance with age is well documented in creativity literature (for example Johnson, 1985;
Torrance, 1968). In other words, it is prudent to consider the relationship between language
and creativity in a developmental perspective, and to look at how language acquisition
influences an individual’s creative potential. In this framework, a synergy of scientific
investigation in both fields flows from the theoretical framework of linguistic relativity
(Lucy, 1997; Pavlenko, 2014): a reciprocal effect of language and thought plays out in the
relationship between linguistic expression and creative thinking. Thus this chapter explores
the relationship between language and creativity by addressing contemporary trends in
language acquisition and use from the perspective of creative cognition.
It is evident that vastly increased human mobility, communication technologies, and
the accelerating integration of the global economy have increasingly abolished geo-
graphic boundaries and brought together people from different cultural and linguistic
backgrounds. The close interaction of people speaking different languages emphasises
the phenomenon of multilingualism as never before. New scientific research reflects on
these tendencies and provides a rapidly growing body of empirical investigation into
the phenomenon of multilingualism. This chapter introduces this phenomenon to the
language–creativity equation, and provides a tentative answer to the following question:
what cognitive mechanisms underlying creative thinking could benefit from the acquisi-
tion and use of multiple languages?
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The chapter starts with an outline of the multilingual creative cognition framework. As
we will see, studies show that speaking multiple languages extends our cognitive capaci-
ties. Creativity can be explained by enhanced normative cognition – that is, multilingual
practices may strengthen certain cognitive functions, which in turn may lead to increases
in our creative potential. A series of studies conducted in various geographic, linguistic,
and cultural locations have revealed that language and culture-related factors have an
impact on the development of the specific cognitive mechanism underlying an individual’s
creative performance. The chapter presents a brief overview of these studies and employs
their findings to strengthen the theoretical framework of multilingual creative cognition.
Specifically, it identifies the cognitive mechanisms underlying creative thinking, which
are potentially encouraged by an individual’s cross-linguistic and cross-cultural experi-
ences. The chapter concludes with a discussion of potential applications of the multilingual
creative cognition framework. Specifically, it proposes an educational model that accounts
for both multilingual and creative aspects of human development. Both multilingual and
creative educational models are gaining increasing credibility in the scientific, educational,
and legislative communities. They recognise the necessity of fostering students’ creative
potential and multilingual competence. The analysis of various teaching strategies inherent
to both types of education programme shaped the construction of a theoretical framework
for the bilingual creative education programme (Kharkhurin, 2012a).
Theoretical framework
The scientific inquiry into multilingual creativity appears at the intersection of two highly
elaborated fields: multilingualism and creativity. Similar to many other topics in scientific
scholarship, in-depth research in both disciplines reveals more questions than answers and
makes the subject matter increasingly confusing. This confusion is reflected in a major con-
troversy around the definition of each of these phenomena (for example Cook & Li Wei,
in press; Kharkhurin, 2014; Runco & Jaeger, 2012). The discussion of these controversies
falls beyond the scope of this chapter; instead, this section presents the definitions of these
phenomena adopted in contemporary multilingual creativity research.
Multilinguals1 are considered to be individuals who are fluent in all of their languages or
those who actively use, or attempt to use, more than one language, even if they have not
achieved fluency in all of them (Kroll & de Groot, 1997). This definition addresses the notion
that multilinguals do not form a homogeneous group and that the majority of individuals speak-
ing more than one language hardly display equal command of these languages. Their linguistic
competence is contingent on the age and circumstances of acquisition of respective languages
and the context (for example social, cultural, emotional) in which these languages are acquired
and used. Multilinguals are assumed to possess a highly dynamic language system, in which
individual languages interact and influence each other. It is assumed that speaking multiple lan-
guages not only adds to an individual’s linguistic repertoire, but may also influence his or her
cognitive functions, conceptual representations, and even personality traits (compare ‘linguis-
tic multicompetence’: Cook & Li Wei, in press) – that is, it has an impact on the whole mind
(on all language and cognitive systems). It follows, then, that variations in acquisition and use
of languages would have ramifications for the individual’s cognitive development.
During the past few decades, research in the area of bilingual cognitive development
has made tremendous progress and provided evidence supporting the notion that speaking
more than one language extends, rather than diminishes, an individual’s cognitive capacities
(see, for example, Bialystok, 2005, for an overview). There is a strong argument in the
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Empirical evidence
Unfortunately, the relationship between multilingualism and creativity has not received
adequate consideration in the scientific community. The reasons for this oversight can be
presented as a threefold argument. First, as became evident from the previous discussion,
both theoretical constructs are fuzzily defined, and researchers still struggle with a precise
description of the phenomena (Simonton, 2008).
Secondly, the impact of multilingualism on creativity is mediated by the effects of
multicultural experience. On one side, the term ‘culture’ has numerous overlapping and
misleading meanings, which hampers adequate quantitative analysis of its relation to
cognitive functioning. On the other side, the influence of sociocultural context on an
individual’s creative abilities has in itself received substantial attention in the scientific
community (for example Leung et al., 2008; Lubart, 1999; Niu & Sternberg, 2001).
Thirdly, the research into creativity has virtually no overlap with that of multilingualism.
Although both fields are largely developed and have received a substantial amount of empirical
investigation, the studies focusing on the intersection of these two areas are few.
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compared with their monolingual counterparts. Similarly, Lemmon and Goggin’s (1989)
study with Spanish-English bilingual college students found that the tendency of monolin-
guals to outperform their bilingual counterparts on fluency and flexibility was ascribed to
those participants classified as a low proficiency group. In the same fashion, Konaka (1997)
reported that the degree of bilingual balance – based on the score computed from Japanese-
English bilingual children’s self-rating and their performance on the Word Association Test
(Lambert, 1956) – significantly predicted performance on fluency, flexibility, and originality.
A few recent studies conducted with different types of bilinguals in various geographic
locations and cultural contexts confirmed the effect of language proficiency on creative capaci-
ties. Bilinguals with high scores on both English and Russian versions of the Picture Naming
Test (Kharkhurin, 2012b) performed better on elaboration than those with moderate scores on
either or both of these versions (Kharkhurin, 2008). Similarly, Farsi-English bilinguals highly
proficient in both languages (assessed by the same Picture Naming Test) outperformed their
unbalanced and moderately proficient counterparts on fluency (Kharkhurin, 2009). Moreover,
Lee and Kim (2011) found that more balanced Korean-English bilinguals (whose level of
bilingualism was assessed by the Word Association Test) obtained higher creativity scores
than their less balanced counterparts. These findings were complemented by those of another
study conducted with bilinguals with different proficiency levels in English (Kharkhurin,
2011). This study revealed that more linguistically proficient bilinguals tended to score higher
on originality and revealed more unstructured imagination, as measured by the Invented Alien
Creature test (compare Ward, 1994).
The second factor refers to the age at which individuals acquire their languages. Traditio
nally, the distinction is made between simultaneous and sequential bilinguals (McLaughlin,
1984). Simultaneous bilinguals learn both of their languages from the onset of language
acquisition. The sequential bilinguals learn their second language after the age of 5, when
the basic components of first language are already in place. Sequential bilinguals are further
divided into early and late, reflecting the age at which second-language acquisition occurred
(Genesee, 1978). A group of simultaneous Armenian-Russian bilinguals scored higher on
flexibility and originality than their sequential counterparts, who started to learn one of the
two languages between two and four years later (Kostandyan & Ledovaya, 2013). There is
also evidence that Russian-English bilinguals who acquired a second language at a younger
age scored higher on fluency and flexibility (Kharkhurin, 2008). Similarly, bilinguals who
acquired their second language (English) by the age of 6 tended to solve insight problems
more readily than their counterparts, who acquired a second language after this age (Cushen
& Wiley, 2011).
The third factor addresses a defining feature of multilingualism – namely, code
switching – the alternation and mixing of different languages in the same episode of
speech production. Code switching has been argued to be a creative act (for example Li
Wei & Wu, 2009). For example, linguists working in the linguistic ethnography tradition
replaced code switching with other terms such as ‘translanguaging’ to capture its crea-
tive and dynamic nature (see a review in Garcia & Li Wei, 2014). They investigated the
use of translanguaging in diverse contexts, from literature and drama, to pop songs, new
media, and public signs (for example Androutsopoulos, 2013; Chik, 2010; Jonsson, 2005;
Sebba, Jonsson, & Mahootian, 2012). These studies consider code switching to be not
only a juxtaposition of different grammatical structural elements, but also an expressive
and creative performance. Bhatia and Ritchie (2008) reveal various facets of bilingual
creativity through code switching as it manifests itself in the day-to-day verbal behav-
iour of a bilingual. They argue that code switching is essentially an ‘optimising’ strategy
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rendering a wide variety of new meanings that the separate linguistic systems are incapa-
ble of rendering by themselves. The only empirical evidence for the relationship between
code switching and creativity is Kharkhurin and Li Wei’s (2015) finding that those indi-
viduals who switch codes frequently and regularly obtained higher scores on originality
than those who do not do so in their everyday practice.
The fourth factor reflects the context of language acquisition and use. The studies of
bilingual creativity generally disregarded the fact that most participants in the target sam-
ples experience and participate in more than one culture. These individuals are primarily
immigrants, migrant workers, members of minority groups, or foreign students exposed to
different educational systems. They acquire each of their languages in the respective cultural
environments in which different cultural cues are available (Pavlenko, 2000). Therefore, in
addition to acquiring several languages, they can also adopt a range of multicultural values
and beliefs. Acculturation studies support this view by demonstrating that language acquisi-
tion is often accompanied by adoption of the cultural values of the country in which this
language is acquired (for example Birman, Trickett, & Vinokurov, 2002; Gordon, 1964).
On the other hand, creativity research has demonstrated that the specific economic, political,
social, and cultural aspects of the environment can have a considerable influence both on
levels of creative potential and on how creativity is evaluated (for example Lubart, 1999).
Sociocultural values and norms determine and shape the concept of creativity, which in turn
may influence the manner in which creative potential is apprehended and incarnated. Hence,
if multilinguals acquire their languages in different countries, they are most likely to have
been exposed to different sociocultural environments. This multicultural experience encour-
ages a variation in the development of creative potential. Therefore multilingual individuals’
experience with multiple sociocultural settings may increase their creative potential.
This argument finds support in cross-cultural research demonstrating that the effect of
multilingualism on creative performance is often confounded with the effect of multicul-
turalism (see Kharkhurin, 2012a, for a discussion). For example, Kharkhurin (2008) found
that the length of residence in the new cultural environment was related to Russian-English
bilingual college students’ fluency, flexibility, and elaboration above and beyond the effect
of bilingualism. Similar findings were obtained by Maddux and Galinsky (2007), who
found that the amount of time that MBA students from forty different nations had lived
abroad significantly predicted creative solutions of Duncker’s (1945) candle-mounting
problem when the effect of bilingualism was controlled.
Another line of research proposes that, in addition to directly contributing to this perfor-
mance, the specific settings of the sociocultural environment to which an individual is exposed
may modulate the impact of multilingualism on creativity (for example Kharkhurin, 2010;
Leung et al., 2008). This idea stems from cross-cultural research in creativity demonstrating
that variations in the manner of socialisation, degree of self-perception and self-expression,
and education and social conduct may modulate the differences in creative performance of the
representatives of different cultures (for example Kharkhurin & Samadpour Motalleebi, 2008;
Niu & Sternberg, 2001; Zha et al., 2006). If individuals’ creative potential may be influenced
by their experience with different cultures, the variations in multilinguals’ cultural settings
may have an impact on different aspects of their creative thinking. For example, Kharkhurin
(2010) compared Farsi-English bilingual and Farsi monolingual college students residing in
the Middle East with their Russian-English bilingual and English monolingual counterparts
residing in the United States. The study demonstrated that the interaction between bilingua
lism and the sociocultural environment had a significant influence on creative performance.
Moreover, this study speculated that the cultural distance between the environments to
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which bilingual groups were exposed in the respective countries could also play a role in an
individual’s creative behaviour.
The fifth factor also addresses the context of language acquisition and use. However, this
one is concerned with emotional experience. Creativity literature regards an individual’s
emotional state as an important determinant and powerful engine of creative behaviour
(for example Averill, Chon, & Hahn, 2001; Kaufmann, 2003). Various researchers have
claimed that emotions can either help or hurt creative endeavours (for example Montgomery,
Hodges, & Kaufman, 2004; Russ, 1999). At the same time, extensive literature demon-
strates that bilinguals’ emotions are realised differently in their different languages and that
bilingual individuals have particular preferences for one or another language when it comes
to expression of their emotions (see Pavlenko, 2006, for an overview). The experience of
different emotions in different linguistic contexts can therefore lead to a variation in creative
performance. Kharkhurin and Altarriba (accepted) tested this hypothesis with Arabic-Eng-
lish bilingual college students, who were induced into positive or negative mood states
using either Arabic or English linguistic contexts. The study revealed an interactive effect
of the emotional state and linguistic context on an individual’s creativity. Specifically, par-
ticipants obtained significantly greater non-verbal originality when they were induced to a
positive mood state while being tested in English or to a negative mood state while being
tested in Arabic, as compared to when they were induced into a positive mood state while
being tested in Arabic or a negative mood state while being tested in English. The role of
emotions in multilingual creativity was hinted at in Kharkhurin and Li Wei’s (2015) study,
which provided an interesting account in which emotion-triggered code switching resulted
in activation of creative capacities. Specifically, code switching induced by a particular
emotional state appeared to relate to increase in originality in thinking. Research on the rela-
tionship between multilingualism and emotions provides evidence that code switching is
often triggered by the speaker’s emotions and other affective factors (for example Dewaele,
2010; Pavlenko, 2005). This, in turn, could boost creativity, possibly because code switch-
ing breaks the conventional conversational routine by introducing different, emotionally
laden elements of language.
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thinking are subsequently evaluated during convergent thinking, which narrows all possible
alternatives down to a single solution. There is evidence that multilingual practice facilitates
both divergent and convergent thinking: the former may benefit from the specific architec-
ture of multilingual memory; the latter may benefit from multilinguals’ highly developed
selective attention.
The functioning of divergent thinking can be explained as an automatic spreading acti-
vation mechanism that simultaneously triggers a large number of mental representations.
These representations are stored in conceptual memory. The latter is assumed as a pattern
of spreading activation (McClelland & Rumelhart, 1985) over a large set of mutually linked
units of meaning (or conceptual features) organised in the conceptual networks (Lamb,
1999). The spreading activation mechanism transfers activation between conceptual fea-
tures providing facilitation for related concepts and inhibition for unrelated ones. This
property of the conceptual system was illustrated in priming studies (for example Meyer
& Schvaneveldt, 1971), which show that semantically related words tend to influence each
other. The associations between distant mental representations can be established as a result
of the distributed nature of the conceptual system (see Kharkhurin, 2012a, for details). In
light of this discussion, divergent thinking takes place when a large number of, often unre-
lated, conceptual representations are accessed simultaneously. Spreading activation among
distributed conceptual representations may build the links between distant, often unrelated,
concepts. A large number of simultaneously activated solutions may establish a rich plane
of thought from which original and novel solutions might be extracted.
The specific architecture of multilingual memory is argued to facilitate the greater
spreading activation between conceptual representations and thereby to stimulate divergent
thinking (see Kharkhurin, 2012a, for a detailed discussion). This may be accomplished
through language-mediated concept activation (Kharkhurin, 2007, 2008). The idea of
this mechanism is based on the assumption that translation equivalents automatically acti-
vate each other through shared conceptual representations (for example concept mediated
translation, in Kroll & de Groot, 1997). Although translation equivalents share most of the
conceptual features, these representations are not identical (for example Paradis, 1997).
