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For two large matrices ${\mathbf X}$ and ${\mathbf Y}$ with Gaussian i.i.d.\ entries and dimensions $T\times N_X$ and $T\times N_Y$, respectively, we derive the probability distribution of the singular values of $\mathbf{X}^T \mathbf{Y}$ in…

Statistics Theory · Mathematics 2025-08-29 Arabind Swain , Sean Alexander Ridout , Ilya Nemenman

This work obtains sharp closed-form exponential concentration inequalities of Bernstein type for the ubiquitous beta distribution, improving upon sub-gaussian and sub-gamma bounds previously studied in this context. The proof leverages a…

Probability · Mathematics 2024-10-21 Maciej Skorski

This article derives the first two moments of the two versions of the Riesz distribution in the terms of their characteristic functions.

Statistics Theory · Mathematics 2015-06-02 Jose A. Diaz-Garcia

The p-variate gamma distribution in the sense of Krishnamoorthy and Parthasarathy exists for all positive integer degrees of freedom d and at least for all real values d > p-2, p > 1. For special structures of the "associated" covariance…

Probability · Mathematics 2016-06-16 Thomas Royen

This paper introduces four matrix normal distributions on analytic bundles of flag varieties, extending the separable covariance $\varPhi \otimes \varPsi$ with potentially variable-level ($\varPsi$) and/or sample-level ($\varPhi$)…

Algebraic Geometry · Mathematics 2026-04-24 Haoming Wang

In this paper we present a flexible bivariate distribution specified by a quantile function. The distribution contains as special cases new bivariate exponential, Pareto I, Pareto II, beta, power, log logistic and uniform distributions and…

Other Statistics · Statistics 2025-03-17 Shifna P R , N. Unnikrishnan Nair , S. M. Sunoj

The mathematical properties of a family of generalized beta distribution, including beta-normal, skewed-t, log-F, beta-exponential, beta-Weibull distributions have recently been studied in several publications. This paper applies these…

Methodology · Statistics 2007-10-26 J. H. Sepanski , Lingji Kong

This paper introduces the generalized Hausman test as a novel method for detecting non-normality of the latent variable distribution of unidimensional Item Response Theory (IRT) models for binary data. The test utilizes the pairwise maximum…

Methodology · Statistics 2024-02-14 Lucia Guastadisegni , Silvia Cagnone , Irini Moustaki , Vassilis Vasdekis

In this note we discuss additional properties of mixed Poisson distributions. We discuss the convergence of mixed Poisson distributions to its mixing distribution for the scaling parameter tending to infinity. Moreover, we obtain a central…

Probability · Mathematics 2025-02-13 Markus Kuba

We consider Gaussian ensembles of m N x N complex matrices. We identify an enhanced symmetry in the system and the resultant closed subsector, which is naturally associated with the radial sector of the theory. The density of radial…

High Energy Physics - Theory · Physics 2015-05-28 Mthokozisi Masuku , João P. Rodrigues

Distribution data refers to a data set where each sample is represented as a probability distribution, a subject area receiving burgeoning interest in the field of statistics. Although several studies have developed…

Methodology · Statistics 2024-02-09 Ryo Okano , Masaaki Imaizumi

A generalization of the Poisson distribution based on the generalized Mittag-Leffler function $E_{\alpha, \beta}(\lambda)$ is proposed and the raw moments are calculated algebraically in terms of Bell polynomials. It is demonstrated, that…

Statistics Theory · Mathematics 2018-02-23 Richard Herrmann

We study a class of generalized Riesz products connected to the spectral type of some class of rank one flows on $\R$. Applying a Central Limit Theorem of Kac, we exhibit a large class of singular generalized Riesz products on the Bohr…

Dynamical Systems · Mathematics 2014-12-22 El Houcein El Abdalaoui

Non-Gaussian mixture models are gaining increasing attention for mixture model-based clustering particularly when dealing with data that exhibit features such as skewness and heavy tails. Here, such a mixture distribution is presented,…

Computation · Statistics 2020-05-07 Yuan Fang , Dimitris Karlis , Sanjeena Subedi

We study Riesz distributions in the framework of rational Dunkl theory associated with root systems of type A. As an important tool, we employ a Laplace transform involving the associated Dunkl kernel, which essentially goes back to…

Classical Analysis and ODEs · Mathematics 2020-01-30 Margit Rösler

We study a well-known problem concerning a random variable $Z$ uniformly distributed between two independent random variables. A new extension has been introduced for this problem and fairly large classes of randomly weighted average…

Statistics Theory · Mathematics 2013-08-27 Hazhir Homei

Gaussian graphical models have received considerable attention during the past four decades from the statistical and machine learning communities. In Bayesian treatments of this model, the G-Wishart distribution serves as the conjugate…

Statistics Theory · Mathematics 2016-06-23 Caroline Uhler , Alex Lenkoski , Donald Richards

In classical random matrix theory the Gaussian and chiral Gaussian random matrix models with a source are realized as shifted mean Gaussian, and chiral Gaussian, random matrices with real $(\beta = 1)$, complex ($\beta = 2)$ and real…

Probability · Mathematics 2015-06-16 Peter J. Forrester

Let $\mathbf{H}=(h_{ij})$ and $\mathbf{G}=(g_{ij})$ be two $m\times n$, $m\leq n$, random matrices, each with i.i.d complex zero-mean unit-variance Gaussian entries, with correlation between any two elements given by…

Probability · Mathematics 2007-05-23 Shuangquan Wang , Ali Abdi

Let $\a$ be a real-valued random variable of mean zero and variance 1. Let $M_n(\a)$ denote the $n \times n$ random matrix whose entries are iid copies of $\a$ and $\sigma_n(M_n(\a))$ denote the least singular value of $M_n(\a)$.…

Probability · Mathematics 2009-03-04 Terence Tao , Van Vu
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