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相关论文: Gaussian Approximations of Multiple Integrals

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In this article, we obtain a super-exponential rate of convergence in total variation between the traces of the first $m$ powers of an $n\times n$ random unitary matrices and a $2m$-dimensional Gaussian random variable. This generalizes…

概率论 · 数学 2020-02-06 Kurt Johansson , Gaultier Lambert

Variational inference (VI) is a popular approach in Bayesian inference, that looks for the best approximation of the posterior distribution within a parametric family, minimizing a loss that is typically the (reverse) Kullback-Leibler (KL)…

机器学习 · 统计学 2025-11-18 Marguerite Petit-Talamon , Marc Lambert , Anna Korba

We establish explicit bounds on the convex distance between the distribution of a vector of smooth functionals of a Gaussian field, and that of a normal vector with a positive definite covariance matrix. Our bounds are commensurate to the…

概率论 · 数学 2021-02-26 Ivan Nourdin , Giovanni Peccati , Xiaochuan Yang

Let $(X_i)_{i\geq 1}$ be a stationary mean-zero Gaussian process with covariances $\rho(k)=\PE(X_{1}X_{k+1})$ satisfying: $\rho(0)=1$ and $\rho(k)=k^{-D} L(k)$ where $D$ is in $(0,1)$ and $L$ is slowly varying at infinity. Consider the…

By a classical result of Weyl, for any increasing sequence $(n_k)_{k \geq 1}$ of integers the sequence of fractional parts $(\{n_k x\})_{k \geq 1}$ is uniformly distributed modulo 1 for almost all $x \in [0,1]$. Except for a few special…

数论 · 数学 2013-07-26 Christoph Aistleitner

We develop Gaussian approximations for high-dimensional vectors formed by second-order $U$- and $V$-statistics whose kernels depend on sample size under independent but not identically distributed (i.n.i.d.) sampling. Our results hold…

统计理论 · 数学 2026-05-26 Shunsuke Imai

The results of Koml\'{o}s, Major and Tusn\'{a}dy give optimal Wiener approximation of partial sums of i.i.d. random variables and provide an extremely powerful tool in probability and statistical inference. Recently Wu [Ann. Probab. 35…

概率论 · 数学 2012-02-14 István Berkes , Siegfried Hörmann , Johannes Schauer

Let $K\subset\mathbb R^d$ be a compact subset equipped with a $\delta$-Ahlfors regular measure $\mu$. For any $\tau>1/d$ and any ``inhomogeneous'' vector $\boldsymbol{\theta}\in\mathbb R^d$, let $W_d(\psi_\tau,\boldsymbol{\theta})$ denote…

数论 · 数学 2026-02-17 Yubin He , Lingmin Liao

We consider goodness-of-fit methods for multivariate symmetric and asymmetric stable Paretian random vectors in arbitrary dimension. The methods are based on the empirical characteristic function and are implemented both in the i.i.d.…

统计理论 · 数学 2023-12-20 Simos G. Meintanis , John P. Nolan , Charl Pretorius

The paper studies nonstationary high-dimensional vector autoregressions of order $k$, VAR($k$). Additional deterministic terms such as trend or seasonality are allowed. The number of time periods, $T$, and the number of coordinates, $N$,…

计量经济学 · 经济学 2023-11-29 Anna Bykhovskaya , Vadim Gorin

We study piecewise polynomial functions $\gamma_k(c)$ that appear in the asymptotics of averages of the divisor sum in short intervals. Specifically, we express these polynomials as the inverse Fourier transform of a Hankel determinant that…

数论 · 数学 2019-12-10 Estelle Basor , Fan Ge , Michael O. Rubinstein

Let $V$ be a linear representation of a connected complex reductive group $G$. Given a choice of character $\theta$ of $G$, Geometric Invariant Theory defines a locus $V^{ss}_\theta(G) \subseteq V$ of semistable points. We give necessary,…

表示论 · 数学 2025-10-07 Riku Kurama , Ruoxi Li , Henry Talbott , Rachel Webb

Variational inference (VI) is a popular approach in Bayesian inference, that looks for the best approximation of the posterior distribution within a parametric family, minimizing a loss that is typically the (reverse) Kullback-Leibler (KL)…

机器学习 · 统计学 2024-06-11 Tom Huix , Anna Korba , Alain Durmus , Eric Moulines

The famous results of Koml\'os, Major and Tusn\'ady (see [15] and [17]) state that it is possible to approximate almost surely the partial sums of size n of i.i.d. centered random variables in L p (p > 2) by a Wiener process with an error…

概率论 · 数学 2017-06-27 Christophe Cuny , Jérôme Dedecker , Florence Merlevède

The aim of the current paper is to study the multiscalar-tensor theories of gravity without derivative couplings. We construct a few basic objects that are invariant under a Weyl rescaling of the metric and transform covariantly when the…

广义相对论与量子宇宙学 · 物理学 2016-01-25 Piret Kuusk , Laur Jarv , Ott Vilson

This paper is devoted to the problem of sampling Gaussian fields in high dimension. Solutions exist for two specific structures of inverse covariance : sparse and circulant. The proposed approach is valid in a more general case and…

统计计算 · 统计学 2011-05-31 F. Orieux , O. Féron , J. -F. Giovannelli

This paper is about vector autoregressive-moving average (VARMA) models with time-dependent coefficients to represent non-stationary time series. Contrarily to other papers in the univariate case, the coefficients depend on time but not on…

统计理论 · 数学 2015-06-05 Abdelkamel Alj , Christophe Ley , Guy Mélard

We introduce generalized Galerkin variational integrators, which are a natural generalization of discrete variational mechanics, whereby the discrete action, as opposed to the discrete Lagrangian, is the fundamental object. This is achieved…

数值分析 · 数学 2007-05-23 Melvin Leok

Consider a system of $n$ weakly interacting particles driven by independent Brownian motions. In many instances, it is well known that the empirical measure converges to the solution of a partial differential equation, usually called…

概率论 · 数学 2020-07-28 Florian Bechtold , Fabio Coppini

We consider a method for the approximation of iterated stochastic integrals of arbitrary multiplicity $k$ $(k\in \mathbb{N})$ with respect to the infinite-dimensional $Q$-Wiener process using the mean-square approximation method of iterated…

综合数学 · 数学 2022-03-15 Dmitriy F. Kuznetsov