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Copula models are flexible tools to represent complex structures of dependence for multivariate random variables. According to Sklar's theorem (Sklar, 1959), any d-dimensional absolutely continuous density can be uniquely represented as the…

统计方法学 · 统计学 2021-03-05 Clara Grazian , Luciana Dalla Valle , Brunero Liseo

This work will incorporate a few related tools for addressing the conceptual difficulties arising from sewing together classical and quantum mechanics: deterministic operators, weak measurements and post-selection. Weak Measurement, based…

量子物理 · 物理学 2016-12-21 Eliahu Cohen , Yakir Aharonov

Define the scaled empirical point process on an independent and identically distributed sequence $\{Y_i: i\le n\}$ as the random point measure with masses at $a_n^{-1} Y_i$. For suitable $a_n$ we obtain the weak limit of these point…

概率论 · 数学 2016-08-16 André Dabrowski , Gail Ivanoof , Rafal Kulik

The Cauchy combination test (CCT) is a $p$-value combination method used in multiple-hypothesis testing and is robust under dependence structures. This study aims to evaluate the CCT for independent and correlated count data where the…

统计方法学 · 统计学 2025-04-22 Huda Alsulami , Silvia Liverani

A dependence measure for arbitrary type pairs of random variables is proposed and analyzed, which in the particular case where both random variables are continuous turns out to be a concordance measure. Also, a sample version of the…

统计理论 · 数学 2017-02-07 Arturo Erdely

Randomization tests are based on a re-randomization of existing data to gain data-dependent critical values that lead to exact hypothesis tests under special circumstances. However, it is not always possible to re-randomize data in…

统计理论 · 数学 2021-10-20 Dennis Dobler

We introduce a new functional measure of tail dependence for weakly dependent (asymptotically independent) random vectors, termed weak tail dependence function. The new measure is defined at the level of copulas and we compute it for…

概率论 · 数学 2016-01-27 Peter Tankov

We investigate three-point statistics in weak lensing convergence, through the integrated bispectrum. This statistic involves measuring power spectra in patches, and is thus easy to measure, and avoids the complexity of estimating the very…

宇宙学与河外天体物理 · 物理学 2021-07-13 Gabriel Jung , Toshiya Namikawa , Michele Liguori , Dipak Munshi , Alan Heavens

Copulas are now frequently used to construct or estimate multivariate distributions because of their ability to take into account the multivariate dependence of the different variables while separately specifying marginal distributions.…

统计方法学 · 统计学 2023-02-02 Mohamad A. Khaled , Robert Kohn

Variational weak-coupling perturbation theory yields converging approximations, uniformly in the coupling strength. This allows us to calculate directly the coefficients of `strong-coupling' expansions. For the anharmonic oscillator we…

量子物理 · 物理学 2016-09-08 Wolfhard Janke , Hagen Kleinert

A bivariate integer-valued autoregressive process of order 1 (BINAR(1)) with copula-joint innovations is studied. Different parameter estimation methods are analyzed and compared via Monte Carlo simulations with emphasis on estimation of…

统计方法学 · 统计学 2019-06-07 Andrius Buteikis , Remigijus Leipus

Data on rates, percentages or proportions arise frequently in many different applied disciplines like medical biology, health care, psychology and several others. In this paper, we develop a robust inference procedure for the beta…

统计方法学 · 统计学 2018-01-16 Abhik Ghosh

We propose a new class of estimators for Pickands dependence function which is based on the concept of minimum distance estimation. An explicit integral representation of the function $A^*(t)$, which minimizes a weighted $L^2$-distance…

统计理论 · 数学 2015-03-18 Axel Bücher , Holger Dette , Stanislav Volgushev

Logistic regression involving high-dimensional covariates is a practically important problem. Often the goal is variable selection, i.e., determining which few of the many covariates are associated with the binary response. Unfortunately,…

统计计算 · 统计学 2025-02-18 Yiqi Tang , Ryan Martin

This paper proposes a variance-based measure of importance for coherent systems with dependent and heterogeneous components. The particular cases of independent components and homogeneous components are also considered. We model the…

应用统计 · 统计学 2024-09-30 Antonio Arriaza , Jorge Navarro , Miguel Angel Sordo , Alfonso Suárez-Llorens

The key result of this paper is to characterize all the multivariate symmetric Bernoulli distributions whose sum is minimal under convex order. In doing so, we automatically characterize extremal negative dependence among Bernoulli random…

统计理论 · 数学 2025-06-19 Alessandro Mutti , Patrizia Semeraro

Copulas allow a flexible and simultaneous modeling of complicated dependence structures together with various marginal distributions. Especially if the density function can be represented as the product of the marginal density functions and…

统计方法学 · 统计学 2020-08-31 Jae Youn Ahn , Sebastian Fuchs , Rosy Oh

Compositional data (i.e., data comprising random variables that sum up to a constant) arises in many applications including microbiome studies, chemical ecology, political science, and experimental designs. Yet when compositional data serve…

统计方法学 · 统计学 2025-01-03 Ritwik Bhaduri , Siyuan Ma , Lucas Janson

We consider the problem of empirical Bayes estimation of multiple variances when provided with sample variances. Assuming an arbitrary prior on the variances, we derive different versions of the Bayes estimators using different loss…

统计理论 · 数学 2022-03-01 Yeil Kwon , Zhigen Zhao

We consider a simple random walk of length $N$, denoted by $(S_{i})_{i\in \{1,...,N\}}$, and we define $(w_i)_{i\geq 1}$ a sequence of centered i.i.d. random variables. For $K\in\N$ we define $((\gamma_i^{-K},...,\gamma_i^K))_{i\geq 1}$ an…

概率论 · 数学 2007-11-19 Nicolas Petrelis