Variations in the conceptual representations of translation equivalents may result in the
simultaneous activation of additional concepts, which eventually may produce a large pat-
tern of activation over unrelated concepts from different categories. The activation of these
concepts is assumed to take place through the lemmas representing the translation equivalents
in multiple languages and/or through the word forms (for example phonetic, orthographic)
shared by these languages. The evidence for the language-mediated concept activation
is provided by the cross-language studies using semantic (see Kroll & Tokowicz, 2005,
for a review) and translation (see Altarriba & Basnight-Brown, 2007, for a review) prim-
ing paradigms. These studies revealed that automatic spreading activation takes place not
only between translation equivalents in different languages, but also between semantically
related words in different languages. The elaborate language-mediated concept activation
triggers simultaneous processing of a large number of unrelated concepts from different
categories – that is, it may stimulate multilinguals’ divergent thinking. The empirical evi-
dence for the language-mediated concept activation was obtained in a study comparing
the performance of Russian-English bilingual and Russian monolingual college students
on divergent thinking and a cross-language priming tests (Kharkhurin & Isaeva, 2015).
The latter presented participants with pairs of Russian words, which were unrelated in
Russian, but related through their translation equivalents in English (for example филиал,
meaning ‘branch’, is unrelated to дерево, meaning ‘tree’, but ‘branch’ is related to ‘tree’).
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Bilingual participants showed stronger priming effect and revealed greater flexibility in
thinking than their monolingual counterparts.
The purpose of convergent thinking is to find the single best (or correct) answer to a clearly
defined problem (Cropley, 2006). This cognitive function appears inevitable when a large
pool of ambiguous divergent thoughts needs to be narrowed down to a single creative solu-
tion. The possible candidates should be explored, criticised, and evaluated to select the best
fit to the problem. Kharkhurin (2011) argued that individuals’ efficient selective attention
may support creative problem solving at the stage at which a conscious attention demanding
process assists in narrowing a multitude of possible alternatives down to a single original
solution. At the same time, selective attention was demonstrated to benefit from bilingual
practice (see review in Bialystok, 2005). Bilinguals’ selective attention is facilitated by their
extensive practice with two active language systems, during which they have to solve the
conflicts in lexical retrieval, which are unravelled by efficient executive control (Bialystok,
2007; Bialystok & Feng, 2009; Bialystok, Craik, & Ryan 2006). Kharkhurin (2011) identi-
fied two control mechanisms of selective attention that may contribute to the improvement
of bilinguals’ creative abilities: the facilitation of relevant information was likely to boost
the ability to activate a multitude of unrelated concepts and to work through the concepts
already activated; and the inhibition of irrelevant information seemed to enhance the capacity
to produce original and useful ideas.
Practical applications
The research reviewed in this chapter presents a case for a facilitatory relationship
between multilingualism and creativity. These human capacities can be nurtured through
education, and so this discussion would not be complete without placing it in a peda-
gogical context. It is evident that programmes intended to foster creativity often operate
separately from those offering multilingual instruction, and that researchers and teachers
in these areas have mutually exclusive training. They are educated in either creativity- or
language-related disciplines. Overall, the academic community generally disregards the
potential relationship between multilingualism and creativity (Kharkhurin, 2012a). Simi-
larly, the benefits of merging programmes fostering creative potential and multilingual
abilities seem to escape the attention of the educators. However, the efficacy of a pro-
gramme combining both efforts can be directly inferred from the research reviewed in this
chapter. Various factors in individuals’ multilingual development have been demonstrated
to facilitate certain cognitive mechanisms underlying their creative capacities. Therefore,
by combining multilingual and creative educational strategies, a far greater synergy could
be generated: a multilingual creative education programme would capitalise on the assets
of both forms of education to establish an effective and comprehensive curriculum. The
need for this type of programme turns out to be immense, considering the outcomes of
scientific investigation, initiatives advanced by governmental policies, and public opinion
(see review in Kharkhurin, 2012a).
Kharkhurin (2012a) proposes a bilingual creative education programme, which consti-
tutes a unified teaching model introducing both language learning and creativity-fostering
instruction into the school curriculum. The rationale is not to establish a special programme
focusing on children with exceptional abilities, but to suggest modifications to existing cur-
ricula and/or the classroom environment to promote multilingualism and creativity in early
schooling. The programme is grounded on several conceptual premises. First, it disqualifies
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the elitist view, and provides opportunities to enhance the linguistic and creative capacities
of all students, regardless of their intellectual and creative predispositions.
This entails the second characteristic of the programme – its scope of application: the
programme can be implemented in any school curriculum, depending on the specific details
of a given school. The role of the programme coordinator would be to modify the core of
the programme to reflect the specificity of the student body and the economic, sociocultural,
and political environment of each particular school. Instead of establishing a new school
or a special classroom with an entirely new curriculum, this programme suggests neces-
sary modifications to convert any curriculum into one fostering linguistic competences and
creative potential. Therefore it reflects the recommendation to the European Union member
states (Marsh & Hill, 2009) that methodologies should be developed to modify and improve
the effectiveness of existing educational programmes. Moreover, these modifications can be
accomplished at a low cost, because they would not require major restructuring of existing
school curricula.
Third, the goal of the programme is to facilitate linguistic abilities in a diversity of stu-
dent populations. This programme is designed not only for migrants who speak their home
language and who are attempting to acquire the language of the country to which they have
migrated, but for all children who want to acquire an additional language.
Fourth, another goal of the programme is to foster children’s creative potential. The
focus of the programme is not on ‘“big C” Creativity’, but on the ‘“small c” creative’
capacities (compare Kaufman & Beghetto, 2009) that are grounded in mundane cognitive
functioning and can be applied to everyday problem solving. The outcomes of this pro-
gramme do not reflect the ambitious aspirations of nurturing eminent individuals (although
this perspective should not be excluded); rather, the programme aims at facilitating the
overall linguistic, intellectual, and creative competences of young children, thereby meet-
ing the recommendations of certain governmental policies (for example Commission of
European Communities, 2008).
Thus the purpose of a bilingual creative education programme is to introduce students to
a bilingual school curriculum and to foster the four defining aspects of creativity established
earlier in this chapter. To accomplish this goal, the programme utilises a holistic approach
that combines cognitive, personal, and environmental factors. This approach considers not
only educational aspects directly pertinent to the school curriculum, but also those reflecting
a child’s personality and extracurricular settings.
Note, however, that the sketch of this programme presented in the current chapter intends
to stimulate the creative thinking in education professionals rather than to provide an explicit
step-by-step description of the programme. I direct the interested reader to Kharkhurin
(2012a), which presents a detailed description of, as well as the theoretical and empirical
considerations underlying, the programme.
Conclusion
This chapter has presented a perspective that reflects the cross-linguistic and cross-cultural
interactions in the modern world. It assumed language to be dynamically developing system,
which engages linguistic and conceptual representations inherent to different linguistic,
social, and cultural contexts. Thus language and thought develop at the intersection of
multiple languages and cultures. This is also the case with creativity. The latter is assumed
not as a product of eminent creative achievement, but as potency, which may or may not be
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developed as result of intra- and interpersonal experience. Thus this chapter has presented
the relationship between language and creativity as the relationship between multilingual
practice and creative potential. The dynamic nature of both linguistic and creative systems
supplies ever-changing products, which appear difficult to study and to relate to each other.
The focus is therefore on the cognitive processes underlying both multilingual practice and
creative potential – that is, multilingual creative cognition.
How does it work? We have identified the language- and culture-related developmental
factors facilitating at least two important cognitive mechanisms contributing to multilingual
individuals’ creative performance. According to the multilingual creative cognition paradigm,
the acquisition and use of multiple languages appears to have an impact on the structure and/
or functioning of an individual’s memory. The strengthening of certain cognitive functions
may have an impact on creativity fostering traits, such as cognitive flexibility, tolerance for
ambiguity, open-mindedness, and intrinsic motivation (see Kharkhurin, in press, for a discus-
sion). Thus multilingual practice may facilitate creative performance.
In this regard, it is essential to recognise a limited scope of contribution of multilingualism
to creativity. The acquisition and use of several languages in several sociocultural environ-
ments facilitates certain cognitive functions underlying creativity traits. However, these traits
may also develop as a result of life experiences beyond multilingual and multicultural ones.
Creative capacity is a complex phenomenon, which can be boosted by a large variety of fac-
tors such as talent, education, expertise, motivation, personality traits, personal experience,
and socioeconomic and sociocultural conditions. Multilingualism may play an insignificant
role here and its effect can be overridden by those factors. In other words, the specific eco-
nomic, political, social, cultural, and educational aspects of individuals’ development may
have an impact on their creative performance above and beyond the effect of multilingual-
ism. This means that multilingualism will not stipulate creativity. It is therefore prudent to
talk about a creative potential. Anyone with normal cognitive capacities can reach a level of
accomplishment in some domain that results in producing work that some people may con-
sider creative (Amabile, 1983). This means that everyone has a potential to develop creative
abilities, but this potential is realised differently in different people because of the variety of
factors just mentioned. Multilingual practice would add to this list of factors as the specifics
of personal experience. A person may realise creative potential only if a critical constella-
tion of those factors permits it. Multilingual practice appears to have quite an irrelevant role
in this process. This notion accounts for a discrepancy between real-life observations and
empirical findings demonstrating greater creative performance among individuals speaking
multiple languages. In particular, we do not witness exceptional creative accomplishments in
the predominantly multilingual countries such as Switzerland, Belgium, or Canada.
Despite the limited contribution of multilingual practice to creative potential, the applica-
tion of a multilingual creativity paradigm can be immense. A brief discussion of the proposed
bilingual creative education programme aims to expand the boundaries of contemporary dis-
course of education. This new form of education promises to have important ramifications
for students’ learning and their future employment. It is important for educators to recognise
the positive effect of multilingual creative education, and to start transforming schools into
educational enterprises that value linguistic and cultural diversity and creative potential.
Related topics
cognitive stylistics; creativity and translation; creativity in second-language learning;
language, creativity, and cognition
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Notes
1 In the literature, especially in that reporting earlier research in the field, the term ‘bilingualism’ is
used to refer to individuals speaking only two languages. This term reflects a so-called monolingual
perspective, in which the users of a second language were considered from the perspective of the
first-language users. The second language is added to the first-language competence, and this extra
competence was assessed against the only language of a monolingual native speaker. Traditionally,
these studies made a direct comparison between bilingual and monolingual speakers. This approach
was criticised within the linguistic multicompetence framework (see Cook & Li Wei, in press) based
on the ground that individuals speaking more than one language may have a distinct frame of mind
that cannot be compared with the monolingual one. Therefore a direct comparison between bilingual
and monolingual speakers does not hold. Throughout this chapter, the term ‘bilingualism’ refers to the
studies taking a ‘monolingual’ perspective.
2 Kharkhurin (2014) challenged this definition as being biased by a Western perception of creativity.
He proposed an alternative four-criterion construct of creativity, which, in addition to novelty and
utility, considers two other characteristics typical for an Eastern perception of creativity: aesthetics
and authenticity.
3 Limited space of this chapter prevents the author from listing all publications addressing the relationship
between multilingualism and creativity. The interested reader can refer to Kharkhurin (2012a), which
provides a complete list of these publications.
Further reading
Cook, V., and Li Wei (eds) (in press) Cambridge Handbook of Linguistic Multicompetence,
Cambridge: Cambridge University Press.
This volume presents an up-to-date view of multicompetence, its main components, how it has
developed, the research questions that it has generated, and the methods that have been used to
research it.
Kaufman, J. C., and Sternberg, R. J. (eds) (2010) The Cambridge Handbook of Creativity, New York:
Cambridge University Press.
This volume presents a comprehensive overview of creativity research, covering such diverse topics
as the brain, education, business, and world cultures.
Kharkhurin, A. V. (2012) Multilingualism and Creativity, Bristol: Multilingual Matters.
This monograph presents the results of the empirical investigation into the impact of multilingual
practice on an individual’s creative potential.
Kroll, J. F., and de Groot, A. M. B. (2005) Handbook of Bilingualism: Psycholinguistic Approaches,
New York: Oxford University Press.
This volume comprises essential reading for cognitive psychologists, linguists, applied linguists,
and educators who wish to better understand the cognitive basis of bilingualism.
Runco, M. A. (2014) Creativity: Theories and Themes – Research, Development, and Practice,
2nd edn, Boston, MA: Elsevier.
This textbook presents an integrative introduction and extensive references to the theories and
themes in research on creativity.
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Amabile, T. M. (1983) The Social Psychology of Creativity, New York: Springer-Verlag.
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Literature and language teaching
Gillian Lazar
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be broadened to include literature with a small ‘l’ or ‘any text whose imaginative content
will stimulate reaction and response in the receiver’ (McRae, 1991: vii). Of course, such a
definition may be problematic in that it poses the questions of whether to exclude texts such
as journalism, non-fiction essays, or oral fables, for example, as well as whether judgements
about the quality of a text should be taken into account. Nevertheless, a functional definition
of the term ‘literature’ does enable us to recognise that definitions of literature are themselves
developed in different social, cultural, and historical contexts. Thus any recent definition of
literature within the field of language teaching is inextricably linked to the theoretical and
pedagogic contexts in which it is explored by both teachers and academics. In the last decade,
this definition has grown out of McRae’s ‘literature with a small l’ to incorporate a widening
range of genres, including children’s literature, fairy tales, popular fiction, and even auto
biographical narratives (Paran, 2006).
Critical issues
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his or her interpretation of the text. Nevertheless, Kramsch (1993: 175) argues that, by
studying a particular text, ‘students are given access to a world of attitudes and values, col-
lective imaginings and historical frames of reference that constitute the memory of a people
or a speech community’. However, Kramsch does not conceptualise this access to culture
as enabling students to extract data about the other culture, but rather as facilitating a criti-
cal reflection on both the native and the target cultures, in which learners actively construct
meaning for themselves and begin to create a ‘third place’ for themselves beyond the con-
fines of a monolithic notion of culture or identity.
This active construction of meaning is one of the key reasons advanced for using literature
with language learners. According to Widdowson (1983, cited in Brumfit & Carter, 1986: 14),
‘procedures for making sense are much more in evidence in literary texts’. This is because
literary discourse is representational, rather than referential (Widdowson, 1984). It does
not refer directly to an immediate social context, but rather to the internal fictional world
that it creates. The reader has to actively engage with the text in order to infer the complex
meanings that lead to an interpretation, because meanings cannot simply be extracted by
reference to the real world. Thus using literary texts in the classroom aids the acquisition
of ‘sense-making procedures’, since highlighting interpretive procedures while reading
literary texts develops a learner’s ability to infer meaning in other contexts – a vital skill
for the language learner. In addition, because literary texts are open to multiple interpreta-
tions, they are an excellent resource in communicative classrooms, which aim to provide
real reasons for learners to interact with each other.
In order to justify a particular interpretation of a text, readers are forced to consider the lan-
guage in the text, and its specific meanings and effects. This heightened emphasis on language
increases the learner’s sensitivity to specific uses of language, such as how a grammatical
structure has been used to convey a particular meaning, or how the connotation of a particular
word is activated by the surrounding discourse. Thus literary texts are seen as a useful resource
for increasing students’ overall language awareness and understanding of discourse.
These reasons have, however, been dismissed by Edmondson (1997), who argues that no
valid claims can be made regarding the special status of literature, since, at the time of his
writing, there were no empirical studies verifying its psycholinguistic efficacy in promoting
language learning. Further, Edmondson argues that other types of text are equally as authen-
tic, as motivating, or as helpful in promoting cultural understanding. Edmondson’s position
has, in turn, been criticised as taking a narrow view of language learning as largely utilitarian
and failing to account for more holistic perspectives in which students’ affective needs, for
example, are considered (Paran, 2008). It could also be argued that the aesthetic pleasure and
‘mysteries of experience’ (Widdowson, 1992: 181) that learners sense in literary texts cannot
easily be replicated by using other types of text in the classroom.
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itself through, for example, unusual word order (‘deviance’), extensive use of metaphor, and
deliberate patternings, seen in devices such as alliteration, assonance, rhyming, and other
repetitions. In this way, literary language ‘defamiliarises’ reality, by making the everyday
seem strange through the use of linguistic deviations from the norm. Widdowson’s (1975)
pioneering work Stylistics and Language Teaching explores the notion of ‘deviation’ by
considering some of the ways in which particular grammatical rules are broken in selected
literary texts. Nevertheless, Widdowson (1975: 37) also makes the point that there is a con-
siderable body of literature that does not show any ‘marked linguistic oddity’ and which
cannot be defined in any satisfactory way in terms of textual deviation.
