Mathematics
We perform a mathematical and statistical analysis of the Wasserstein least squares problem, a regression method for vector-valued covariates and distribution-valued responses. Our proposal contrasts with other distributional regression…
In the generality of a rigidly-compactly generated tensor triangulated category, we introduce semi-Bousfield classes in terms of the vanishing of the tensor product in positive degrees with respect to a fixed reasonable $t$-structure. We…
A central question in high-dimensional statistics is to understand statistical--computational gaps: regimes in which recovering a hidden signal is information-theoretically possible but conjectured to be computationally intractable. The…
In this paper, we answer negatively to a question posed in the context of the 2025 Oberwolfach Mini-Workshop ``The Yang-Baxter Equation and Representations of Braid Groups'' regarding the existence of split extensions classifiers in the…
We study estimation in the low signal-to-noise ratio (SNR) regime for a broad class of Gaussian latent-variable models, including Gaussian mixtures and orbit recovery problems. We show that, in this regime, the generalized method-of-moments…
Hjort and Glad (1995) present a method for semiparametric density estimation. Relative to the ordinary kernel density estimator, this technique performs much better when a parametric vehicle distribution fits the data, and otherwise…
For large $R$, we consider measurable sets $A\subseteq [0,R]^2$ that avoid triples of points of the form $(x,y)$, $(x+t,y)$, $(x,y+1/t)$ with $x,y\in\mathbb{R}$ and $t>0$, i.e., the vertices of upward-oriented, axis-aligned right triangles…
We study the complex spectrum of the partial theta function \[ \Theta(q,x)=\sum_{j=0}^{\infty}q^{j(j+1)/2}x^j, \qquad |q|<1, \] where a spectral value is a parameter for which \(\Theta(q,\cdot)\) has a multiple zero. Since the function is…
The spectrum of Ramanujan's partial theta function $\theta (q,x):=\sum _{j=0}^{\infty}q^{j(j+1)/2}x^j$, $q\in \mathbb{D}_1$ (the unit disk centered at the origin), $x\in \mathbb{C}$, is the set of values of the parameter $q$ for which…
The term Gibbons conjecture is widely used in connection with symmetry results for the Allen-Cahn equation. However, its origin is less transparent than its frequent citation suggests. In this note, we revisit its emergence, tracing it to a…
We introduce the \emph{Topological Stability Index} (TSI), a variance-based scalar measure for persistence barcodes that quantifies the dispersion of persistence lifetimes. Unlike persistent entropy, which depends only on normalized…
We introduce an Indian-buffet-type model for multi-factorial innovation in which each arriving agent may exhibit both previously observed and new features. The number of new features follows a power-law behavior, while the probability of…
The $(-1)$-Jacobi, Bannai-Ito, and $(-1)$-Meixner-Pollaczek polynomials are studied in [Trans. Amer. Math. Soc. 364 (2012), 5491-5507], [Adv. Math. 229 (2012), 2123-2158], and [Stud. Appl. Math. 153 (2024), e12728], respectively, through…
In this paper, we prove a spectral restriction theorem on the three-dimensional Heisenberg nilmanifold. Since this manifold is an $\mathbb S^1$-bundle over the flat torus $\mathbb T^2$, the result provides a sub-elliptic counterpart of…
We develop a natural Bayesian multiplicity-correcting prior distribution within the probabilistic forward stepwise representation of model space priors for regression problems. The proposed prior, obtained from making an analogy to the Holm…
We derive a scale-free bound on the density of the maximum of a centered Gaussian vector. The basic bound is non-uniform, depends logarithmically on the dimension, and allows any covariance matrix. When the largest marginal variance is…
Being encouraged by [AKRS] that provides an amazing bridge between Statistics and Invariant Theory, and especially by [FM], where quiver semi-invariant techniques apply to verify the existence of MLE for a recent iPCA model, we provide an…
In this paper, we consider the problem of simultaneous testing of multivariate normal means under arbitrary covariance dependence. Specifically, let $\boldsymbol{X}\sim N_n(\boldsymbol{\theta},\boldsymbol{\Sigma})$, where…
Many Bayesian inference problems involve high-dimensional models where the performance of standard importance sampling (IS) methods often degrades rapidly as the dimensionality increases. Classical analyses of IS typically rely on the…
We study a generalization of the classical hidden clique problem to graphs with real-valued edge weights. Formally, we define a hypothesis testing problem. Under the null hypothesis, edges of a complete graph on $n$ vertices are associated…