Related papers: Conditioning and covariance on caterpillars
I discuss the comparison of the current theoretical calculations of epsilon'/epsilon with the experimental data. Lacking reliable ``first principle'' calculations, phenomenological approaches may help in understanding correlations among…
This paper considers the problem of invoking auxiliary, unobservable variables to facilitate the structuring of causal tree models for a given set of continuous variables. Paralleling the treatment of bi-valued variables in [Pearl 1986], we…
Our interest is in the scaled joint distribution associated with $k$-increasing subsequences for random involutions with a prescribed number of fixed points. We proceed by specifying in terms of correlation functions the same distribution…
Given $n$ i.i.d. observations of a random vector $(X,Z)$, where $X$ is a high-dimensional vector and $Z$ is a low-dimensional index variable, we study the problem of estimating the conditional inverse covariance matrix $\Omega(z) =…
We consider the problem of predicting the covariance of a zero mean Gaussian vector, based on another feature vector. We describe a covariance predictor that has the form of a generalized linear model, i.e., an affine function of the…
Selecting appropriate regularization coefficients is critical to performance with respect to regularized empirical risk minimization problems. Existing theoretical approaches attempt to determine the coefficients in order for regularized…
This paper contributes to a programme initiated by the first author: `How much information about a graph is revealed in its Potts partition function?'. We show that the $W$-polynomial distinguishes non-isomorphic weighted trees of a…
Variational inference has become one of the most widely used methods in latent variable modeling. In its basic form, variational inference employs a fully factorized variational distribution and minimizes its KL divergence to the posterior.…
We study the complexity of determining a winning committee under the Chamberlin--Courant voting rule when voters' preferences are single-crossing on a line, or, more generally, on a median graph (this class of graphs includes, e.g., trees…
We consider the problem of estimating the conditional probability of a label in time O(log n), where n is the number of possible labels. We analyze a natural reduction of this problem to a set of binary regression problems organized in a…
A family of models for fluctuating loops in a two dimensional random background is analyzed. The models are formulated as O(n) spin models with quenched inhomogeneous interactions. Using the replica method, the models are mapped to the…
Multivariate extreme value theory assumes a multivariate domain of attraction condition for the distribution of a random vector. This necessitates that each component satisfies a marginal domain of attraction condition. An approximation of…
We propose a novel modeling framework to study the effect of covariates of various types on the conditional distribution of the response. The methodology accommodates flexible model structure, allows for joint estimation of the quantiles at…
We show that the spectral norm of a random $n_1\times n_2\times \cdots \times n_K$ tensor (or higher-order array) scales as $O\left(\sqrt{(\sum_{k=1}^{K}n_k)\log(K)}\right)$ under some sub-Gaussian assumption on the entries. The proof is…
In observational causal inference, domain knowledge often leaves multiple covariate adjustments plausible, yet which sets satisfy ignorability is untestable. Different adjustment sets can yield conflicting estimates of the average treatment…
A randomised trapezoidal quadrature rule is proposed for continuous functions which enjoys less regularity than commonly required. Indeed, we consider functions in some fractional Sobolev space. Various error bounds for this randomised rule…
The distributed Kaczmarz algorithm is an adaptation of the standard Kaczmarz algorithm to the situation in which data is distributed throughout a network represented by a tree. We isolate substructures of the network and study convergence…
For a family of interpolation norms $\| \cdot \|_{1,2,s}$ on $\mathbb{R}^n$, we provide a distribution over random matrices $\Phi_s \in \mathbb{R}^{m \times n}$ parametrized by sparsity level $s$ such that for a fixed set $X$ of $K$ points…
The paper provides a simpler method for proving a delicate inequality that was used by Achlioptis and Naor to establish asymptotic concentration for chromatic numbers of Erdos-Renyi random graphs. The simplifications come from two new…
We show that coarse graining arguments invented for the analysis of multi-spin systems on a randomly triangulated surface apply also to the O(n) model on a random lattice. These arguments imply that if the model has a critical point with…