This key point is developed further by other theorists. Brumfit and Carter (1986: 6) argue,
for example, that it is ‘impossible to isolate any single or special property of language which
is exclusive to a literary work’. This means that many of the features of literary language
(such as the creative construction of neologisms, playing on the double or multiple mean-
ings of words, mixing of styles, etc.) can also be found in other forms of discourse as well.
This has been borne out by corpus studies, which reveal that many creative uses of language
are also present in everyday speech and casual conversation, leading to Carter’s (2004: 215)
observation that ‘[c]reative language is not a capacity of special people but a special capacity
of all people’.
It is also impossible, in purely linguistic terms, to describe literary language itself as a
specific variety or register, such as the language of law or medicine. In fact, literary texts
seem to be the one form of discourse in which different varieties of language (for example
dialects, spoken or written forms, formal and informal language, etc.) can all be mixed in
new and inventive ways (Hall, 2005). Nevertheless, it is clear that certain creative uses of
language are more pervasive in literary texts, suggesting that different types of text can be
placed along a cline or gradient according to the extent of their literariness.
This notion of a continuum in linguistic terms between literary and non-literary language
has important implications for classroom practitioners. First, instead of regarding a poet’s
unusual language as deliberate and intentional, while a language learner’s errors are seen
as deficient and requiring correction, both the poet and the language learner can be seen
as engaging creatively with the expressive resources of language. From the point of view
of the language learner, this chimes with the emphasis on fluency in communicative lan-
guage teaching, by valuing and encouraging the creative capacity of the learner. Secondly,
the concept of the continuum suggests that an important way of exploring literary texts is
by studying them alongside non-literary texts in order to identify key continuities and dif-
ferences between them. A third implication is that practitioners may want to broaden out
the idea of ‘correctness’. Thus, instead of teachers asking learners to pinpoint ‘wrong’ or
‘deviant’ uses of language in literary texts, Parkinson and Reid-Thomas (2000: 71) suggest
that students are asked to respond in a ‘more open and plural’ manner. For example, when
engaging in paraphrasing activities designed to encourage basic comprehension, they could
be asked to suggest similar phrases to those in the literary text which might be more normal
or standard in the kind of English that the student is learning, thus acknowledging that
norms of correctness may vary in different speech communities.
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interpreting it. Thus reading can be seen as a transaction between the reader and the text,
in which the reader draws on his or her personal experiences, values, and beliefs to interact
with the text and make sense of it (Rosenblatt, 1978). Reader-response theories arising
from literary criticism are relevant here, and have had an influence on possible classroom
approaches and activities.
Reader-response theory puts the reader at the very centre of the relationship between
author, text, and reader. Thus reader-response critics focus less on the text or the author’s
intentions within the text, and more on how the reader actively engages with text in order
to make interpretations. According to Hirvela (1996: 128–9), there is a continuum of views
concerning the balance between the reader and text, with some critics (such as Iser, 1972,
and Rosenblatt, 1978, cited in Hirvela, 1996) regarding the reader and text as having roughly
the same importance, while other critics (including Fish, 1982, cited in Hirvela, 1996)
‘assign sole interpretative authority to the reader’. For Fish, literary texts do not intrinsically
themselves possess meaning; rather, that meaning is conferred on the text by the reader.
As Parkinson and Reid-Thomas (2000: 8) point out, this would seem to be a ‘recipe for
interpretative anarchy’, or the attitude that any interpretation, however far-fetched, is valid.
Fish, however, does place limits on this by suggesting the notion of an ‘interpretive com-
munity’, which, according to Parkinson and Reid-Thomas, Fish construes as the academic
community. But this notion could be widened to include any group of readers who do not
necessarily share a particular interpretation of a text, but who do share some conventions for
understanding and making sense of a text. From the point of view of language teachers, this
raises the questions of what these conventions might be and how they relate to the concept
of literary competence, how such conventions might vary cross-culturally, and whether it is
part of the language teacher’s role to ‘socialise’ students into using these conventions. Such
questions may be particularly pressing in contexts in which students have to take exams in
which only some interpretations are regarded as valid responses to specific literary texts.
The significance of the role of the reader in making sense of text has impacted on class-
room methodology and task design. Thus it has been suggested that diaries or personal
response journals are useful tools for developing the reader’s personal response to a text.
For example, students can write repeated reflections about a literary work in a reading
diary: initially after reading, then after sharing responses with others, and finally by writ-
ing a full-scale response (Ali, 1993). Alternatively, students’ personal response journals
can be used to help them to ‘develop and refine their responses’ (Liaw, 2001: 38). The
ultimate aim of such diaries or journals is to enable students to become more sensitive
readers, but the starting point is the students’ personal involvement with the text and their
response to it. However, Hirvela (1996) has argued that personal-response approaches to
using literature, while motivating for students and leading to the production of original
discourse, are still generally reactive and privilege the text, rather than the reader. Hir-
vela proposes instead that classroom methodology and materials should draw on Culler’s
(1982: 35) notion that a reader’s response to a text tells ‘a story of reading’, in which the
text is recreated during the reader’s process of reading and an interpretation of a work
becomes an account of how the reader makes sense of it. The emphasis is therefore on
the readers’ exploration of their own process of reading and how it facilitates interpreta-
tion, rather than on producing a personal response after extracting meaning from the text.
Nevertheless, while such activities may indeed encourage learners to become more aware
of the process that they undergo in order to reach an interpretation, there is perhaps the
danger that students’ recording of this may be rather general, because such an approach to
reading could be applied to any type of text. This suggests that classroom activities may
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need to prime students to focus on some of the more ‘literary’ aspects of the text, so that
these can then feed into their accounts of their reading.
Different approaches/methodologies
Historically, the methodology adopted for using literary texts in English language teaching
reflected the central tenets of grammar translation, with common activities including teacher-
directed analysis of literary passages or translations of particular texts. Texts were often seen
as providing access to a particular culture, and the role of the teacher was to provide learners
with information regarding the historical, political, and cultural background to the text. This
emphasis on culture has led Carter and Long (1991: 8) to identify a cultural model for teach-
ing literature in which the text is regarded largely as an object for study ‘about which students
learn to acquire information’. However, with the influence of communicative language teach-
ing (CLT), more process-oriented, student-centred approaches have come to the fore. Thus
Carter and Long also identify a language model and a personal growth model. The former is
seen as providing a systematic set of procedures for students to access literary texts, while the
latter encourages student to link the text to their own experiences, in order to express their
feelings and opinions. In practice, however, as we shall see, there is often an overlap between
these different approaches.
The cultural model suggests that the literary text is a cultural artefact, which can be under-
stood by using traditional procedures for teaching literature, such as identifying particular
literary devices or providing learners with the characteristics of literary movements. With
the advent of CLT, however, Carter (1996) identifies a move away from teaching literature
per se towards exploring the interface between language and literature. This integration
can itself be seen along a continuum on which, at one end, there is a strong literary focus,
while at the other, literature is used simply as text without focusing on ‘literary values,
literary knowledge or literary skills’ (Paran, 2008: 467). Where exactly teachers position
themselves along this continuum depends on the context in which they are teaching, why
their students are learning English, and which external constraints (such as curricula and
assessments) impact on classroom practice.
We can begin at one end of the continuum, where literary texts are simply seen as a
resource for generating stimulating language activities and developing personal response.
According to Duff and Maley (1990: 5), the aim is to ‘cut away the dead weights of criti-
cal commentary, method and explanation’, and to engage students interactively with texts,
their fellow students, and the teacher. In this approach, the text itself is of primary impor-
tance, and students do not passively absorb an authorised interpretation of the text, but
actively construct it themselves by engaging in various tasks or activities. Many of the tech-
niques used in CLT are thus used with literary texts, including those involving cloze and
gap fill, prediction and ranking, information gap, and sentence and paragraph reordering.
Such activities are seen in a number of resource books for teachers (for example Bassnet
& Grundy, 1993; Collie & Slater, 1987) and books for students (for example Collie &
Slater, 1993; Lazar, 1999). Duff and Maley (1990) provide a useful toolkit of generative
procedures that can be applied to literary (and non-literary) texts as a way of developing
language activities for the classroom.
This approach has a number of advantages for classroom practitioners. First, by applying
typical CLT procedures to literary texts, teachers lacking in literary knowledge may develop
the confidence to explore literary texts with their students. Secondly, this approach recog-
nises that literary texts provide an excellent authentic resource that enables the exploration
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of more absorbing themes than the somewhat superficial topics often found in textbooks.
Thirdly, this approach is language-focused in that ‘students are obliged to pay careful atten-
tion to the text itself and to generate language in the process of completing the task’ (Duff
& Maley, 1990: 5). Finally, this approach can be of real benefit to elementary and interme-
diate-level language learners, because it enables the use of linguistically more accessible
texts that do not have to have canonical status. However, it could be argued that such an
open approach to the choice of texts does not necessarily enable either teachers or students
to discriminate in terms of quality of text, thereby forgoing any evaluation of their literary
excellence. As a corrective to this, Parkinson and Reid-Thomas (2000) suggest that any
rewritings that students make of a text should always be considered alongside the original.
A further critique of this approach is that it does not focus on any distinctively literary char-
acteristics of a text in any targeted way.
One language-based approach that can be used to draw attention to the distinctive literary
characteristics of a text is that of stylistics. The use of stylistics, which draws on linguistic
analysis in order to reach an interpretation of a literary text, has been somewhat controversial
in second-language teaching. In general, stylistics aims to identify key linguistic features of a
text (often those that are deviant, foregrounded, or patterned in some way) and analyse them
in detail, so as to facilitate interpretation. As such, it is useful for language learners, helping
them to notice significant features of a text and to consider the meanings that they transmit.
Thus teachers might undertake their own analysis of the text and then develop a series of
questions or activities that alert students to these features, enabling them to consider these
features in reaching an interpretation of the text.
Proponents of stylistics argue that while native speakers may have intuitions about textual
meaning that enable them to formulate interpretations, learners of English may lack these
intuitions, since their grasp of the norms of use for grammar, syntax, vocabulary, and dis-
course in the second language is still developing. Asking learners simply to respond to texts
may elicit no response whatsoever, unless some form of scaffolding is provided. Stylistics
can serve this purpose by providing a set of transparent procedures for analysing texts,
which can empower both teachers and learners, and develop their confidence in making
interpretations (Parkinson & Reid-Thomas, 2000; Widdowson, 1975).
However, stylistics has not been without its critics, particularly Gower (1986), who
considers it to be a sterile and dull procedure that bypasses the affective and cognitive
responses of the reader/student. Gower asserts that stylistics replaces the process of reading
and the attendant involvement of the reader with a rather mechanical analysis of ‘objective’
linguistic facts in a text. Another criticism of stylistics is that it focuses too narrowly on
the actual texts themselves, rather than on how students make sense of them (Paran, 2008).
Its occasional overuse of technical linguistic terms can also make it seem remote from the
everyday concerns of classroom teachers.
Some of these criticisms, however, can be countered by using classroom tasks that are
pitched at the right level for the students, and which engage them in discovery-based group
or pair interactions (Durant, 1996; Rosenkjar, 2006). Stylistic analysis can be enhanced by
providing learners with pre-tasks that engage students both emotionally and cognitively
with the themes of a text (Rosenkjar, 2006). Stylistics can also be complemented by provid-
ing contextual information relating to the biography of the author (Durant, 1996), the genre
of a text, and its historical context. Such information can be provided once students have
attempted to reach their own interpretation of the text, and their interpretations can then be
reconsidered in light of this information. This means that a plurality of interpretations can
be encouraged in the classroom, but, as Rosenkjar (2006) argues, such interpretations will
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be logically argued and consistent with the evidence in the text. Such interpretations can
also be reached by asking students to test out their intuitions about language by comparing
particular usages in a literary text with those in a large corpus (Louw, 1997), thus integrating
corpus-based linguistic research into stylistic methods.
Stylistics is a method that draws on linguistic concepts, and the influence of linguistics
can also be seen in approaches that are sensitive to the notion of literary genres and use
theoretical concepts from linguistics to inform classroom methodology. Thus the distinctive
features of different literary genres can be identified in order to suggest appropriate class-
room methodology and activities (Lazar, 1990, 1993; Parkinson & Reid-Thomas, 2000).
For example, with regards to the teaching of short stories, Parkinson and Reid-Thomas
(2000) draw on elements of both structuralist narratology and sociolinguistic analysis of
oral narratives. This enables them to provide a checklist of features of narrative to take into
account when planning classroom work. Parkinson and Reid-Thomas (2000: 54) explicitly
state that they are interested in teaching, and therefore use ‘simple and partial versions of
some theoretical concepts’ to inform their suggestions for classroom practice. Nevertheless,
their approach not only provides suitable scaffolding for learners and teachers, but also
combines careful attention to the generic features of text with the possibility of genuine
personal response. This suggests that teachers can benefit by using theoretical concepts to
inform and inspire task design.
As we have seen, language-based approaches range from those using literary texts as
a resource to those drawing on stylistics or linguistic concepts linked to different genres.
Nevertheless, a significant criticism of such approaches is that they can become rather
reductive and ahistorical if they rely only on a process orientation that privileges student
responses. Carter (1996), for example, has argued that it is often necessary to provide
social, historical, or biographical information in order to arrive at a viable understanding of
a text. This may be particularly true if students are being asked to make sense of texts from
earlier periods in history or from a culture radically different from their own. Lazar (1993)
raises the issue of whether, and to what extent, background cultural information to a text
provided by teachers may alter, and indeed deepen, students’ interpretation of a text. Stu-
dents can be asked, for example, to engage in an interpretation of a poem, such as Robert
Browning’s ‘Andrea Del Sarto’ (1855), both before and after receiving information about
its protagonist (a real historical figure), as well as the genre of dramatic monologues. The
aim of such activities is to enable learners to reflect on how interpretations can be informed
by background literary, cultural, or historical knowledge. Thus, when developing appro-
priate classroom methodology, we need to ‘look both ways before crossing’ (Carter, 1996)
in terms of both language and literary development. Moreover, we also need to ensure that
students engage emotionally and cognitively with literature in order to develop a personal
response that will enable them to critically evaluate the text.
Current research
The focus has recently switched to the need for more data-driven, empirical research
into the use of literature in language teaching. Two issues need to be considered: first,
why research is required; and secondly, what is admissible as research and what it might
include. Paran (2008: 470) makes a strong case for more research by pointing out that both
supporters and opponents of language education agree that there is a ‘paucity of empirical
evidence’ for the claims regarding the use of literature in language learning programmes.
Paran argues that the aims of research should be to validate the largely theoretical writing
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on the topic, while Hall (2005: 181) points out that there are ‘unresolved questions still
insufficiently investigated’. Some of these questions might focus on how learners make
sense of literary texts, learners’ and teachers’ attitudes to using literary texts in language
courses, and what kinds of curricula, methodologies and tasks incorporating literary texts
demonstrably improve language acquisition.
A variety of research methods have been used to begin to investigate these questions,
including analysis of student discourse when discussing literary texts. One key study by
Hanauer (2001), for example, used an in-depth analysis of the transcribed discussions of
pairs of Israeli college students, in order to investigate how learners read and understand
poetry, and whether or not studying poetry enhances linguistic and cultural knowledge.
The students were asked to read and discuss in pairs Leonard Cohen’s poem ‘Suzanne’
(1966), with the aim of understanding it. Discussions between each pair were recorded, and
the protocols of the participants were transcribed, coded, and analysed according to nine
categories, which included such functions as ‘noticing’, ‘questioning’, ‘making interpretive
hypotheses’, and ‘presenting world knowledge’. According to Hanauer, while eight out of
the nine categories were associated with meaning construction, the two most prevalent were
those of noticing, which involved participants directing attention at a specific aspect of the
text, and interpretive hypotheses, which involved participants proposing a new option for
understanding a specific linguistic element or questions raised in the poem. Thus Hanauer
suggests that readers direct attention towards the formal language structures of the poem and
use these to construct meaning, supporting the position that poetry can be used to enhance
linguistic and cultural knowledge of the target language.
