Related papers: A Value Distribution Result and Some Normality Cri…
Thanks to the test function of Bian-Guan[2], we successfully obtain a constant rank theorem for partial convex solutions of a class partial differential equations. This is the microscopic version of the macroscopic partial convexity…
In this article we study the value distribution theory for the first derivative of the logarithmic derivative of Dirichlet $L$-functions, generalizing certain results of Ihara, Matsumoto et. al. related to ``$M$-functions" for $\sigma = $…
We establish a general principle that any lower bound on the non-vanishing of central $L$-values obtained through studying the one-level density of low-lying zeros can be refined to show that most such $L$-values have the typical size…
In this paper, we investigate the value distribution for linear q-difference polynomials of transcendental meromorphic functions of zero order which improves the results of Xu, Liu and Cao (\cite{Xu & Liu & Cao & 2015}). We also investigate…
In this note a general a Cauchy-type mean value theorem for the ratio of functional determinants is offered. It generalizes Cauchy's and Taylor's mean value theorems as well as other classical mean value theorems.
We study the regularity of solutions of functional equations of a generalized mean value type. In this paper we give sufficient conditions for the regularity by using hypoellipticity which is a concept of the theory of partial differential…
Assuming the generalized Riemann hypothesis and a bound for the negative discrete moments of the Riemann zeta function (resp. Dirichlet $L$-functions), we prove the existence of a logarithmic limiting distribution for the normalized partial…
Kagan and Shalaevski 1967 have shown that if the random variables $X_1,\dots,X_n$ are independent and identically distributed and the distribution of $\sum_{i=1}^n(X_i+a_i)^2$ $a_i\in \mathbb{R}$ depends only on $\sum_{i=1}^na_i^2$ , then…
The main goal of this research is to model and investigate generalizations of functions from [31]. Arguments of modeled functions are presented by the representation $\pi_{\mathfrak p}$ from [22].
In this paper, we prove two normality criteria for a family of meromorphic functions. The first criterion extends a result of Fang and Zalcman[Normal families and shared values of meromorphic functions II, Comput. Methods Funct. Theory,…
We prove equidistribution of a generic net of small points in a projective variety X over a function field K. For an algebraic dynamical system over K, we generalize this equidistribution theorem to a small generic net of subvarieties. For…
We introduce a new formalism for computing expectations of functionals of arbitrary random vectors, by using generalised integration by parts formulae. In doing so we extend recent representation formulae for the score function introduced…
In the recent paper [J. Funct. Anal. {\bf 259} (2010)], Naor and Tao introduce a new class of measures with a so-called micro-doubling property and present, via martingale theory and probability methods, a localization theorem for the…
We introduce a new class of multiplications of distributions in one dimension merging together two different regularizations of distributions. Some of the features of these multiplications are discussed in a certain detail. We use our…
General classes of bivariate distributions are well studied in literature. Most of these classes are proposed via a copula formulation or extensions of some characterisation properties in the univariate case. In Kundu(2022) we see one such…
We define an integral, the distributional integral of functions of one real variable, that is more general than the Lebesgue and the Denjoy-Perron-Henstock-Kurzweil integrals, and which allows the integration of functions with…
We present the first applications of the recently established by us (arXiv:1304.7895; Ukrainian Math. J. - 2014. -66. - P. 371-383) generalized Li's criterion equivalent to the Riemann Hypothesis. This criterion is the statement that the…
This article presents an important theorem, which shows that from the moments of the standard normal distribution one can generate density functions originating a family of models. Additionally, we discussed that different random variable…
This paper is devoted to a fractional generalization of the Dirichlet distribution. The form of the multivariate distribution is derived assuming that the $n$ partitions of the interval $[0,W_n]$ are independent and identically distributed…
In this paper, we prove some uniqueness results which improve and generalize several earlier works. Also, we prove a value distribution result concerning $f^{(k)}$ which provides a partial answer to a question of Fang and Wang [A note on…