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We relate the entropy of entanglement of ensembles of random vectors to their generalized fractal dimensions. Expanding the von Neumann entropy around its maximum we show that the first order only depends on the participation ratio, while…

Quantum Physics · Physics 2009-03-12 Olivier Giraud , John Martin , Bertrand Georgeot

The sequence of so-called signature moments describes the laws of many stochastic processes in analogy with how the sequence of moments describes the laws of vector-valued random variables. However, even for vector-valued random variables,…

Probability · Mathematics 2020-09-04 Patric Bonnier , Harald Oberhauser

We give new sufficient ergodicity conditions for two-state probabilistic cellular automata (PCA) of any dimension and any radius. The proof of this result is based on an extended version of the duality concept. Under these assumptions, in…

Dynamical Systems · Mathematics 2012-06-28 Cristian Coletti , Pierre Tisseur

Distance correlation is a novel class of multivariate dependence measure, taking positive values between 0 and 1, and applicable to random vectors of arbitrary dimensions, not necessarily equal. It offers several advantages over the…

Computation · Statistics 2024-05-06 Blanca E. Monroy-Castillo , M. A , Jácome , Ricardo Cao

Chatterjee's correlation coefficient has recently been proposed as a new association measure for bivariate random vectors that satisfies a number of desirable properties. Among these properties is the feature that the coefficient equals one…

Statistics Theory · Mathematics 2024-10-16 Axel Bücher , Holger Dette

In this work, a generalised version of the central limit theorem is proposed for nonlinear functionals of the empirical measure of i.i.d. random variables, provided that the functional satisfies some regularity assumptions for the…

Probability · Mathematics 2021-12-07 Benjamin Jourdain , Alvin Tse

The eigenvalue equation of a band or a block tridiagonal matrix, the tight binding model for a crystal, a molecule, or a particle in a lattice with random potential or hopping amplitudes: these and other problems lead to three-term…

Mathematical Physics · Physics 2011-06-20 Luca Guido Molinari , Giuseppe Lacagnina

It has been shown by Voiculescu that important classes of square independent random matrices are asymptotically free, where freeness is a noncommutative analog of classical independence. Recently, we introduced the concept of matricial…

Operator Algebras · Mathematics 2018-05-28 Romuald Lenczewski

We consider covariance asymptotics for linear statistics of general stationary random measures in terms of their truncated pair correlation measure. We give exact infinite series-expansion formulas for covariance of smooth statistics of…

Probability · Mathematics 2024-11-14 Manjunath Krishnapur , D. Yogeshwaran

We consider a random walk on a homogeneous Poisson point process with energy marks. The jump rates decay exponentially in the A-power of the jump length and depend on the energy marks via a Boltzmann--like factor. The case A=1 corresponds…

Probability · Mathematics 2015-05-14 P. Caputo , A. Faggionato , T. Prescott

When response variables are nominal and populations are cross-classified with respect to multiple polytomies, questions often arise about the degree of association of the responses with explanatory variables. When populations are known, we…

Machine Learning · Statistics 2012-09-25 Wenxue Huang , Yong Shi , Xiaogang Wang

A framework for quantifying dependence between random vectors is introduced. With the notion of a collapsing function, random vectors are summarized by single random variables, called collapsed random variables in the framework. Using this…

Methodology · Statistics 2018-01-12 Marius Hofert , Wayne Oldford , Avinash Prasad , Mu Zhu

Continuation refers to the operation by which the cumulative distribution function of a discontinuous random vector is made continuous through multilinear interpolation. The copula that results from the application of this technique to the…

Statistics Theory · Mathematics 2014-07-07 Christian Genest , Johanna G. Nešlehová , Bruno Rémillard

We introduce a class of independence relations, which include free, Boolean and monotone independence, in operator valued probability. We show that this class of independence relations have a matricial extension property so that we can…

Operator Algebras · Mathematics 2018-09-21 Weihua Liu

The main subject of the paper, motivated by a question raised by Boshernitzan, is to give criteria for a bounded complex-valued sequence to be uncorrelated to any strictly ergodic sequence. As a tool developed to study this problem we…

Dynamical Systems · Mathematics 2015-03-12 Jean-Pierre Conze , Tomasz Downarowicz , Jacek Serafin

The paper presents a systematic theory for asymptotic inference of autocovariances of stationary processes. We consider nonparametric tests for serial correlations based on the maximum (or ${\cal L}^\infty$) and the quadratic (or ${\cal…

Statistics Theory · Mathematics 2015-03-19 Han Xiao , Wei Biao Wu

We propose an approach to the aggregation of risks which is based on estimation of simple quantities (such as covariances) associated to a vector of dependent random variables, and which avoids the use of parametric families of copulae. Our…

Risk Management · Quantitative Finance 2009-12-10 Brice Franke , Michael Stolz

We establish two theorems for assessing the accuracy in total variation of multivariate discrete normal approximation to the distribution of an integer valued random vector $W$. The first is for sums of random vectors whose dependence…

Probability · Mathematics 2018-07-19 A. D. Barbour , A. Xia

In models like axion monodromy, temporal features during inflation which are not associated with its ending can produce scalar, and to a lesser extent, tensor power spectra where deviations from scale-free power law spectra can be as large…

Cosmology and Nongalactic Astrophysics · Physics 2015-08-31 Hayato Motohashi , Wayne Hu

Empirical likelihood is a powerful semi-parametric method increasingly investigated in the literature. However, most authors essentially focus on an i.i.d. setting. In the case of dependent data, the classical empirical likelihood method…

Statistics Theory · Mathematics 2011-02-17 Hugo Harari-Kermadec