Another study, by Kim (2004), analysed student interactions during discussions in
student-led literature circles in order to explore whether literature enhances linguistic and
cultural knowledge. Kim’s methods included participant observation of lessons, recording
and analysing discussions, field notes, and follow-up informal interviews with participants.
Her qualitative analysis of the classroom discourse recorded provides evidence that litera-
ture discussions have the potential to develop communicative competency by involving
students both emotionally and intellectually, and increasing their enjoyment of reading.
In contrast to these studies, rather different research methods were used by Yang (2001),
who undertook a statistical analysis of multiple-choice tests for two separate groups of stu-
dents, designed to assess their knowledge of English grammar, sentence structure, and usage
both before and after a language course. One group of students followed a general English
curriculum, while the others were obliged to read an Agatha Christie mystery novel, which
was then discussed for an hour each week in class. The findings indicate a ‘substantial advan-
tage for the novel-reading classes’ (Yang, 2001: 457) in terms of their mean test scores.
This research was triangulated with statistical analysis of student questionnaires, as well as
in-depth interviews with twenty-four students, in which it was confirmed that students felt
positive about the learning afforded by reading an authentic text.
These studies all use a variety of methods, some of which may be relevant largely to
professional researchers with access to relatively sophisticated resources. However, the
need for practitioner-based research, undertaken as a form of action research (Hall, 2005)
or as case studies (Paran, 2006), in real classrooms by teachers, has also been highlighted.
Paran (2008: 470) points out that, because the classification of what constitutes research
is variable and potentially circumscribed, it is important to validate the ‘testimony of a
practitioner reflecting on what they do in class’. Such practitioner-based approaches may
also pave the way for more studies to be undertaken in primary and secondary classrooms,
rather than largely in universities, as happens currently.
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particular interpretation or response to the text, but rather to provide students with sufficient
scaffolding to make a well-justified and confident interpretation themselves. Task design
should be underscored by a progression of tasks from easier to more complex. Easier tasks
might include those relating to the more referential content in the text, while more complex
ones might be connected to teasing out the representational meanings implicit in the text.
The first principle to consider is that of relevance: how can the text be made relevant
to the students’ own experience? Can task design incorporate certain aspects of students’
schematic knowledge, either as a point of entry into the text or as a point of comparison?
For example, students might be asked to free-associate around some of the key themes in a
literary text before being asked to read it themselves. On the other hand, it could be argued
that one of the pleasures of reading literary texts is precisely that they take us beyond the
limits of our own experience – thus insisting on too narrow a definition of relevance could
be counter-productive.
The second principle relates to cultural background: will students need some cultural
background information to make sense of the text, and if so, what? Can a contrast be made
explicitly between the students’ culture and that in the text? Can the activities relating to the
text encourage students to develop a ‘third space’ (Kramsch, 1993)?
A third consideration is the language principle: to what extent may the language in the
text be seen as unusual (‘deviating from the norm’) or highly patterned in some way, and
what kinds of tasks can be used in order to help students to notice this language? A simple
example might be a poem in which new metaphors are created by breaking collocational
restrictions. Students might first be asked to consider what the usual collocations might be,
and then to comment on the meanings created by violating these restrictions.
A fourth consideration is that of literary background, and how necessary or important this
might be for students: do the students already have the kind of literary competence to iden-
tify the more literary features of a text, such as its genre (e.g. sonnet, thriller, extract from an
absurdist play) or its formal features (e.g. alliteration, rhyme, metaphor)? How important is
it for them to do so, and what kinds of tasks might be devised to assist with this?
Finally, if sufficient attention is paid to these principles, then it should be easier to focus
on the interpretation principle, which encapsulates the idea that students may need some
support in arriving at an interpretation of the text. This is particularly the case for elementary
and intermediate-level learners, who may be cognitively capable of making an interpreta-
tion of the text, but may lack the full linguistic capacity to do so. Different tasks could be
devised to help them, including writing short titles summarising the key theme or ‘message’
of a text, or choosing between alternative written interpretations provided by the teacher.
It is also important to build in the opportunity for some personal response to the text.
Teachers may decide not to provide any specific tasks in a lesson, but to adopt a more
student-led approach in which students, for example, discuss a text in literature circles/reading
groups and record their responses in reading journals. If more open-ended class discussions
do take place, then the teacher has an important role in orchestrating opportunities for student
talk. An interesting study by Boyd and Maloof (2000) suggests that if teachers play the role
of ‘questioner, affirmer and clarifier’, they may significantly encourage students’ active par-
ticipation in a literature lesson, by validating different interpretations and enabling students to
make links between the text and their own experience.
Research into creativity suggests that social networks and flat hierarchies – including
a good mix of people who know each other well, along with some ‘outsiders’ – make for
greater levels of creative teamwork (Lehrer, 2012). Thus active participation may also be
fostered by organising pairs and groups so as to include a mix of different students. There
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may also be scope for ‘small group multi-tasking’ (Baurain, 2007) in lessons, in which stu-
dents in large classes all work on different tasks, drawn from a stable framework, which are
rotated throughout the course.
Future directions
It is not easy to predict future directions in the uses of literature in language teaching, but
a number of trends are emerging. These are strongly influenced by globalisation, the rapid
increase in Internet technology, the influence of positivist, empirical paradigms in the field
of English language teaching, and the engaging possibilities offered by creative writing.
Globalisation has meant that English is now a global language, with the divisions between
Kachru’s inner and outer circles at times becoming more flexible. Nativised varieties of
English have legitimacy in many part of the world and are being used by many writers as a
way of exploring complex local identities. According to Talib (1992), literary texts written
in a variety of English with which students can empathise are more likely to promote the
integrative goal in language teaching, because such texts enhance students’ sociocultural
awareness and sense of identity. Talib argues that using a short story called ‘The Taximan’s
Story’ by Catherine Lim (1978), a Singaporean writer, which is written in an approxima-
tion of Singaporean colloquial English (SCE), affords many opportunities for developing
sociocultural language awareness among learners. For example, learners might be asked to
discuss certain linguistic forms in the text in terms of the extent to which they are an
accurate representation of SCE or depart from more standard forms. Vethamani (1996)
endorses this use of ‘new literatures in English’ by providing a set of language-based activi-
ties and stylistic analysis for texts from Malaysia, Singapore, Thailand, and the Philippines,
although interestingly the texts to which he refers appear to be written largely in standard
English. This suggests that there is a continuum of post-colonial texts that teachers can use,
ranging from those written in standard English to those written in nativised varieties. There
is also a possible development in terms of increasingly bilingual populations of readers
globally who are able to enjoy texts that incorporate code switching, such as The Brief
Wondrous Life of Oscar Wao by Junot Díaz (2007), written in a ‘sort of streetwise brand
of Spanglish’ (Kakutani, 2007). Such novels are published in both languages (in this case,
English and Spanish), and so there may be an opportunity to develop classroom activities
in which more advanced students are encouraged to comment on the quality of a transla-
tion, or perhaps write their own translation before comparing it with a published translation.
The Internet will certainly continue to have a profound effect on the use of literature in
language teaching. First, it affords many opportunities for project work in which students
investigate the background to a literary work. In addition, students can be tasked with cre-
ating hyperlinks to a literary work as a form of textual intervention, or with creating their
own piece of writing through participation in fan fiction websites (Lazar, 2008). The many
different tools offered by computers, such as corpus analysis, word processing, email, and
the exchange of audio recordings, can all be harnessed to generate highly interactive dia-
logue about literary texts between learners of English in one country and, for example,
native speakers in another (Meskill & Ranglova, 2000). A number of writers have already
explored the use of films and videos of literary texts in the classroom (see Delanoy, 1996;
Yeh, 2005), but it may be the case that, in the future, the division between text-as-words
and text-as-images is increasingly blurred with the development of multimodal texts online,
which include text, images, sound, and hyperlinks (see Gibbons, Chapter 18; Simanowski,
Chapter 24). A generation of digital natives may have no trouble consuming and enjoying
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such texts, but the challenge for teachers will be how to develop appropriate methodologies
for ‘reading’ such texts, so that students are encouraged to be critical and self-reflective in
their reading.
As we have seen, there is likely to be more data-driven research into the use of literary
texts in language teaching, which might challenge some of the assumptions of theory in this
area. Paran (2008) has argued that the contexts for using literature will be extended, with
literary texts being used in both EAP and ESP settings, and that the different genres being
taught will also be extended, with the inclusion of more non-canonical works, young adult
literature, and children’s literature, including picture books. Empirical investigation of the
efficacy of such an expansion will also need to be carried out, with further refinement in
research methods.
While data-driven research is likely to increase, so too is the trend towards highly participa-
tory creative writing activities, some of which stem from the drive to study a text more closely.
Pope (1995: 1) advocates the use of textual interventions in the classroom, whereby students
make changes in the text from ‘the merest nuance of punctuation or intonation to total recast-
ing in terms of genre, time, place, participants and medium’. By intervening in the text, and
actively changing it, students come to understand it more deeply, both linguistically and ideo-
logically. For Pope, the starting point is the original text itself, while for Spiro (2004, 2006),
either a text or a carefully scaffolded activity stimulates the student to write creatively and
use language imaginatively. Such output can be published, for example in school magazines
or on the Internet, so that learners of English may increasingly become creative producers of
English with a real audience, beyond the confines of the traditional classroom.
Related topics
creativity in second-language learning; literariness; literary stylistics and creativity; literature
and multimodality; teaching creative writing
Further reading
Carter, R., and McRae, J. (eds) (1996) Language, Literature and the Learner, Harlow: Longman.
A collection exploring both practical and theoretical issues relating to the interface between language
and literature in the second-language learning classroom.
Collie, J., and Slater, S. (1987) Literature in the Language Classroom, Cambridge: Cambridge
University Press.
A practical resource book for teachers, which includes a range of activities, drawing on communicative
methodology.
Hall, G. (2005) Literature in Language Education, Basingstoke: Palgrave Macmillan.
A thorough account of relevant literary theory, an overview of current research, and a guide to
appropriate research topics and methods.
Paran, A. (ed.) (2006) Literature in Language Teaching and Learning, Alexandria, VA: TESOL.
A collection of practitioners’ case studies from around the world, focusing on a range of genres and
approaches.
Parkinson, B., and Reid-Thomas, H. (2000) Teaching Literature in a Second Language, Edinburgh:
Edinburgh University Press.
A comprehensive overview of key issues and theory, with practical classroom suggestions for
different literary genres.
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Baurain, B. (2007) ‘Small group multitasking in literature classes’, ELT Journal, 61(3): 237–45.
Boyd, M., and Maloof, V. M. (2000) ‘How teachers can build on student-proposed intertextual links
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Kakutani, M. (2007) ‘Travails of an outcast’, New York Times, 4 September. Available online at http://
www.nytimes.com/2007/09/04/books/04diaz.html?_r=0 [accessed 3 March 2014].
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Journal, 84(4): 553–73.
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Creativity in composition
Martha C. Pennington
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In spite of the recognition among writing theorists of genre as providing flexible models
that can be adapted and challenged (Lillis, 2013) for creative expression, one of the effects
of the genre focus in composition pedagogy has been to tie teaching and learning to genre
models with a lack of attention to the creative aspects of writing. Attention to creative aspects
of writing might involve learning to say things in new and different ways, learning to inject
one’s personal perspective, voice, and experience into writing, and learning to adapt or chal-
lenge genre conventions for the writer’s own purposes. An important goal for composition is
to develop a pedagogy that balances the two goals of ensuring that students have awareness
and control of (a) the structural patterns and language of different genres, and (b) the creative
options for establishing an original voice and perspective that also connects to the voices
and perspectives of others.
An additional reason for the minimal attention paid to creativity in composition peda-
gogy may be because creativity is often thought of as a high-level achievement of only a
select group of talented individuals. Indeed, within creative writing, there is widespread
scepticism as to whether creativity can be taught (see, for example, Menand, 2009). This
way of thinking about creativity stems from a distinction that has often been made between
‘“big C” Creativity’, or artistic creativity, and ‘“little c” creativity’, or everyday creativ-
ity (Csikszentmihalyi, 1988; Kozbelt, Beghetto, & Runco, 2010: 23–4; Merrotsy, 2013;
Pennington, 2012). ‘“Little c” creativity’ is built into human nature and makes it possible
for all of us to understand and deal with new situations, solve daily problems, and respond
appropriately in word and deed in the virtually infinite variety of situations with which
human beings are faced during a day or a lifetime. This kind of ordinary human creativity
is ‘not only universal, but necessary to our very survival’ (Richards, 2010: 190). The fact
that creativity is a general and universal human capacity suggests a foundation on which
teaching can be built that moves away from an emphasis on ‘“big C” Creativity’ and con-
siders creativity in a new light.
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history of creative writing The Elephants Teach. This title stems from a remark attributed
to the linguist Roman Jakobson, who is said to have responded, when Vladimir Nabokov
was being considered for a chair in literature at Harvard: ‘What’s next? Shall we appoint
elephants to teach zoology?’ This remark suggests the long-standing academic differen-
tiation between creative and scholarly practice. The three areas of the English curriculum
within universities – composition, literature, and creative writing – continued to diverge and
develop as separate fields or academic disciplines (Nystrand, Greene, & Wiemelt, 1993).
Like English literature, English composition has strong formalist roots, and from the
1940s to the 1960s, it developed a form-focused rhetorical orientation centred on textual
features of writing (Nystrand, Greene, & Wiemelt, 1993: 274–8). Composition has largely
been taught as analysis of texts read outside of class, transmission of information about
the characteristics of model texts and the rules for good writing, and the writing of papers
outside of class, which would then be graded – sometimes with a general comment added.
The method of learning to write was thus an indirect one in which the student was expected,
through a process of induction (or osmosis), to be able to acquire the habits of effective
writing. Creative writing went a very different way, developing a workshop approach cen-
tred on writing critique. According to Crowley (1998: 207), ‘workshops came into their
own as a pedagogical tool during the middle of the twentieth century with the establish-
ment of programs in creative writing’, the first of which – still considered the leader in the
field – was established as the Iowa Writer’s Workshop. The Iowa workshop model, which
is widespread in creative writing, is based on the idea of critically moulding people who
already have shown writing talent. Like the textually focused method for teaching writing
in composition classes, the kind of workshop model practised in creative writing teaches
writing indirectly and does not serve as a model for teaching creativity.
In the 1960s and 1970s, the process writing movement (for example Emig, 1971;
Flower, 1979) challenged the adequacy of formalist approaches to rhetoric and influenced
composition practice to centre on the writing process rather than on texts. Process models
of writing incorporate both the mental and physical processes connected with planning,
generating ideas, refining ideas, and drafting a composition through successive stages of
development. Writing is then seen as an individual achievement resulting from a series of
creative acts performed by each writer. In recognition of writing as creative behaviour,
process approach methodology includes activities aimed at generating ideas – such as pre-
writing discussion, brainstorming, and free-writing – as an important formative step in the
writing process. Process methodology also encourages writing as a form of personal expres-
sion, thereby connecting it to creative writing (Myers, 1996: 4). According to Young (1987),
the process movement inspired an increased focus on invention in rhetoric and composition
that can be connected to an emphasis in the twenty-first century on non-literary aspects of
creativity (see, for example, several of the chapters in Donnelly & Harper, 2013; for review,
see Pennington, 2014). Process-oriented instruction is still widely applied in schools in the
United States (McQuitty, 2014), especially in the collaborative writing workshop method,
as practised in elementary and middle schools (Calkins, 1994; Ray & Laminack, 1991),
and aspects of process methodology, especially peer review and submission of a non-final
draft for formative feedback, now pervade most composition pedagogy.
The 1980s saw a turn to social constructionism (for example Bartholomae, 2005 [1985];
Bazerman, 1988; Brodkey, 1987; Nystrand, Greene, & Wiemelt, 1993: 285–301) in writ-
ing studies and functionalism in linguistics (Halliday, 1985), which impacted on views of
writing and writing pedagogy. Social constructionism suggests that writing is a social act
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through which writers construct meaning and their own identities in interaction with others.
