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相关论文: Deconvolution by simulation

200 篇论文

Let $ k >0 $ be an integer and $ Y $ a standard Gamma$(k)$ distributed random variable. Let $ X $ be an independent positive random variable with a density that is hyperbolically monotone (HM) of order $ k.$ Then $Y\cdot X$ and $Y/X $ both…

概率论 · 数学 2015-08-28 Anita Behme , Lennart Bondesson

Blind deconvolution and demixing is the problem of reconstructing convolved signals and kernels from the sum of their convolutions. This problem arises in many applications, such as blind MIMO. This work presents a separable approach to…

信号处理 · 电气工程与系统科学 2021-04-21 Dana Weitzner , Raja Giryes

Particle filtering is used to compute good nonlinear estimates of complex systems. It samples trajectories from a chosen distribution and computes the estimate as a weighted average. Easy-to-sample distributions often lead to degenerate…

机器学习 · 计算机科学 2021-10-07 Fernando Gama , Nicolas Zilberstein , Richard G. Baraniuk , Santiago Segarra

We propose a new optimization framework for aleatoric uncertainty estimation in regression problems. Existing methods can quantify the error in the target estimation, but they tend to underestimate it. To obtain the predictive uncertainty…

计算机视觉与模式识别 · 计算机科学 2021-03-12 Takumi Kawashima , Qing Yu , Akari Asai , Daiki Ikami , Kiyoharu Aizawa

The random variable simulation problem consists in using a $k$-dimensional i.i.d. random vector $X^{k}$ with distribution $P_{X}^{k}$ to simulate an $n$-dimensional i.i.d. random vector $Y^{n}$ so that its distribution is approximately…

信息论 · 计算机科学 2018-12-24 Lei Yu , Vincent Y. F. Tan

This paper makes the case for using Shapley value to quantify the importance of random input variables to a function. Alternatives based on the ANOVA decomposition can run into conceptual and computational problems when the input variables…

统计理论 · 数学 2017-03-22 Art B. Owen , Clémentine Prieur

We generalize the well-known mixtures of Gaussians approach to density estimation and the accompanying Expectation--Maximization technique for finding the maximum likelihood parameters of the mixture to the case where each data point…

统计方法学 · 统计学 2011-08-01 Jo Bovy , David W. Hogg , Sam T. Roweis

The estimation of an f-divergence between two probability distributions based on samples is a fundamental problem in statistics and machine learning. Most works study this problem under very weak assumptions, in which case it is provably…

We describe here a new method to estimate copula measure. From N observations of two variables X and Y, we draw a huge number m of subsamples (size n<N), and we compute the joint ranks in these subsamples. Then, for each bivariate rank…

统计方法学 · 统计学 2007-09-26 Jérôme Collet

The distribution function of the sum $Z$ of two standard normally distributed random variables $X$ and $Y$ is computed with the concept of copulas to model the dependency between $X$ and $Y$. By using implicit copulas such as the Gauss- or…

统计计算 · 统计学 2021-07-02 Walter Schneider

We propose an approach for testing the hypothesis that two realizations of the random variables in the form of histograms are taken from the same statistical population (i.e. that two histograms are drawn from the same distribution). The…

数据分析、统计与概率 · 物理学 2013-05-22 Sergey Bityukov , Nikolai Krasnikov , Alexander Nikitenko , Vera Smirnova

The general relationship between an arbitrary frequency distribution and the expectation value of the frequency distributions of its samples is discussed. A wide set of measurable quantities ("invariant moments") whose expectation value…

数据分析、统计与概率 · 物理学 2015-06-15 Paolo Rossi

We give a comparison inequality that allows one to estimate the tail probabilities of sums of independent Banach space valued random variables in terms of those of independent identically distributed random variables. More precisely, let…

概率论 · 数学 2007-05-23 Stephen Montgomery-Smith , Alexander R. Pruss

This paper considers the blind deconvolution of multiple modulated signals, and an arbitrary filter. Multiple inputs $\boldsymbol{s}_1, \boldsymbol{s}_2, \ldots, \boldsymbol{s}_N =: [\boldsymbol{s}_n]$ are modulated (pointwise multiplied)…

信息论 · 计算机科学 2019-12-24 Ali Ahmed

We prove decoupling inequalities for random polynomials in independent random variables with coefficients in vector space. We use various means of comparison, including rearrangement invariant norms (e.g., Orlicz and Lorentz norms), tail…

概率论 · 数学 2008-02-03 V. de la Pena , Stephen J. Montgomery-Smith , Jerzy Szulga

Convolution system is linear and time invariant, and can describe the optical imaging process. Based on convolution system, many deconvolution techniques have been developed for optical image analysis, such as boosting the space resolution…

图像与视频处理 · 电气工程与系统科学 2017-12-01 Song Yizhi , Xu Cheng , Ding Daoxin , Zhou Hang , Quan Tingwei , Li Shiwei

We consider the limiting distribution of the quantity $X^s/(X+Y)^r$, where $X$ and $Y$ are two independent Binomial random variables with a common success probability and a number of trials $n$ and $m$, respectively, and $r,s$ are positive…

统计理论 · 数学 2025-06-17 Adriel Barretto , Zachary Lubberts

A procedure for unfolding the true distribution from experimental data is presented. Machine learning methods are applied for simultaneous identification of an apparatus function and solving of an inverse problem. A priori information about…

数据分析、统计与概率 · 物理学 2011-05-26 Nikolai Gagunashvili

We examine the conditions under which descriptive inference can be based directly on the observed distribution in a non-probability sample, under both the super-population and quasi-randomisation modelling approaches. Review of existing…

统计理论 · 数学 2018-10-02 Li-Chun Zhang

Sampling is an important tool for estimating large, complex sums and integrals over high dimensional spaces. For instance, important sampling has been used as an alternative to exact methods for inference in belief networks. Ideally, we…

人工智能 · 计算机科学 2013-01-18 Luis E. Ortiz , Leslie Pack Kaelbling