Related papers: Gap Statistics of the Sequence $\{\alpha\sqrt{n}\}…
We consider an affine Euclidean lattice and record the directions of all lattice vectors of length at most $T$. Str\"ombergsson and the second author proved in [Annals of Math.~173 (2010), 1949--2033] that the distribution of gaps between…
For a class of Gaussian stationary processes, we prove a limit theorem on the convergence of the distributions of the scaled last exit time over a slowly growing linear boundary. The limit is a double exponential (Gumbel) distribution.
In a series of two papers, we investigate the large deviations and asymptotic behavior of stochastic models of brain neural networks with random interaction coefficients. In this first paper, we take into account the spatial structure of…
The analysis of Tables of particle properties shows that the probability distribution of the results of physical measurements is far from the conventional Gaussian $\rho(\xi)=exp(-\xi^2/2) $, but is more likely to follow the simple…
In a recent paper of Blomer, Bourgain, Radziwi{\l}{\l} and Rudnick, the authors proved the existence of small gaps between eigenvalues of the Laplacian in a rectangular billiard with sides $\pi$ and $\pi/\sqrt\alpha$, i.e. numbers of the…
The limit distribution of the nonparametric maximum likelihood estimator for interval censored data with more than one observation time per unobservable observation, is still unknown in general. For the so-called separated case, where one…
The stochastic properties of variables whose addition leads to $q$-Gaussian distributions $G_q(x)=[1+(q-1)x^2]_+^{1/(1-q)}$ (with $q\in\mathbb{R}$ and where $[f(x)]_+=max\{f(x),0\}$) as limit law for a large number of terms are…
The goal of this paper is to identify exponential convergence rates and to find computable bounds for them for Markov processes representing unreliable Jackson networks. First we use the bounds of Lawler and Sokal in order to show that, for…
The Gaussian theory of errors has been generalized to situations, where the Gaussian distribution and, hence, the Gaussian rules of error propagation are inadequate. The generalizations are based on Bayes' theorem and a suitable measure.…
We use Maynard's methods to show that there are bounded gaps between primes in the sequence $\{\lfloor n\alpha\rfloor\}$, where $\alpha$ is an irrational number of finite type. In addition, given a superlinear function $f$ satisfying some…
General Berry-Esseen bounds are developed for the exponential distribution using Stein's method. As an application, a sharp error term is obtained for Hora's result that the spectrum of the Bernoulli-Laplace Markov chain has an exponential…
We study the posterior distribution of the Bayesian multiple change-point regression problem when the number and the locations of the change-points are unknown. While it is relatively easy to apply the general theory to obtain the…
A tournament on a graph is an orientation of its edges. The score sequence lists the in-degrees in non-decreasing order. Works by Winston and Kleitman (1983) and Kim and Pittel (2000) showed that the number $S_n$ of score sequences on the…
The results of a series of theoretical studies are reported, examining the convergence rate for different approximate representations of $\alpha$-stable distributions. Although they play a key role in modelling random processes with jumps…
Consider a sequence of estimators $\hat \theta_n$ which converges almost surely to $\theta_0$ as the sample size $n$ tends to infinity. Under weak smoothness conditions, we identify the asymptotic limit of the last time $\hat \theta_n$ is…
The paper that is commented by Touchette contains a computational study which opens the door to a desirable generalization of the standard large deviation theory (applicable to a set of $N$ nearly independent random variables) to systems…
Benjamini and Schramm introduced the notion of distributional limit of a sequence of graphs with uniformly bounded valence and studied such limits in the case that the involved graphs are planar. We investigate distributional limits of…
Marshall's [Nonparametric Techniques in Statistical Inference (1970) 174--176] lemma is an analytical result which implies $\sqrt{n}$--consistency of the distribution function corresponding to the Grenander [Skand. Aktuarietidskr. 39 (1956)…
A characterization of the exponential distribution based on equidistribution conditions for maxima of random samples with consecutive sizes n-1 and n for an arbitrary and fixed n>2 is proved. This solves an open problem stated recently in…
We consider finite Bernoulli convolutions with a parameter $1/2 < r < 1$ supported on a discrete point set, generically of size $2^N$. These sequences are uniformly distributed with respect to the infinite Bernoulli convolution measure…