Looked at through a social constructionist lens, writing involves the creation and negotia-
tion of meaning in interaction with an audience, which may be specific individuals or larger
groups or discourse communities to which the writer wants to belong. It is therefore crea-
tive, and yet must adhere to norms of communication with others. From this perspective,
a main goal for a writer is to learn the conventions of written language as used in a certain
field, area of specialisation, or genre, and how linguistic forms realise its specific functions
and purposes. This goal is essentially that of WID, WAC, or the ESP orientation to teaching
English, which has a strong writing strand (Berkenkotter & Huckin, 1995). The other main
goal for a writer from a social constructionist perspective is to creatively challenge, violate,
and recreate the discourse norms and the texts associated with a specific communicative
context – whether it be a specific genre, academic discipline, field of employment, or other
field of activity. In so doing, a writer learns to balance the linguistic constraints of a specific
discourse community – the collective – against her or his entitlement and desire to express
individual identity and create something original.
In recent decades, composition instruction has come to be focused on the specific forms
of writing needed in different disciplines and for different purposes, an emphasis con-
nected to WAC, WID, and ESP. These emphases challenge the value of an autonomous,
general-purpose FYW course; and, increasingly since the 1970s, writing has been offered
in the United States in upper division, specialised WAC writing courses (Russell, 2002)
and in other countries in ESP writing courses tied to specific disciplines, such as writing
for business or writing for engineering. Although these subject-focused writing courses
fill a need for specialised genre-focused writing development, they have a potentially
undesirable side-effect of giving the writing course a primarily utilitarian orientation that
de-emphasises creativity.
Since the 1980s, the rise of SFL growing out of Halliday’s work has ensured a strong
place for genre in the teaching of writing. Modern views of genre recognise its flexibility
and mutability (for example Lillis, 2013), and the need to teach students to modify and
rethink genres in terms of their own purposes (English, 2015). Since the 1990s, writing
pedagogy has included more involved and expressive writing within considerations of both
process and genre, as can be seen in the National Writing Project (http://www.nwp.org)
and the writing workshop approach practised in elementary and middle schools in the
United States, which incorporates attention to genre and language through model texts and
may also include explicit strategy training (Harris, Graham, & Mason, 2006). At the pre-
sent time, most writing pedagogy represents a hybrid of process and genre pedagogy, with
varying emphases of these two strands and varying emphases on creativity. However, even
those approaches to composition pedagogy that recognise its importance to writing often
do not include any specific methodology for teaching or enhancing creativity. While some
approaches, such as process writing and the collaborative writing workshop, incorporate
attention to creativity, any approach to writing can be supplemented by techniques to work
on students’ creativity.
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WID, or ESP composition course. Although widely used in creative writing, the ‘workshop
model’, in which teacher and peers critique an individual student’s work in a non-interactive,
one-way process with the writer ‘in the hot seat’, can, at best, only indirectly enhance crea-
tivity and can, at worst, completely discourage a writer. A wide range of other techniques
have been developed for enhancing creativity, although systematic investigations of creative
approaches to teaching composition at university level are lacking.
A second issue for composition instruction is balancing the requirements of creativity with
those of structure and genre, helping students learn to operate within the dynamic of these
two foundational elements of good writing. Student writers have often learned to construct
a paper without attention to creativity or connections of writing to personal knowledge or
identity. Instead, their writing process relies heavily on constructing a paper within vaguely
apprehended constraints of organisation and genre, using information drawn from external
sources, with little in the way of original analysis or synthesis of other people’s ideas into the
writer’s own framework. They also tend to try to write final text as first text, with the aim of
reducing the need for revision or rewriting. Thus instruction might assist students to carry
out a staged writing process, with specific activities designed to encourage agency, original
thinking, and analysis and synthesis of the writer’s own ideas in relation to those of others.
Composition teachers and students must learn how to balance the contrasting requirements
of conventionality and standardisation, on the one hand, and originality and personalisation,
on the other (Enright, 2014; Hartley, 2007; Pennington, 2011). This is especially challeng-
ing in an era of assessment in which teachers are being pushed to anticipate, as well as to
structure in advance, everything that a student might do on an assignment, so that marking
can be tied to specific measurable features of what is produced. Structuring assignments in
such as way as tailor them to pre-specified outcomes values adherence to norms over crea-
tive response, and limits students’ independence, autonomy, and initiative in pursuing those
ideas and topics that are most original and most challenging, but which may be of greatest
interest to them. These are exactly the sorts of writing projects that do not easily fit into
highly structured and staged assignments. Over-specification of a writing assignment, as
encouraged by the assessment culture, often leads students to focus more on its formal, sec-
ondary features (for example formatting, correct mechanics) than its primary purpose and
content features (Enright, 2014). As Spitzer (2015: 244) observes about his creative puppet
theatre assignments for university writing, some kinds of writing assignments are better
‘half-baked’, because a significant degree of openness and non-specificity leaves room for
student writers’ own exploration and discovery process, allowing them to tailor the assignment
to fit their own interests and purposes.
Too much direction from the teacher can be stifling of creativity in another sense. Marking
correct and incorrect features and giving grades on all writing that is handed in to the teacher
encourages students to be dependent on the teachers’ view of their writing rather than their
own view. They learn not to trust their own perspectives and do not develop their own values
about writing. Students can then lose interest and become uninvested in their own writing,
writing merely to satisfy the demands of an assignment and to get a grade – which means
that they are writing essentially for the teacher rather than for themselves or any other
audience. Such uninvolved, utilitarian writing lacks motivation or inspiration, bypassing
or shortcutting the creative thinking-and-writing process that results in a unique voice and
point of view, and instead produces unoriginal, highly derivative, or plagiarised writing
(Pennington, 2015). An aspect of writing instruction aiming for creative engagement should
therefore be to help students to become invested in, take responsibility for, and learn how to
respond to their own work.
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A further issue is how to incorporate technology in the teaching of writing in ways that
encourage creativity and also help to balance the dual formal and creative goals of composi-
tion. Composition students need to learn how to creatively borrow and remix text in print
and digital forms through the processes of:
mashing
locating relevant source materials and combining them in effective and
appropriate ways;
modding
modifying, altering, or building upon the ideas that have been borrowed
from others to create some kind of new idea or perspective; and
memeing
presenting the new idea or perspective in a way that makes it memorable,
relevant, useful and/or emotionally compelling for readers.
(Jones, 2015)
In other words, they need to learn how to acceptably (that is, in ways that avoid plagiarism)
use and combine (mash), and how to modify and build on (mod) existing resources to create
a new and memorable perspective (meme). We might also add, following Manovich (2007),
the ability to sample, in the sense of students being able to select pieces of text to quote in
their own work. In the digital era, the key is for students to learn, using combinations of
print text and other multimedia resources, how to sample, mash, mod, and meme combina-
tions of existing resources into their own original creations in ways that give sufficient and
appropriate credit to others. (For a discussion of issues, see Jones & Hafner, 2012: 45–7; see
also Knobel & Lankshear, Chapter 25.)
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Early research on creativity led to the development of Finke, Ward, and Smith’s (1992)
Geneplore model of creative cognition. The model describes creative outcomes as resulting
from two interacting phases of thought: a ‘pre-inventive’, generative phase of producing
‘candidate ideas’ with creative potential; and an exploratory phase of selecting some of those
ideas to develop further into a creative product. The generate–explore process emphasises
divergent, associative thinking to collect and conjoin a diversity of conceptual components,
which are then selectively shaped through convergent thinking into novel products. As
Ward and Lawson (2009: 197) maintain, ‘it is the recursive nature of the generate–explore
process that results in large-scale creative products’.
Waitman and Plucker (2009: 306) note the close parallels of the recursive Geneplore
sequence to the processes of creative writing, and parallels can also be noted in descriptions
of the composing process (Bereiter & Scardamalia, 1987; Emig, 1971; Flower & Hayes,
1981; Perl, 1994; Sharples, 1999). The methods of composing process studies (Nystrand,
Greene, & Wiemelt, 1993: 81) were often think-aloud protocols (TAPs) in which writers
orally describe and record their thinking and writing processes as they work, or retrospec-
tive reflections, in which writers describe their thinking and writing process immediately
after they finish drafting, sometimes based on viewing a video recording of their composing
process. This body of composing research led to a characterisation of the writing process
as incorporating recursive iterations of generation and exploration of ideas through activi-
ties such as making notes and lists, outlining, and free-writing, with frequent rereading and
micro-level tinkering leading to revision of previously generated text and addition of new
text. These activities feed the development of provisional text in the form of draft material,
which is then further shaped – through focused attention, critical reflection, and revision
with the writer’s purposes in mind – into polished text that is the writer’s creative product.
The writing process, which builds ideas and text cumulatively, with frequent revision of
already generated text and integration of new text, has been greatly aided since the avail-
ability of word processors has made it easy to continually generate, alter, eliminate, and
move written text.
Consistent with what is known about the early stages of creative production of all kinds
(Boden, 2004; Kaufman & Sternberg, 2010), a creative writing process includes a stage
in which writing is accomplished in a cognitive mode focused on ideas or mental pictures
more than text itself (Kellogg, 1994, 2008: 10) – one that is more intuitive, imagistic, and
free-flowing than the more purposeful and critical mode of thought tailored to construction
of final text. Csikszentmihalyi (1996) interviewed nine writers, finding that they tended
to generate small caches of ideas (fragments of dialogue, descriptions, scenes, or images),
and then worked from these to find a mental focus and build text (draft material) around it.
Doyle (1998: 30) interviewed five fiction writers, observing that they started with a ‘seed
incident’ that was ‘touching, intriguing, puzzling, mysterious, haunting or overwhelming’
as a focal mental point for evolving further ideas. In capturing the seed incident in verbal
and/or visual form (for example as a sentence, paragraph, or picture plus caption), the writer
moves into a ‘fiction world’ and sets the stage to start working mentally in that world, in
which processes such as automatic writing, free-writing, and narrative improvisation occur.
In the best case, the writer will be in a ‘flow’ experience (Csikszentmihalyi, 1996), losing
track of time and physical surroundings, writing fluently and non-critically, with attention
to new viewpoints.
Fiction writers move back and forth between the world of the imagination and flow
experience and the world of communicative meaning and intention in which they must
evaluate the linguistic construction generated in that free-flowing imaginative state with a
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critical eye. In so doing, they cycle between the creative mind working at the imaginative
edge of idea processing and the rational mind needed to shape language in consideration
of how words and successive levels of linguistic structure – from phrases, to sentences,
to paragraphs, to whole genres – are shaped to meet writer intentions and audience needs.
One successful fiction writer describes the process as follows:
For a creative writer, the negotiation between the focused awareness required for
language manipulation and the relaxation state required for image and fantasy formation
is a difficult juggle. Writing fiction demands a moment-by-moment journey to and
from the inner paths of the brain and the outer regions of the attention network, as the
writer has to remain in a state of focused alertness while engaged in working memory
retrieval and task-completion for each word written, each carefully sculpted sentence,
each structurally managed paragraph; and yet the writer must also be ready to drop that
alertness from moment to moment, in order to re-enter the anxiety-free, relaxed mind-
state from where the writer will purloin spontaneously arising daydreams, or empathize
with a character’s plight, and envision plot possibilities.
(Valeri, 2014: 188–9)
Creativity requires ‘a mental state where attention is defocused, when thought is associative,
and when a large number of mental representations are simultaneously activated’ (Kaufman
et al., 2010: 218). Each of these psychological conditions (defocused attention, associative
thought, and simultaneous activation of a large number of mental representations) is antitheti-
cal to genre requirements in writing – that is, for selection of words and grammatical structures
that precisely convey the author’s intended meaning within rhetorical considerations of audi-
ence and purpose. Such selection and construction of sentences, and more generally of a logi-
cally sequenced and both cohesive (grammatically well-structured) and coherent (semantically
well-structured – that is, meaningful) text that speaks to a certain audience, requires highly
focused attention and critical, convergent thinking. It also requires controlled activation of a
global mental representation of the target for which the writer is aiming, in terms of the overall
purpose and goal of the writing, as well as a related set of mental representations – of audience,
tone, relevant facts, organisational options, etc. Generating novel ideas, and then tying those
to coherent language and rhetorical patterns, invokes the sequential and interactive engage-
ment of ‘traditionally “left-brain” processes of information acquisition and storage . . . with
processes associated with the “right brain”, such as abstract and novel integration’ (Kaufman
et al., 2010: 221). Through these different kinds of brain activity, ‘the primordial chaos of the
writer’s mind’ is transfigured into an embodiment of mental phenomena forming a coherent
linear sequence of words, a written text, which is tailored to a certain rhetorical purpose and
represents the writer’s ‘version of things’ (Gammarino, 2009: 20).
Balancing the different mental states during writing is a challenge given that creative thinking
seems to involve ‘cognitive disinhibition, or the ability to shed the schematic constraints and
biases that impede creative thought’ (Kaufman et al., 2010: 222), while operating within specific
schematic constraints is essential for producing any text intended to be read and understood by
another. This is especially obvious for scholarly writing, which has relatively strict requirements
for transparency, clarity, and conventionality, while also valuing originality. Thus scholarly writ-
ers, in order to satisfy needs for originality and individual expression, while also meeting genre
requirements, must learn how to operate within these different states of cognitive activation: one
intuitive and imaginative (abstract, holistic, multidirectional); the other controlled and rational
(analytical, critical, sequential). Since the pursuit of a creative goal in writing requires different
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kinds of brain activation from composing focused on schematic structure, and since these cannot
be maintained simultaneously, but require different mental states at different times during the
writing process, creativity and genre can be taught as separate facets of composition pedagogy.
Separating out the various processes of composing is of value for novice writers, who cannot
juggle them all simultaneously owing to the complexity of writing (McCutcheon, 1996), which
Kellogg (2008) suggests takes at twenty or more years to master. The challenge for teaching is
to help students learn to write in both of these different states and to integrate the products of the
creativity-focused state with those of the information-focused state.
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3. the structural patterns and language of different genres, the knowledge and expecta-
tions of the intended audience, and how individual writers wish to represent or chal-
lenge these to achieve their own purposes in writing; and
4. the processes of searching, assessing, and integrating textual and non-textual sources
into their writing in both appropriate and original ways, and of developing information
in alternate modes using digital tools.
Not only genre models, but also specific linguistic techniques of creative expression that are
applicable to writing in a range of genres can be taught as part of fulfilling the knowledge
requirements of (3), such as:
As an aspect of (3), students can be asked to consider the novel concepts and language in
model texts, and as an aspect of (4), their intentions in terms of developing and presenting
new concepts or perspectives on others’ work and how they plan to do this.
The recommendations of Kim (2010) for the digital competencies that all university gradu-
ates need include being able to individually and collaboratively create wikis, blogs, websites,
and other kinds of digital objects – such as audio, podcasts, photos, and video – and then to
integrate these within a wiki, blog, or website. Other useful creative media skills suggested
by Kim are creating voice-over presentations to enhance online texts, and using images and
sound to tell a good story. In addition, the ability to create various types of graphical rep-
resentation of information, such as infographics and digital timelines (Gruber, 2015), using
online tools for creating these and for building on previously created graphics, can add new
creative dimensions to composition. The abilities both to create and to creatively embed,
alter, and animate such digital objects are highly valuable skills for creatively developing
new kinds of multimedia texts. This means being familiar with the available websites and
tools, and, in the best case, having some facility with computer code as well.
To encourage creativity, the teacher must make it a priority in course activities, feedback,
and grading. Rhetorical analysis can consider the types and the overall level of linguistic and
conceptual creativity evident in different exemplars of academic and non-academic writing.
