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Given a gamma population with known shape parameter $\alpha$, we develop a general theory for estimating a function $g(\cdot)$ of the scale parameter $\beta$ with bounded variance. We begin by defining a sequential sampling procedure with…

统计方法学 · 统计学 2024-07-09 Jun Hu , Ibtihal Alanazi , Zhe Wang

Nonseparable panel models are important in a variety of economic settings, including discrete choice. This paper gives identification and estimation results for nonseparable models under time homogeneity conditions that are like "time is…

统计方法学 · 统计学 2018-01-08 Victor Chernozhukov , Ivan Fernandez-Val , Jinyong Hahn , Whitney Newey

A scan statistic is examined for the purpose of testing the existence of a global peak in a random process with dependent variables of any distribution. The scan statistic tail probability is obtained based on the covariance of the moving…

统计计算 · 统计学 2013-09-24 Anat Reiner-Benaim

Complex systems are often non-stationary, typical indicators are continuously changing statistical properties of time series. In particular, the correlations between different time series fluctuate. Models that describe the multivariate…

无序系统与神经网络 · 物理学 2021-05-26 Thomas Guhr , Andreas Schell

In a coalescing random walk, a set of particles make independent random walks on a graph. Whenever one or more particles meet at a vertex, they unite to form a single particle, which then continues the random walk through the graph.…

数据结构与算法 · 计算机科学 2016-12-28 Colin Cooper , Robert Elsasser , Hirotaka Ono , Tomasz Radzik

We study the number of collisions $X_n$ of an exchangeable coalescent with multiple collisions ($\Lambda$-coalescent) which starts with $n$ particles and is driven by rates determined by a finite characteristic measure $\nu({\rm…

概率论 · 数学 2008-07-18 Alexander Gnedin , Alex Iksanov , Martin Möhle

Driven by the interest on how uniformity of marginal distributions propa\-gates to properties of regression functions, in this contribution we tackle the following questions: Given a $(d-1)$-dimensional random vector $\textbf{X}$ and a…

统计理论 · 数学 2025-10-07 Henrik Kaiser , Wolfgang Trutschnig

Extreme values geostatistics make it possible to model the asymptotic behaviors of random phenomena which depends on space or time parameters. In this paper, we propose new models of the extremal coefficient within a spatial stationary…

统计方法学 · 统计学 2022-07-05 Ouoba Fabrice , Diakarya Barro , Hay Yoba Talkibing

We investigate the asymptotic distribution of the maximum of a frequency smoothed estimate of the spectral coherence of a M-variate complex Gaussian time series with mutually independent components when the dimension M and the number of…

统计理论 · 数学 2021-07-08 Alexis Rosuel , Philippe Loubaton , Pascal Vallet

In this paper, we investigate the asymptotic behaviors of the extreme eigenvectors in a general spiked covariance matrix, where the dimension and sample size increase proportionally. We eliminate the restrictive assumption of the block…

统计理论 · 数学 2024-05-15 Zhangni Pu , Xiaozhuo Zhang , Jiang Hu , Zhidong Bai

We examine random variables in the power law/regularly varying class with stochastic tail exponent, the exponent $\alpha$ having its own distribution. We show the effect of stochasticity of $\alpha$ on the expectation and higher moments of…

统计金融 · 定量金融 2017-04-06 Nassim Nicholas Taleb

A random neighbor extremal stick-slip model is introduced. In the thermodynamic limit, the distribution of states has a simple analytical form and the mean avalanche size, as a function of the coupling parameter, is exactly calculable. The…

统计力学 · 物理学 2010-06-10 Osame Kinouchi , Carmen P. C. do Prado

The ``Brownian bees" model describes an ensemble of $N$ independent branching Brownian particles. When a particle branches into two particles, the particle farthest from the origin is eliminated so as to keep a constant number of particles.…

统计力学 · 物理学 2021-11-29 Maor Siboni , Pavel Sasorov , Baruch Meerson

In this paper we derive sharp lower and upper bounds for the covariance of two bounded random variables when knowledge about their expected values, variances or both is available. When only the expected values are known, our result can be…

概率论 · 数学 2021-06-21 Ola Hössjer , Arvid Sjölander

A simple way to model phenotypic evolution is to assume that after splitting, the trait values of the sister species diverge as independent Brownian motions. Relying only on a prior distribution for the underlying species tree (conditioned…

种群与进化 · 定量生物学 2013-05-14 Serik Sagitov , Krzysztof Bartoszek

Covariances and variances of linear statistics of a point process can be written as integrals over the truncated two-point correlation function. When the point process consists of the eigenvalues of a random matrix ensemble, there are often…

数学物理 · 物理学 2022-05-04 Peter J. Forrester

Nonlinear panel data models with fixed individual effects provide an important set of tools for describing microeconometric data. In a large class of such models (including probit, proportional hazard and quantile regression to name just a…

计量经济学 · 经济学 2020-02-07 Antonio F. Galvao , Jiaying Gu , Stanislav Volgushev

A discrete stochastic process involving random amplification with additive noise is studied analytically. If the non-negative random amplification factor $b$ is such that $<b^{\beta}>=1$ where $\beta$ is any positive non-integer, then the…

chao-dyn · 物理学 2009-10-31 Nobuko Fuchikami

We introduce a random matrix model for the stationary covariance of multivariate Ornstein-Uhlenbeck processes with heterogeneous temperatures, where the covariance is constrained by the Sylvester-Lyapunov equation. Using the replica method,…

无序系统与神经网络 · 物理学 2025-01-30 Leonardo Ferreira , Fernando Metz , Paolo Barucca

We derive the asymptotic distribution of the total length $L_n$ of a $\operatorname {Beta}(2-\alpha,\alpha)$-coalescent tree for $1<\alpha<2$, starting from $n$ individuals. There are two regimes: If $\alpha\le1/2(1+\sqrt{5})$, then $L_n$…

概率论 · 数学 2012-10-22 Götz Kersting