Related papers: A Tauberian theorem for ideal statistical converge…
We study a localized notion of uniform convergence known as an "optimistic rate" (Panchenko 2002; Srebro et al. 2010) for linear regression with Gaussian data. Our refined analysis avoids the hidden constant and logarithmic factor in…
It is well known and readily seen that the maximum of $n$ independent and uniformly on $[0,1]$ distributed random variables, suitably standardised, converges in total variation distance, as $n$ increases, to the standard negative…
We generalize some properties related to Hilbert series and Lefschetz properties of Milnor algebras of projective hypersurfaces with isolated singularities to the more general case of an almost complete intersection ideal $J$ of dimension…
This paper establishes an abstract Korovkin-type approximation theorem in general spaces, extending the framework of approximation theory to accommodate broader contexts. A critical result supporting this theorem is the proof that any…
Suppose that $\{a_j\}\in \ell^1$, and suppose that for any sequence $(t_n)$ of integers there exits a constant $C_1>0$ such that $$\sharp\left\{k\in\mathbb{Z}:\sup_{n\geq 1}\left|\sum_{i\in \mathcal{B}_n-t_n}…
A graph is called weakly perfect if its vertex chromatic number equals its clique number. Let $R$ be a ring and $I(R)^*$ be the set of all left proper non-trivial ideals of $R$. The intersection graph of ideals of $R$, denoted by $G(R)$, is…
This paper investigates the relationship between various measure-theoretic properties of U-statistics with fixed sample size $N$ and the same properties of their kernels. Specifically, the random variables are replaced with elements in some…
Although G\"odel's incompleteness theorem made mathematician recognize that no axiomatic system could completely prove its correctness and that there is an eternal hole between our knowledge and the world, physicists so far continue to work…
The Glivenko--Cantelli theorem is a uniform version of the strong law of large numbers. It states that for every IID sequence of random variables, the empirical measure converges to the underlying distribution (in the sense of uniform…
We study non-stationary averaging processes, where each term of a sequence is a weighted average of previous terms, namely $a_{n+1} = \sum_{j=1}^n p_n(j) a_j$. Our results extend classical theory in two distinct regimes. First, we prove a…
Let $\{X_i,i=1,2,...\}$ be i.i.d. standard gaussian variables. Let $S_n=X_1+...+X_n$ be the sequence of partial sums and $$ L_n=\max_{0\leq i<j\leq n}\frac{S_j-S_i}{\sqrt{j-i}}. $$ We show that the distribution of $L_n$, appropriately…
Following the work of [Dikranjan et al., Fund. Math. 249:185-209, 2020] for arithmetic sequences, very recently in [Das et al., Expo. Math. 43(3):125653, 2025], statistically characterized subgroups have been investigated for certain types…
After a brief discussion of the concepts of fractional exchange and fractional exclusion statistics, we report partly analytical and partly numerical results on thermodynamic properties of assemblies of particles obeying fractional…
Let $R$ be a commutative ring with an identity different from zero and $n$ be a positive integer. Anderson and Badawi, in their paper on $n$-absorbing ideals, define a proper ideal $I$ of a commutative ring $R$ to be an $n$-absorbing ideal…
Let $T$ be a general sampling statistic that can be written as a linear statistic plus an error term. Uniform and non-uniform Berry--Esseen type bounds for $T$ are obtained. The bounds are the best possible for many known statistics.…
A real number $x$ is considered normal in an integer base $b \geq 2$ if its digit expansion in this base is ``equitable'', ensuring that for each $k \geq 1$, every ordered sequence of $k$ digits from $\{0, 1, \ldots, b-1\}$ occurs in the…
In this paper we prove the complete characterization of a.s. convergence of orthogonal series in terms of existence of a majorizing measure. It means that for a given $(a_n)^{\infty}_{n=1}$, $a_n>0$, series $\sum^{\infty}_{n=1}a_n\varphi_n$…
Let $\mu$ be a probability measure on $\mathbb{R}$ with cumulative distribution function $F$, $(x_{i})_{1}^{n}$ a large i.i.d. sample from $\mu$, and $F_{n}$ the associated empirical distribution function. The Glivenko-Cantelli theorem…
We extend the study of \emph{melonic} quartic tensor models to models with arbitrary quartic interactions. This extension requires a new version of the loop vertex expansion using several species of intermediate fields and iterated…
Let $(X,Y)\in\mathcal{X}\times \mathcal{Y}$ be a random couple with unknown distribution $P$. Let $\GG$ be a class of measurable functions and $\ell$ a loss function. The problem of statistical learning deals with the estimation of the…