Matters of style can also be addressed and included in assessment criteria, and students can
perform a stylistic analysis of their own writing and the functions and purposes that it accom-
plishes (Carpenter, 2005), as a basis for drawing their attention to their own voice and crea-
tive options in writing. In addition, students might be allowed or encouraged to write assign-
ments not only in the classic, ‘objective’ or detached thesis-centred argumentative style, but
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also in a more contemplative, ‘subjective’ and involved style that allows for more personal
reflection and less definitive conclusions. In recognition of the value of creative assignments
for motivating student interest and engagement, and of the value for university graduates of
both critical and creative thinking and communication, teachers might consider including
one or more creative writing assignments, as Gammarino (2009) advocates, in their FYW
or other academic writing syllabi. They might also allow or encourage students to submit
hybrid works combining, for instance, poetic expression and critical essay or autobiography
and research (Pennington & Welford, 2014; Welford, 2015).
Lim (2015: 255–6) suggests the possibility of:
useful crossovers from creative writing features to academic writing practices. Some
examples are the occasional deployment of a personal voice/subjective narrator; the use
of different points of view and of narrative to dramatize an argument; and the appeal
to human interest, in the portrayal of characters and particularities. Shared stylistic
concerns include the function of economy and the judicious use of figurative language;
and the deployment of narrative, description – setting – and dialogue for greater clarity
and illumination. That is, academic writing is never without the resources that mark the
creative writing text in vivifying the argument paper.
Composition teachers can raise students’ awareness of these creative possibilities for academic
writing and give students credit for them in their own writing.
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in the professions who are working at the cutting edge with difficult concepts generally una-
vailable through language to lay persons’. The many potentials for cross-fertilisation and
alignments of composition, creative writing, and writing in the disciplines, in the context
of the ongoing evolution of creative uses of digital media, are predicted to be the dynamic
elements out of which the future of creativity in composition will be constructed.
Related topics
language, creativity, and remix culture; literature and language teaching; teaching creative
writing
Further reading
Chik, A., Costley, T., and Pennington, M. C. (eds) (2015) Creativity and Discovery in the University
Writing Class: A Teacher’s Guide, Sheffield/Oakville, CT: Equinox.
A practice-oriented collection contributed to by creative writers and composition specialists,
proposing creative and discovery-oriented approaches to teaching writing at university level.
Johnson, T. R., and Pace, T. (eds) (2005) Refiguring Prose Style: Possibilities for Writing Pedagogy,
Logan, UT: Utah State University.
A historical, theoretical, and practical review of style, as applied to the teaching of composition.
Millan, H. L., and Pennington M. C. (eds) (2014) Creativity and Writing Pedagogy: Linking Creative
Writers, Researchers, and Teachers, Sheffield/Oakville, CT: Equinox.
An edited volume examining the topic of creativity in writing from theoretical, practical, and
research perspectives, and showcasing creative pedagogy.
Morley, D. (2007) The Cambridge Introduction to Creative Writing, Cambridge: Cambridge University
Press.
A comprehensive guide to creative writing practices and techniques.
Sharples, M. (1999) How We Write: An Account of Writing as Creative Design, New York: Routledge.
Sharples presents an original view of writing as involving creative design and an in-depth examination
of writing processes.
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Welford, T. M. (2015) ‘Creative approaches to research-based essays’, in A. Chik, T. Costley, and
M. C. Pennington (eds) Creativity and Discovery in the University Writing Class: A Teacher’s
Guide, Sheffield/Oakville, CT: Equinox, pp. 115–37.
Young, R. (1987) ‘Recent developments in rhetorical invention’, in G. Tate (ed.) Teaching Composition:
Twleve Bibliographical Essays, Fort Worth, TX: Texas Christian University Press, pp. 1–38.
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Teaching creative writing
Graeme Harper
Introduction
Creative writing has been one of humankind’s most pervasive and long-lived arts, as well
as one of our most intriguing forms of human communication. Long-lived, in that as soon as
we humans began to inscribe words, we began to use that inscribing for creative purposes.
Intriguing as a form of communication because creative writing is often not aiming to com-
municate directly or unambiguously, but rather to encourage thought, to elicit emotional
response and personal interpretation.
Ancient in its foundation and strongly present in the contemporary world, almost every
location around the globe has seen some human engagement in creative writing, and in
many it has contributed to the emergence and prominence of the publishing, media, and
performance industries, among other creative industries. Creative industries are those
parts of the economy that trade in creative products and creatively enhanced experiences,
as well as in the generation and exploitation of knowledge. Despite this, situating creative
writing within a discussion of the creative industries is not very common. Much more
common is discussing creative writing in relation to specific material outputs (that is,
novels, poems, scripts, and so forth) and according to its relationship with particular kinds
of language use.
An initial difficulty lies in how we define ‘creative writing’ compared to other forms of
writing. In the simplest terms, where does creativity begin and where does it end? There
is no easy answer. Another significant puzzle relates to whether we define creative writ-
ing according to material things or according to actions. In the larger part, history has
witnessed creative writing defined by its material outputs. Thus the teaching of creative
writing has been divided along the lines of teaching students to write poetry, or teaching
them to write short stories, or teaching them to write screenplays, and so on. This is not
universally the case, but frequently it has been so. The final output in effect creates the
definition of creative writing and the teaching associated with it. By defining it this way
alone, we miss much of what creative writing really involves. We can, instead, define crea-
tive writing by saying that it is the actions associated with writing creatively, that these
are informed by the human imagination and by the intellect, and that these actions employ
individual, as well as cultural, knowledge. Of course, to describe creative writing only this
way leaves out something of the truth.
Therefore, we best define creative writing by saying: Creative writing is the action of
writing creatively, informed by the human imagination and the intellect, employing both
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personal and cultural knowledge, and creating a variety of results, some private, some
public, some tentative, and some in various ways complete.
Historical perspectives
When, in the seventeenth century, Anthony A. Wood (1691–92) undertook his monumental
work Athenae Oxonienses: An Exact History of All the Writers and Bishops Who Have Had
Their Education in the University of Oxford – To Which Are Added the Fasti, or Annals of
the Said University, he was, according to his title, referring to those who had learned writing
while at Oxford University. Not all of those included in Wood’s survey are what we would
call creative writers in a contemporary sense; some, we almost certainly would. Furthermore,
the education to which Wood refers is not largely based in formal creative writing classes,
but in a variety of informal learning, from personal mentorship to what, in today’s university,
would often be called interdisciplinary exchange.
Anthony Wood’s creative writers were largely learning to write creatively via what can
be called educational osmosis. In a similar informal pedagogic vein, John W. H. Walden
(1919: 11), in his The Ancient Universities of Greece, makes note of the singing of lyrical
poetry to the accompaniment of the lyre in fifth-century bc Athenian education. However,
Walden (1919: 6) pinpoints some more formal aspects of writing teaching by suggesting
that such learning was enhanced by the studying of literary style, expression, and the power
of description. Topics such as these are not unusual in formal creative writing teaching
even today.
In his 1955 book Ancient Education, William A. Smith (1955: 81) speaks of the influence
and power of those with developed skills of literary expression in ninth-century ad China,
and comments that much emphasis was therefore placed on this within Chinese colleges
and schools, at one point to the detriment of education in science and technology. Smith’s
(1955: 81) wariness – Smith commenting that, because of this emphasis on education in
literary expression in China at that time, ‘science and technology failed to develop on an
adequate scale’ – is perhaps as much influenced by notions present in the mid-twentieth
century, when he was writing as it is a depiction of conditions in ninth-century China.
Concern over how much formal creative writing education should occupy the time of
students in higher education, or how productive such formal teaching really is for the indi-
vidual, as well as for society more generally, remain topics of debate.
Commonly, teaching is considered to be the bringing about of learning, or the leading of
someone to knowing something. Imparting, guiding, and instructing are all associated with
teaching. Palpable examples of creative writing teaching away from institutions of education
quickly come to mind: the creative writer learning while working in some kind of publishing,
or in some other field of writing such as journalism; the creative writer taught by his or her
involvement in another creative art in which such things as form, function, style, or address
to an audience traverse the mediums of expression; the creative writer guided by or led to
knowledge through his or her exposure to finished works of creative writing.
DeWitt Henry (2012: 17) writes of such informal educational circumstances when he
asserts that ‘just as the combination of shoptalk, mutual editing and critical theory is exem-
plified by Wordsworth and Coleridge, surely the nexus of Hawthorne, Emerson, Fuller,
Thoreau and other New England writers of the 1840s exemplifies an American school
“without walls”’. Writing earlier, Muriel Harris (1921), in an article in The North American
Review, similarly bridges a discussion of Britain and the United States in the activities of
the French salon and the English coffee house. She comments on Henry James living in the
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London borough of Chelsea, ‘carrying the salon spirit with him’, continuing to note that,
‘in Chelsea too, there are today a number of well-known English families of long literary
heritage, whose weekly gatherings have a good deal in common with the thought of the
salon’ (Harris, 1921: 827).
As Harris’ comment shows, not least because of the predominant social dimensions of
the borough of Chelsea, the impact of social class and the commodification of literature has
had some part to play in the history of informal creative writing learning. So it was that the
eighteenth-century shift away from literary patronage and towards commercial publishing
created conditions under which creative writing learning of an informal nature was interwoven
with changes in how literature might reach its readership.
While the later existence in the early twentieth century of such groups as, say, the
Bloomsbury Group could be said to represent another condition of informal creative writing
learning, whereby group members learned from each other, it cannot be said that, in a group
such as Bloomsbury, creative writing learning was made available to an extended social
group, its members being so entirely upper middle class. The same difficulty of locating
widely impactful informal creative writing teaching and learning can be recognised in how
eighteenth-century shifts in literary commodification impacted on the coteries and circles
of literary London, as ‘a professional writer, it was felt, should be servant to no one but
the public. His work should not reflect the etiolated taste of a sybaritic aristocrat but rest
on the firmer foundation of public approval’ (Brewer, 1997: 162). But the type of person
who might learn to write creatively was still very socially limited, up until the expansion of
access to higher education, particularly in the latter half of the twentieth century.
There are today a relatively small number of histories of formal creative writing teaching
in modern universities and colleges, although there are many commentaries on the emergence
of particular creative writing courses, biographical notes on teaching faculty, or notes on the
publishing success of a particular student or students. Thus Robert Dana’s (1999) edited work
A Community of Writers: Paul Engle and the Iowa Writers’ Workshop cannot be faulted for
being a history of the Iowa Writers’ Workshop; after all, it claims to be nothing more. How-
ever, history works in the relationship of the holistic to the individual, the wider story to the
personal story, as well as in the relationship of the individual to the holistic, the personal sto-
ries that contribute to the whole. It is the former that remains uncommon in the historiography
of formal creative writing teaching and learning. Furthermore, concerted historical accounts
of research undertaken into the practice of creative writing, or through the practice of creative
writing, so as to inform methods of teaching or to offer interpretive or theoretical insights, are
so far so rare that they might be considered non-existent.
This largely reflects a tradition, into which Dana’s book neatly fits – that is, the tradition
of speaking mostly about those who have taught in an institution or department, or of mak-
ing note of the successes of students in having their finished works published or performed.
A good example of this tradition is provided by the American Association of Writers and
Writing Programs (AWP), founded in 1967, in the programme for its annual conference, the
largest creative writing teaching conference in the world. The AWP conference programme
contains dozens of advertisements listing faculty and students’ successes in gaining pub-
lishing or performing credits, very little about pedagogic approaches, and nothing about
discoveries made through creative writing research.
Because there are still relatively few comprehensive histories of creative writing teaching
in modern universities and colleges, it is important to highlight examples. The Elephants
Teach: Creative Writing since 1880 by D. G. Myers (1996), Creative Writing and the New
Humanities by Paul Dawson (2005), Michelene Wandor’s (2008) The Author Is Not Dead,
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Merely Somewhere Else: Creative Writing after Theory, and Mark McGurl’s (2009) The
Program Era: Postwar Fiction and the Rise of Creative Writing are all excellent examples.
The Elephants Teach: Creative Writing since 1880, although the oldest of these four
works, is no less influential today than it was when published. Myers’ (1996) book has as
its focus the teaching of creative writing specifically in American colleges and universities,
and this needs to be kept in mind when considering the conclusions reached. The existence
in the United States of teaching units concerned with composition and rhetoric sets apart this
American experience from those in some other national arenas in which these do not exist.
Additionally, the author’s analysis emerges from his interest in the condition of literary study
and departments concerned with this. Screenwriting and creative writing in art and design
therefore receive little attention in the book. His arguments that, following the Second World
War, ‘creative writing programs became a machine for creating more creative writing pro-
grams’ (Myers, 1996: 146) and that ‘creative writing was originally an enterprise for bringing
the understanding of literature and the use of it into one system’ (Myers, 1996: 167) do not
hold entirely true in countries such as the United Kingdom and Australia.
Australian Paul Dawson (2005: 2) remarks, in Creative Writing and the New Humanities,
that ‘the history of creative writing needs to be seen as a series of educational responses to
the perennial “crisis” in English Studies, rather than an apprenticeship which developed
alongside and largely untouched by Literary Studies’. He chiefly explores notions of know
ledge in creative writing, saying in contrast to Myers that:
instead of resting on an assumption that writers were absorbed into the academy, the
account of the historical origins of creative writing which I shall provide is a means of
enquiring into how it came to serve the needs of writers in terms of apprenticeship and
patronage.
(Dawson, 2005: 5, emphasis original)
He concludes that ‘the disciplines of creative writing hovers today between a vocational
traineeship for the publishing industry and an artistic haven from the pressures of com-
mercialism’ (Dawson, 2005: 214).
In her The Author Is Not Dead, Merely Somewhere Else: Creative Writing after Theory,
Michelene Wandor (2008), who is based in the United Kingdom, offers a third geographi-
cally informed history. For example, Myers’ (1996: 168) notion that ‘creative writing had
become a national staff of writers who teach writers who go on to teach, and to hope for
tenure and promotion’ is at best partly correct in the United Kingdom, not least because
there is no system of academic tenure. Wandor undertakes a wider sweep than either Myers
or Dawson, from critical trends to creative writing organisations, from self-expression to
literacy. She suggests that:
[T]eachers from [creative writing] in the UK come from two professional groups:
(a) career academics (generally within English) and (b) professional writers, brought
into higher education to parallel musicians, performers, painters etc. (professional
practitioners) who have for many decades taught their art expertise to students.
(Wandor, 2008: 2)
Myers and Dawson speak of creative writing in higher education as the story of a success,
and Wandor (2008: 1) begins plainly with her statement that it is ‘one of the success stories of
the late twentieth century in the UK’. Mark McGurl (2009: ix) similarly opens The Program
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Era: Postwar Fiction and the Rise of Creative Writing with a success statement, saying that
‘paying attention to the increasingly intimate relation between literature production and the
practices of higher education is the key to understanding the originality of postwar American
literature’. He reads the history of creative writing in higher education from the fictional
texts emerging in the post-war period, and he reads into and through the biographical trails of
the authors whom he considers. With chapters such as ‘Art and alma mater: The family, the
nation, and the primal sense of instruction’, this is the history of certain creative writers on
campus and the works that emerged because of their academic location, and it is the history
of the condition of post-secondary education in post-war America.
Because of the scarcity of comprehensive histories of creative writing education, there
is a tendency to fall back on individual institutional or individual creative writer histories.
While these provide some background, they distort the historical picture. For example,
creative writer histories tend to be about writers who have gained some fame. The majority
of creative writers do not become famous, so those histories do not give a balanced picture
of creative writing education, nor, in fact, do they claim to be seeking to give a balanced
pedagogic history.
Certainly, such institutional developments as the Iowa Writers’ Workshop in the United
States, founded in 1936, and the postgraduate course in creative writing at the University
of East Anglia in the United Kingdom, founded in 1970, heightened public knowledge of
creative writing in higher education while further formalising the educational exchanges
involving creative writers that had long occurred in universities and colleges. More so,
however, contrasting aspects of the history of creative writing in higher education are
revealed by first considering the existence of formal units in US post-secondary education
devoted to composition and rhetoric, where there are strong theoretical contentions. This
contrasts with conditions in countries such as the United Kingdom and Australia, where
these units do not exist. Thus theoretical investigations specifically of creative writing more
readily occur, for example, in Australian higher education.
