Related papers: Multivariate approximation in total variation, II:…
We give a decomposition of the posterior predictive variance using the law of total variance and conditioning on a finite dimensional discrete random variable. This random variable summarizes various features of modeling that are used to…
Total variant of well known graph coloring game is considered. We determine exact values of total game chromatic number for some classes of graphs and show show the strategie for first player to win the game. We also show relation between…
In the paper, the estimator for the spectral measure of multivariate stable distributions introduced by Davydov and co-workers are extended to the regularly varying distributions. The sampling method is modified to optimize the rate of…
Using Chen-Stein method in combination with size-biased couplings, we obtain the multivariate Poisson approximation in terms of the Wasserstein distance. As applications, we study the multivariate Poisson approximation of the distribution…
The search for a highly discriminating and easily computable invariant to distinguish graphs remains a challenging research topic. Here we focus on cospectral graphs whose complements are also cospectral (generalized cospectral), and on…
Random graphs with a given degree sequence are often constructed using the configuration model, which yields a random multigraph. We may adjust this multigraph by a sequence of switchings, eventually yielding a simple graph. We show that,…
By the continuous mapping theorem, if a sequence of $d$-dimensional random vectors $(\mathbf{W}_n)_{n\geq1}$ converges in distribution to a multivariate normal random variable $\Sigma^{1/2}\mathbf{Z}$, then the sequence of random variables…
In this monograph, we prove an asymptotic approximation for integrals of probability densities over sets in finite dimensional euclidean space, which are far away from the origin (asymptotic sets). We use this approximation to investigate…
The goal of this paper is to present a novel approach for total variation regularization and Sobolev minimization, which are prominent tools for variational imaging. Thereby we use derivative free characterizations of the total variation…
This paper develops mixed-normal approximations for probabilities that vectors of multiple Skorohod integrals belong to random convex polytopes when the dimensions of the vectors possibly diverge to infinity. We apply the developed theory…
We investigate different mean-field-like approximations for stochastic dynamics on graphs, within the framework of a cluster-variational approach. In analogy with its equilibrium counterpart, this approach allows one to give a unified view…
The parametric geometry of numbers has allowed to visualize the simultaneous approximation properties of a collection of real numbers through the combined graph of the related successive minima functions. Several inequalities among…
In this article, we study random graphs with a given degree sequence $d_1, d_2, \cdots, d_n$ from the configuration model. We show that under mild assumptions of the degree sequence, the spectral distribution of the normalized Laplacian…
This paper extends earlier work on the distribution in the complex plane of the roots of random polynomials. In this paper, the random polynomials are generalized to random finite sums of given "basis" functions. The basis functions are…
We suggest approximating the distribution of the sum of independent and identically distributed random variables with a Pareto-like tail by combining extreme value approximations for the largest summands with a normal approximation for the…
Consider a random geometric 2-dimensional simplicial complex $X$ sampled as follows: first, sample $n$ vectors $\boldsymbol{u_1},\ldots,\boldsymbol{u_n}$ uniformly at random on $\mathbb{S}^{d-1}$; then, for each triple $i,j,k \in [n]$, add…
Recently, we have witnessed tremendous applications of algebraic intersection theory to branches of mathematics, that previously seemed very distant. In this article we review some of them. Our aim is to provide a unified approach to the…
We study the closure properties of the class of Bivariate Regular Variation, symbolically BRV , in standard and nonstandard cases, with respect to the randomly weighted sums. However, we take into consideration a weak dependence structure…
We introduce a new, elementary method for studying random differences in arithmetic progressions and convergence phenomena along random sequences of integers. We apply our method to obtain significant improvements on previously known…
Let $\boldsymbol{\xi}=(\xi_1,\ldots,\xi_m)$ be a negatively associated mean zero random vector with components that obey the bound $|\xi_i| \le B, i=1,\ldots,m$, and whose sum $W = \sum_{i=1}^m \xi_i$ has variance 1, the bound \[…