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This paper investigates improved testing inferences under a general multivariate elliptical regression model. The model is very flexible in terms of the specification of the mean vector and the dispersion matrix, and of the choice of the…

统计理论 · 数学 2016-11-01 T. F. N. Melo , S. L. P. Ferrari , A. G. Patriota

Some empirical results are more likely to be published than others. Such selective publication leads to biased estimates and distorted inference. This paper proposes two approaches for identifying the conditional probability of publication…

计量经济学 · 经济学 2017-11-30 Isaiah Andrews , Maximilian Kasy

This paper describes a class of probabilistic approximation algorithms based on bucket elimination which offer adjustable levels of accuracy and efficiency. We analyze the approximation for several tasks: finding the most probable…

人工智能 · 计算机科学 2013-02-08 Rina Dechter , Irina Rish

Consider the empirical measure, $\hat{\mathbb{P}}_N$, associated to $N$ i.i.d. samples of a given probability distribution $\mathbb{P}$ on the unit interval. For fixed $\mathbb{P}$ the Wasserstein distance between $\hat{\mathbb{P}}_N$ and…

概率论 · 数学 2019-07-04 Samuel N. Cohen , Martin N. A. Tegnér , Johannes Wiesel

A novel approach to improve prediction and inference in M-estimation by integrating external information from heterogeneous populations is proposed. Our method leverages joint asymptotics to combine estimates from external and internal…

统计方法学 · 统计学 2025-09-08 Walter Dempsey , Jeremy M. G. Taylor

Analysis of the convergence rates of modern convex optimization algorithms can be achived through binary means: analysis of emperical convergence, or analysis of theoretical convergence. These two pathways of capturing information diverge…

机器学习 · 计算机科学 2013-05-20 Patrick Hop , Xinghao Pan

We study distributional off-policy evaluation (OPE), of which the goal is to learn the distribution of the return for a target policy using offline data generated by a different policy. The theoretical foundation of many existing work…

机器学习 · 统计学 2025-03-13 Sungee Hong , Zhengling Qi , Raymond K. W. Wong

In this work we investigate to which extent one can recover class probabilities within the empirical risk minimization (ERM) paradigm. The main aim of our paper is to extend existing results and emphasize the tight relations between…

机器学习 · 计算机科学 2020-07-22 Alexander Mey , Marco Loog

The Chernoff information between two probability measures is a statistical divergence measuring their deviation defined as their maximally skewed Bhattacharyya distance. Although the Chernoff information was originally introduced for…

信息论 · 计算机科学 2022-10-04 Frank Nielsen

We provide upper bounds of the expected Wasserstein distance between a probability measure and its empirical version, generalizing recent results for finite dimensional Euclidean spaces and bounded functional spaces. Such a generalization…

统计理论 · 数学 2020-01-29 Jing Lei

We develop a new method for generating prediction sets that combines the flexibility of conformal methods with an estimate of the conditional distribution $P_{Y \mid X}$. Existing methods, such as conformalized quantile regression and…

机器学习 · 统计学 2024-10-10 Vincent Plassier , Alexander Fishkov , Mohsen Guizani , Maxim Panov , Eric Moulines

We investigate the problem of minimizing Kullback-Leibler divergence between a linear model $Ax$ and a positive vector $b$ in different convex domains (positive orthant, $n$-dimensional box, probability simplex). Our focus is on the SMART…

最优化与控制 · 数学 2024-01-11 Maren Raus , Yara Elshiaty , Stefania Petra

Variational inference methods for latent variable statistical models have gained popularity because they are relatively fast, can handle large data sets, and have deterministic convergence guarantees. However, in practice it is unclear…

统计方法学 · 统计学 2017-03-22 Hachem Saddiki , Andrew C. Trapp , Patrick Flaherty

The following zero-sum game between nature and a statistician blends Bayesian methods with frequentist methods such as p-values and confidence intervals. Nature chooses a posterior distribution consistent with a set of possible priors. At…

统计方法学 · 统计学 2011-07-19 David R. Bickel

The Robbins estimator is the most iconic and widely used procedure in the empirical Bayes literature for the Poisson model. On one hand, this method has been recently shown to be minimax optimal in terms of the regret (excess risk over the…

统计理论 · 数学 2025-09-16 Soham Jana , Yury Polyanskiy , Yihong Wu

This paper addresses the task of estimating a covariance matrix under a patternless sparsity assumption. In contrast to existing approaches based on thresholding or shrinkage penalties, we propose a likelihood-based method that regularizes…

统计方法学 · 统计学 2021-09-13 Jason Xu , Kenneth Lange

Expectation propagation (EP) is a family of algorithms for performing approximate inference in probabilistic models. The updates of EP involve the evaluation of moments -- expectations of certain functions -- which can be estimated from…

机器学习 · 统计学 2024-10-30 Jonathan So , Richard E. Turner

How much one has learned from an experiment is quantifiable by the information gain, also known as the Kullback-Leibler divergence. The narrowing of the posterior parameter distribution $P(\theta|D)$ compared with the prior parameter…

统计力学 · 物理学 2022-08-29 Johannes Buchner

As opposed to standard empirical risk minimization (ERM), distributionally robust optimization aims to minimize the worst-case risk over a larger ambiguity set containing the original empirical distribution of the training data. In this…

机器学习 · 计算机科学 2021-01-06 Jaeho Lee , Maxim Raginsky

Recently, a Distribution Separation Method (DSM) is proposed for relevant feedback in information retrieval, which aims to approximate the true relevance distribution by separating a seed irrelevance distribution from the mixture one. While…

信息检索 · 计算机科学 2015-10-19 Peng Zhang , Qian Yu , Yuexian Hou , Dawei Song , Jingfei Li , Bin Hu