The general American insistence on creative writing as exclusively studio arts practice,
theoretically underpinned by the critical study of literature, as indicated by both Myers and
McGurl, means that the history of creative writing teaching in the United States is in the
largest part the history of that relationship. Contrasting national conditions also mean that the
idea of research in and through creative writing, widely referred to and funded by research
sponsors in countries such as the United Kingdom and Australia as ‘practice-led research’,
whereby creative writing is understood to be able to ‘produce new knowledge’ (Harper,
2013: 280), is not a significant feature of creative writing pedagogic history in the United
States. ‘National differences’ such as these likewise relate to how current critical issues and
topics in the teaching of creative writing are focused and find audiences (Earnshaw, 2007: 7).
Nevertheless, some shared international issues have historically arisen.
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vs ‘nature’ debate irrelevant because, as Anne M. Harris (2014: 33) suggests in her chapter
‘Young playwrights’ ink’, it is possible to find ‘deeply important patterns’ when the ‘creative
skills, gifts and attributes’ of individuals are considered. However, just as Harris (2014: 33)
questions whether her own sample study is at all ‘generalisable’, so too teachers of creative
writing commonly have dealt with individual cases of a learner’s ‘skills for creative thinking
and endeavor’ (Harris, 2014: 24) and generalised observations have proven as unproductive.
That noted, reasons for teaching creative writing do at first appear to be widely polar-
ised. This is a second key issue. At one pole there appears to be the ideal of self-expres-
sion, self-development, self-determination. As both art and communication – and as an art
involving that most common communication tool: words – creative writing is expected
to empower the individual emotionally and, in a broad sense, developmentally. At the
other pole there is economic pragmatism, the pursuit of a career in which writing crea-
tively is either an essential skill (for example working as a writer for television, film, or
leisure software) or in which the study of creative writing provides career enhancement
(for example teaching the language arts in a primary or secondary school, or writing for
communication fields such as advertising or journalism).
This neat polarisation is attractive. Sadly, it does little to reflect reality. It is impossible
to separate self-expression from employment, or personal pleasure from pragmatic labour,
in creative writing. Some creative writing teaching relates to the commercial world; some,
more to self-expression. The learner exploring poetry might not imagine the potential block-
buster income of the screenwriter, or the writer of stories for computer games might not be
in a position to express quite the personal sensibilities available to the writer of experimental
short fiction, but this is a spectrum of practice, not a polarisation.
If teaching creative writing must in some way articulate its core pedagogic approach – and
in much formal twenty-first-century education, subjects of study are asked to do this – then
a teacher of creative writing usually situates his or her teaching within a network of human
interests, personal, pragmatic, individual, and cultural. Often, defining types of success best
pinpoints a teacher’s purpose: if no one in the creative class succeeds in having a work com-
mercially published or performed, if no one sells a story or a poem, a script, or a novel to any
publisher, media company, or similar, a creative writing class can still be successful because
what is learned is not necessarily commercially significant. A creative writing class can be
successful if a student releases not a single word into the public realm, but privately writes
many words and, because of the class – perhaps during the class – discusses some things
about creative writing that he or she did not previously know, and perhaps was even able to
put these into practice, strengthen them, and come to understand them further.
The teaching of creative writing incorporates such things as a critical understanding of
creative practice, enhancing knowledge about creativity. Creative writing teaching also
incorporates the understanding of the forms and functions of texts, introduces and examines
choice of modes of communication, and even potentially improves self-confidence by devel-
oping skills of self-expression. Carl Vandermeulen (2011: 2), surveying creative writing
teachers, writes that they ‘say their teaching is most heavily influenced by their experience
as writers and readers’, and that:
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Nigel McLoughlin (2008: 90) also comments that ‘since most Creative writing teachers
learn to teach through watching their predecessors teach them, most pedagogical practices
are passed on in a rather unstructured, piecemeal and almost osmotic or subliminal fashion’.
In this sense, creative writing teaching is a highly individualised activity, much like cre-
ative writing itself, to the point where some educationalists, such as Mike Sharples (1999:
3), comment that ‘there seems to be an unbridgeable gulf between everyday scribbling and
great creative writing’, and therefore ‘asking authors and poets how they work just widens
the gulf’. Alternatively, Suzanne Greenberg (2005: 125, emphasis original) says that she
undertakes to grade students’ portfolios of creative work together with a ‘250–500 word
typed essay that discusses both their development as writers over the course and how
they chose the work to include in their portfolio’. While she considers herself ‘a process
reader’ she feels she cannot ‘grade solely on process. The final product must figure in
the course grade, or we are left in the untenable situation of awarding a mediocre writer
with an A simply because he worked diligently all term long’ (Greenberg, 2005: 126). In
this way, Greenberg identifies what Sharples likewise struggles to reconcile. Neither sug-
gests that he or she has overcome the dilemma of weighting an assessment of process or
product; both recognise something along the lines that Sharples (1999: 128) describes in
saying ‘a writer is a member of a community of practice’.
With the community in mind, it is sometimes said that things learned in creative writing
courses – that enhanced knowledge about creativity, the greater understanding of the forms
and functions of texts, those choices in mode of communication – can ‘transfer’ out of the
learning creative writing into other parts of life. Transferrable skills are seen by some as
part of recognition of the importance of what is learned when learning to write creatively.
Terry Gifford (2002: 45), writing about teaching what he calls environmental creative writ-
ing, talks about creative writing classes teaching ‘environmental awareness’. In academic
transferability, Patrick Bizzaro (2013: 171) suggests that his interest is:
not in how philosophy, history, science and other subjects might be used in a creative
writing classroom, but in how creative writing might be taught in philosophy, history,
science and other academic courses to help future professionals in those fields better
describe new discoveries.
Others find the notion of transferability to be, at best, a distraction from teaching creative
writing in order that students should learn to write such things as poems, short stories, novels,
and scripts.
Practically, most undergraduate creative writing programmes are constructed according to
genres of writing (the novel writing class, the poetry writing class, etc.). Alternatives exist –
classes in narrative, classes in storytelling, classes in imagery or the sound of poetry – but
these are less frequently seen. At graduate level in the United States, the Master of Fine Arts
(MFA) degree has for many years been predominant. It is the spiritual home of the creative
writing workshop, the most well known of formal creative writing classes. The MFA is also
considered to be a ‘studio’ degree, much like other MFA degrees in fields such as drama,
fine art, and filmmaking.
The creative writing workshop has generated a great deal of pedagogic discussion, mostly
in the United States, from that concerned with the social dynamics of the workshop to that
concerned with productive workshop topics and foci. Commentators have sometimes imag-
ined its demise or considerable reinvention. Stephanie Vanderslice (2011: 3) comments in the
opening of her Rethinking Creative Writing in Higher Education: Programs and Practices
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that Work that the contemporary world requires ‘a host of new knowledge and skills from
the aspiring writer that a general creative writing workshop cannot possibly contain’, while
Dianne Donnelly (2010: 2), in Does the Writing Workshop Still Work?, proposes that ‘there
is significant interest in more radical openness and re-envisioning of the workshop model’.
Nevertheless, the workshop idea, as un-radicalised or ‘traditional’ (Vanderslice, 2011: 6) as
it might often be, continues to be a primary site of creative writing education, and is declared
particularly so in the United States, where its association with the notion of creative writing
being a studio art is clearest. A studio, after all, involves some kind of workspace in which
creative work is produced.
‘The act of workshopping – the sharing of written work, the offering of comments,
and the receiving of critique – can be extraordinarily difficult for students’, writes Anna
Leahy (2010: 69), revealing key aspects of the operation of the creative writing workshop.
Jeri Kroll (2013: 103), alternatively, imagines in a declared metaphoric exploration ‘crea-
tive writing in the university as an experimental site’, and comments in this exploratory
work that ‘just as biology students understand basic laboratory procedures, the writing
students in my scenario understand how workshops function’ (Kroll, 2013: 107). Kevin
Brophy (1998: 41), in his book entitled Creativity: Psychoanalysis, Surrealism and Creative
Writing, suggests that ‘creative writing is recognized partly through assertions of its pre
sence and partly through certain contrived contexts such as workshops, “creative writing”
courses, community writing groups’. His comment here is referring to the nature of the
workshop as a kind of collaborative space and to his consideration of how this might relate
to notions of individual authorship.
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short, national pedagogic histories currently play significant definitional roles. A case study
of papers published in the international creative writing journal New Writing: The Interna-
tional Journal for the Practice and Theory of Creative Writing over the past decade reveals
elements of how this has influenced discussion.
In the second issue of New Writing (2004) 1(2), Amanda Boulter (2004: 134) of the
University of Winchester, in ‘Assessing the criteria: An argument for creative writing the-
ory’, suggests going beyond formalist paradigms and developing new theories of creative
writing’s engagement with the world. In ‘The “problem” of creative writing: Using grad-
ing rubrics based on narrative theory as solution’, published in New Writing (2008) 5(3),
Alicita Rodriguez (2008: 167), teaching at the Western State College of Colorado, talks
instead about debunking ‘the fallacy of expressivism’ to challenge ‘the myth of automatic
writing’. Both authors wish to redefine how creative writing process and creative writing
end product are discussed; however, Boulter looks to reassess literary theoretical positions,
while Rodriguez wishes to challenge the grading of students’ work, suggesting incorporating
more formal narrative theory in grading techniques.
In New Writing (2010) 7(1), Robert L. Lively (2010: 35) argues, in ‘Rhetoric’s stepchildren:
Ancient rhetoric and modern creative writing’, for the connecting of ‘modern issues in crea-
tive writing pedagogy with the ancient theories of rhetoric’. Specifically, he aims to engage
with ancient rhetorical concepts of tribe (natural ability), techne (art or craft), and empeiria
(learning by doing), and to relate these to theorising about how to teach creative writing.
In their article, ‘Excursions into new territory: Fictocriticism and undergraduate writing’,
in New Writing (2011) 8(1), Donna Maree Hancox and Vivienne Muller (2011: 147) of the
Queensland University of Technology in Brisbane Australia explore fictocriticism, ‘a term
that first emerged in the Australia academy in the 1990s by way of French feminist interest
in a new kind of writing defiant of phallocentrism’. They further describe fictocriticism ‘as
a form of writing continues to make a home in the academy, particularly as an exciting and
challenging form for scholars, writers and increasingly post-graduate students in Creative
writing, Literary Studies and Cultural Studies’ (Hancox & Muller, 2011: 147).
Finally, in New Writing (2013) 10(1), Vida L. Midgelow (2013: 3) of the University of
Northampton is concerned, in ‘Sensualities: Experiencing/dancing/writing’, with the ‘inter-
play between writing and improvisational dancing to describe a methodology for an embod-
ied, sensual and experiential mode of writing/dancing in which the boundaries between these
two disciplines are blurred’. In the same issue, ‘The recipe for novelty: Using bilingualism
and indigenous literary genres in an advanced level L2 creative writing context in Pakistan’,
by Asma Mansoor (2013) of the International Islamic University of Islamabad, Pakistan,
has a subject that will be obvious from the title, while in New Writing (2013) 10(2), Nigel
McLoughlin (2013: 219) of the University of Gloucestershire outlines, in ‘Negative polarity
in Eavan Boland’s “The Famine Road”’, a ‘cognitive stylistic framework to identify and ana-
lyse the pattern of negation in the poem “The Famine Road” by Eavan Boland’.
These examples represent some aspects of the current critical investigation of creative writ-
ing and the teaching of creative writing. At this point in the history of the teaching of creative
writing in higher education, critical difference rather than critical pre-eminence prevails, the
reason being that the differing national traditions define levels of national, if not international,
significance of any critical work. Crossovers between nations occur – and certainly the work
of Rodriguez, or Lively, or McLoughlin, for example, would find a readership outside their
national arenas. But each of these examples is informed by prevailing national conditions.
New Writing: The International Journal for the Practice and Theory of Creative Writing
has had some advantage in the past decade in highlighting the international plainly in its
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title and its outlook – but only in serving to offer a platform for current difference. Addi-
tionally, a journal or magazine is published by each of the largely national creative writing
organisations focusing on creative writing teaching: the American Association of Writers
and Writing Programs (AWP), which is by far the largest of such organisations in the
world, publishes The Writers’ Chronicle; the National Association of Writers in Education
(NAWE) in the United Kingdom publishes Writing in Education; and the Australasian
Association of Writing Programs (AAWP) publishes TEXT. These journals publish work
largely, but not solely, from the national arenas.
Together with the independent journal New Writing, the focus and publications of these
organisations have assisted in supporting, as well as defining, critical work undertaken in
the field over the past quarter of a century or so. More recent organisations, such as the
European Association of Creative Writing Programmes (EACWP), with institutional mem-
bers in a number of European countries including the United Kingdom, and the Canadian
Creative Writers and Writing Programs (CCWWP), formed as recently as 2010, are mak-
ing their contributions now to both national and, increasingly, international exchange on
questions of what critical work might be undertaken with regard to creative writing and the
teaching of creative writing.
The other writers in the workshop take on, for the duration of the workshop, roles
as editors, too: it’s our task to work meticulously with the material given us, and to
contribute all that we possibly can to improving it.
In this vein, research methods might be said to be individual and group experiential
exchanges, conducted in relation to content, form, and structure, and modes of expression,
and explored according to the situation that a creative writer faces when writing a particular
piece of work.
The contribution additionally of those in the discipline of composition studies in the
United States has already been noted and the emergence of the idea of creating a field called
creative writing studies is one interpretation of how those in composition, and perhaps those
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also in English, might contribute to research in creative writing. Tim Mayers (2009: 218)
writes: ‘Creative writing studies, on the other hand, is a still-emerging enterprise that has
been set in motion by some of the problems and internal contradictions of creative writing.
Creative writing studies is a field of scholarly inquiry and research.’ Further, writing in US
journal College Composition and Communication in an article entitled ‘The place of crea-
tive writing in composition studies’, Douglas Hesse (2010: 36) suggests that ‘there is also
the relative absence of theoretical/pedagogical writing about creative writing, especially
by writers themselves in any venue, let alone in composition journals’. He concludes by
suggesting that ‘composition studies unilaterally explore the place of creative writing – of
creative composing – in teaching, in scholarship, and in our expanded sense of ourselves as
text makers’ (Hesse, 2010: 36).
In both the United Kingdom and Australia, researching creative writing has incorporated
research through creative writing. Whether in terms of creative writing or in the teaching
of creative writing, the now-common term ‘practice-led research’ has informed ideas of
what research in the field constitutes in these countries. Major funders of research such as
the Australian Research Council (ARC) and the United Kingdom’s Arts and Humanities
Research Council (AHRC) have considered creative writing practice as research, and thus
funded projects about creative writing and involving creative writing.
Research methods in countries such as these, where practice-led research has been
ascendant since the late 1980s, have also drawn from literary studies, and biographical and
textual analysis, undertaking close reading, comparative cultural investigations, and genre
studies, or situating creative writing styles and content in historical context. However, a
greater range of methodological choices emerge because, unlike in the United States, under-
taking creative writing is more widely seen as a research practice. Differences of emphasis
have created some international student movement too, particularly where graduate students
have sought out support for alternative research methodologies. Kerry Spencer (2013: 79,
emphasis original), an American young adult fiction writer who teaches creative writing
at Brigham Young University, Utah, but who undertook her PhD in creative writing in the
United Kingdom, comments: ‘[I]f creative writers are so willing to engage in non-traditional
research for their creative works, why be so hesitant to try new modes of research when we
are researching about creative writing?’
Practically, the methodological range associated with creative writing research in coun-
tries such as the United Kingdom and Australia can include the actions of drafting and
redrafting, revising, editing, reading, annotating, and/or graphically depicting (for example
doodles, sketches, charts). Beyond modes of literary analysis, it can involve modelling,
a consideration of other creative writers’ works, or the speculative consideration of tech-
nique or of the creative writer’s own decision-making. Interviewing or surveying might
occur, as observation or action research, in or outside a classroom. A creative writer might
re-examine his or her previous works in light of new knowledge about practice, genre, or the
physical appearance of the end results. There might be workshopping undertaken – which,
in the United States, would not be defined as a research activity – whereby the creative
writer has access to peers whose opinions she or he values. A comparative study might
occur, a creative writer comparing his or her actions and results with other human practices,
artistic or otherwise, and this could extend to comparisons of design, shape, style, structure,
or form (Harper, 2008: 163).
Teachers of creative writing in higher education in countries such as the United
Kingdom and Australia investigate their field through methods such as these, and there
are many nuances and individual interpretations. In essence, such a perspective can
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Teaching creative writing
be summarised in the idea that a creative writer will, and should, draw from what best
suits a given writing situation. This is what I have called the creation of ‘situational
knowledge’ (Harper, 2013: 284). Situational knowledge provides solutions to problems
or needs relating to writerly actions. That knowledge might relate to content, structure,
voice, or any other writing-related issue. Each instance in which situational knowledge is
needed provides a learning opportunity, and it is these learning opportunities that those
teaching creative writing aim to harness.
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Graeme Harper
knowledge has been acquired informally or whether it is part of what is today an increasingly
wide range of formal courses or classes.
Future directions
In the post-industrial world in which we are living, in which knowledge and creativity are
energetically exchanged for pleasure and/or profit, but also leisure time is far greater than
in previous eras (at least in the developed world), participation in creative writing will
continue to grow. With that in mind, creative writing teaching will continue to expand, and
greater and stronger discussion of creative writing as a distinctive field of human practice
and knowledge will occur.
It is likely that more creative writing will be taught by means of methods whereby
students are not all in the same physical space. We see an expansion of this already in what
are called low-residency courses (particularly MFAs). The physical bookstore is likely to
disappear well before mid-century. The question of whether the paper book will survive is
an interesting and poignant one for those currently teaching creative writing. Most likely,
the paper book will remain an option for the delivery of works of creative writing – but other
electronic options will continue to grow in importance for both readers and writers, and the
opportunity for incorporating aspects of the visual and aural into creative writing texts will
therefore become greater. Changes in the kinds of works produced will thus naturally occur,
some older forms losing ground or entirely disappearing, and newer forms emerging that
draw on the new digitally provided choices.
Partly because of the expansion of the teaching of creative writing, partly because
the post-industrial world also involves a strong sense of personalisation of choice, and
partly because we are living in an era in which we exchange our experiences (whether
through social media or through wider avenues of travel and exposure to experiential
choice), it is likely that the experience of engaging with a text produced by a crea-
tive writer will also increasingly incorporate a desire to engage with the actions that
produced it. We see this already in the exchange of ‘works-in-progress’ in online com-
munities of creative writers. Intriguingly, we have long seen this in the creative writing
workshop in the discussion of drafts and the exchange of ideas about works that are not
yet complete. Enhanced by new media, the opportunity to incorporate this kind of inter-
action into how we purchase works of creative writing seems sure to encourage more
such exchange to occur, and with an increase in people who have undertaken some kind
of formal creative writing education, the expectations and possibilities for this kind of
interactive exchange also grow.
Teaching creative writing might best be seen as an activity with a considerable number
of types and complexions. Certainly it has, and will have, importance in the training and
development of people who find employment in one or more of the creative industries;
but because creative writing combines individualism with cultural and social influences,
and often encourages personal interpretation and expression, its teaching is often associ-
ated with self-expression and self-realisation. Finally, because undertaking creative writing
involves the use and application of situational knowledge, its teaching will continue to
be an important way in which we can explore how human beings come to understand the
world, their lives, and the knowledge that informs them, as well as providing an avenue
for applying such knowledge in the pursuit of an end goal – whether that goal is a com-
pleted text that will be released into the world or simply a personally satisfying creative
exploration.
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Teaching creative writing
Related topics
creativity in composition; creativity in second-language learning; discourses of creativity;
literary narrative; literature and language teaching; poetry and poetics
Further reading
Harper, G. (2014) The Future for Creative Writing, Oxford: Wiley-Blackwell.
This book suggests how creative writing and the teaching of creative writing might appear in the near
and not so near future.
Krauth N., and Brady T. (2006) Creative Writing: Theory beyond Practice, Tenerife: Post-Pressed.
If you are interested in what theory connected with creative writing might look like, this edited
collection provides a multi-voiced exploration.
Kroll, J., and Harper, G. (2012) Research Methods in Creative Writing, London: Palgrave.
In this book, writers explore what research in, and through, creative writing can entail.
Mayers, M. (2005) (Re)Writing Craft: Composition, Creative Writing, and the Future of English Studies,
Pittsburgh, PA: University of Pittsburgh Press.
This book looks at gaps in conversations between creative writing and composition studies,
especially relating to the discourse common in English departments, and suggesting the potential
for what Mayers calls ‘craft criticism’.
Moxley, J. (1989) Creative Writing in America: Theory and Pedagogy, Urbana, IL: National Council
of Teachers.
Twenty-three essays provide evidence of what contributors found was happening, and what they
believed was needed, in the teaching of creative writing at the end of the 1980s.
References
Bizzaro, P. (2013) ‘The future of graduate studies in creative writing: Institutionalizing literary writing’,
in D. Donnelly and G. Harper (eds) Key Issues in Creative Writing, Bristol: Multilingual Matters,
pp. 36–51.
Boulter, A. (2004) ‘Assessing the criteria: An argument for creative writing theory’, New Writing,
1(2): 134–40.
Brewer, J. (1997) The Pleasure of the Imagination: English Culture in the Eighteenth Century, London:
Harper-Collins.
Brophy, K. (1998) Creativity: Psychoanalysis, Surrealism and Creative Writing, Melbourne: University
of Melbourne Press.
Dana, R. (ed) (1999) A Community of Writers: Paul Engle and the Iowa Writers’ Workshop, Iowa
City, IA: Iowa University Press.
Dawson, P. (2005) Creative Writing and the New Humanities, London: Routledge.
Donnelly, D. (2010) Does the Writing Workshop Still Work?, Bristol: Multilingual Matters.
Donnelly, D. (2011) Establishing Creative Writing Studies as an Academic Discipline, Bristol:
Multilingual Matters.
Earnshaw, S. (ed.) (2007) The Handbook of Creative Writing, Edinburgh: Edinburgh University
Press.
Galchen, R., and Heller, Z. (2014) ‘Can writing be taught?’, The New York Times, 19 August. Avai
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D. Donnelly (ed.) Does the Writing Workshop Still Work?, Bristol: Multilingual Matters, pp. 63–77.
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New Writing, 7(1): 35–44.
Mansoor, A. (2013) ‘The recipe for novelty: Using bilingualism and indigenous literary genres in an
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Mayers, T. (2009) ‘One simple word: From creative writing to creative writing studies’, College
English, 71(3): 217–28.
McGurl, M. (2009) The Program Era: Postwar Fiction and the Rise of Creative Writing, Cambridge,
MA: Harvard University Press.
McLoughlin, N. (2008) ‘Creating an integrated model for teaching creative writing’, in G. Harper and
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Smith, W. A. (1955) Ancient Education, New York: Philosophical Library.
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Vandermeulen, C. (2011) Negotiating the Personal in Creative Writing, Bristol: Multilingual Matters.
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artificial intelligence 355–8 Bauman, R. 5, 15, 28–9, 32, 35, 64, 66, 70, 83,
artistic image 327–8 214, 270, 322–3, 329
Arts and Humanities Research Council 508 Baurain, B. 479
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Index
Boden, M. A. 62, 322, 358, 437, 488–9 Burroughs, W. S. 354–5, 358, 360, 363–4
Boland, E. 506 Burton, P. 488
Bolozky, S. 94 Busse, B. 231, 258
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515
Index
516
Index
discourse analysis 63–5; metaphor and 171, 322, 461, 484; social practice 14–17, 55;
metonymy 110, 119–20; music-language speech 98–100; translation 279–81; written
multimodality 314–15; reading 266–7, texts 96–8
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517
Index
518
Index
519
Index
520
Index
interdiscursive performance 158–68; literature grammar 47, 102, 473; cognitive linguistics
and language teaching 475, 478, 480; poetry 221–2, 260; of kinetic design 340–6; and
as 231–2; recognition 231–2; stylistics 208–9, word-forming 92, 94, 96–7
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211–12 Green, K. 68
Geoffroy, E. 176 Green, M. 50
Georgakopoulou, A. 32, 34–5 Green, M. C. 195
geosemiotics 416 Greenberg, S. 504
Gerrig, R. J. 225 Greene, J. C. 175, 233
Gervás, P. 360 Greene, R. 233
Gfeller, K. 309, 315 Greene, S. 485, 489
Gibbons, A. 5, 10, 14, 18, 120, 124, 295, 297, Gregory, S. 301
299, 304, 479 Grice, H. P. 9, 68, 116, 281, 286
Gibbs, R. W. 13, 45, 50, 52, 55, 108, 110, 114, Gruber, D. R. 492
119–20, 122, 223, 228, 232 Gruber-Miller, J. 402
Gibson, A. 314 Gründer, K. 174
Gibson, E. 390, 392 Grundy, P. 473
Gibson, W. 354–5 Grusin, R. 386
Giddens, A. 85 Gryskiewicz, N. D. 434
Gifford, T. 504 Gudschinsky, S. 154
Gillen, J. 373 guerilla marketing 423, 425–6
Gillick, J. 315 Gui, G. 284
Gilman, A. 330 Guilford, J. P. 12, 183, 284–5, 454, 458
Gilmore, P. 330 Gulutsan, M. 455
Gilroy, M. 468 Gumperz, J. J. 61, 65
Giora, R. 42, 50, 124 Gustavson, L. 405, 409
A Girl is a Half-formed Thing (McBride) Gysin, B. 354, 360, 363–4
254
Gismo (Tinguely) 343 Habermas, J. 386
Glass, K. 130 Haddon, M. 254
Glǎveanu, V. P. 14 Haeckel, E. 181
Gledhill, C. 144 Hafner, C. A. 72, 488
Global Language Monitor 387 HAHAcronym 359
Glucksberg, S. 52, 107, 117 Hahn, D. W. 458
Goddard, A. 4, 7, 11, 18, 33, 213, 271, 367–9, Hakemulder, J. F. 198, 201–3
372–3, 377–9 Hall, C. 16
Goethe, J. W. 176 Hall, G. 10, 18, 212, 264–6, 273, 471, 476–7
Goffman, E. 11, 28–9, 32, 34–5, 65, 80, 323, Hall, K. 370–1
336, 371–2, 374–5 Hall, S. 6
Goggin, J. P. 455–6 Hallam, E. 36, 310
Golding, W. 258 Haller, A. 178
Gomringer, E. 384 Hallet, W. 10, 294, 299
Gonzales, A. L. 315, 318 Halliday, M. A. K. 7–8, 61, 69, 72, 258, 295,
Goodwin, C. 70, 80, 83, 330 297, 330, 340, 344, 483, 485
Goodwin, J. 360–1 Halsey, K. 268, 272, 274
Google 173, 283, 360–2, 389, 404 Hamlet (Klingon version) 148
Goossens, L. 51, 120 Hamlet (text-only version) 371
Gordon, C. 71, 457 Hanauer, D. 197, 476
GORF slap 422 Hancox, D. M. 506
Gotti, M. 167 Hanks, W. F. 64
Gould, S. J. 175 Hannibal II (Tinguely) 343
Gowan, J. C. 455 Hansen, M. 388–93
Gower, R. 474 Hao, Y. 135
grading 485, 487, 491–3, 504, 506 Haraway, D. 370
Grady, J. 119 Harper, G. 18, 213, 485, 488, 502, 508–9
graffiti 421, 423, 425–6 Harré, R. 66, 71
Graham, G. 44, 46 Harrington, D. 434
Graham, S. 486 Harris, A. M. 503
521
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522
Index
indexicality 27, 33, 323, 426 Jakobson, R. 3, 25–9, 67, 191–2, 195, 197,
individualism 11–12, 14–15, 80–1, 86, 88–9, 206–9, 237, 323–4, 329, 470, 485
183, 286, 510 Jakubinsky, L. 192, 194
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524
Index
Lerdahl, F. 307, 310–12, 315, 318 The Lord of the Rings film trilogy (Jackson) 148
Lessig, L. 399–400, 403 The Lord of the Rings (Tolkien) 145
Leung, A. K.-Y. 454, 457 Louw, W. E. 240, 242–3, 475
Levere, T. H. 176 Lovlie, L. 177
Levin, S. R. 197, 309 Low, G. D. 110, 116, 119–20, 122
Levinson, S. C. 66 Lowie, W. 437
Levitin, D. 307, 310–12, 315 Lubart, T. I. 3–4, 9, 454, 457, 488, 491
Lewis, M. 403, 407 Lucas, B. 98, 100
Lexander, K. V. 35 Lucy, J. A. 452
lexical creativity 92–105; conlangs 153–4; ludic effects 101–2
definitions 93–5; ludic effects 101–2; phrasal Luhrmann, B. 314
lexicon 102–3; productivity 93–5; re-creation Lukács, G. 16
95–6; speech 98–100; written texts 96–8 Luke, A. 415–16, 427
lexical repetition 237–42 Lydenberg, R. 354
Li Wei 15, 453, 456–8 Lye, L. 347
Liaw, M.-L. 472 Lynch, K. 417–18
LIBJOG 359
Libnawi, A. 455 Ma, R. 370–1
Life and Death of Harriet Frean (Sinclair) 254 McArthur, F. 124
Lillis, T. 15, 274, 484, 486 McBride, E. 254
Lim, C. 479, 493 McCaffery, L. 301
Lingua Ignota 146 McClelland, J. L. 459
Lipka, L. 100 McCutcheon, D. 491
Listening Post (Hansen & Rubin) 388–95 McDonald, M. 315
literariness 34, 191–204, 234, 294, 383, 470–1; Macdonnell, D. 65
analysis of 192–3; critical issues 196–203; McFarland, M. 389, 391–2
empirical dimension 198–203; foregrounding McGee, S. J. 483
200–1; Hakemulder study 201–3; historical McGlone, M. S. 52, 359
perspectives 191–6; opposition to 196–8; McGonagall, W. 238–9
untutored reading 198–200 McGough, R. 297–8
literary experimentation 212, 280 McGurl, M. 501–2
literary language 234; nature of 470–1 Machine Bar (Tinguely) 343
literary narrative 248–61; critical issues 251–7; machinima 402, 407–8
current contributions and research 257–60; McIntyre, D. 259
evolution of 249; future directions 260–1; McLaren, N. 347
historical perspectives 250–1 McLaughlin, B. 456
literary-critical research 286–7 McLoughlin, N. 504, 506
literature 69, 484, 509; discourse analysis 68–9; McLuhan, M. 386, 394
reasons for using 469–70 McQuitty, V. 485
literature and language teaching 468–80; MacRae, A. 18, 70
approaches/methodologies 473–5; critical McRae, J. 214, 468–9
issues 469–75; current research 475–7; future macrosociology 85–6
developments 479–80; historical perspectives Maddux, W. W. 457
468–9; nature of literary language 470–1; Madwoman (Tinguely) 341
practice recommendations 477–9; reader’s Magnifico, A. 409
role 471–3; reasons for using literary texts Magnusson, L. 69, 308
469–70 Mahar, D. 405, 409
Little Dorrit (Dickens) 191 Mahlberg, M. 207, 258
Littlemore, J. 119 Mahootian, S. 456
Littleton, K. 274, 439 Maitland, S. 332
Lively, R. L. 506 Makoni, S. 136, 214
Lodge, D. 252 Maley, A. 468–9, 473–4
Loffredo, E. 286 Maley, Y. 161
Loglan 145, 147 Maloof, V. M. 478
525
Index
526
Index
527
Index
ontological metaphors 111, 117–18 performance 15–16, 32–3, 64, 67–8, 70, 83, 213,
Opojaz 192 322–4, 329, 385; aesthetic response 270–1;
O’Quin, K. 129–30, 132 everyday language 28–30, 34; interdiscursive
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528
Index
529
Index
530
Index
531
Index
532
Index
533
Index
534