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We consider a family of jointly Gaussian random vectors $\xi_j \in \mathbb{R}^{k_j}$, each standard normal but possibly correlated, and investigate when\[ \mathbb{E}\, F\!\Bigl(B\bigl(|T_{z_1} f_1(\xi_1)|,\dots,|T_{z_n}…

泛函分析 · 数学 2025-06-11 Paata Ivanisvili , Pavlos Kalantzopoulos

For convex univalent functions we give instances where the sharp bound for various coefficient functionals are identical to those for the corresponding bound for the inverse function. We give instances where the sharp bounds differ and also…

复变函数 · 数学 2022-12-12 Derek K. Thomas

In this paper we provide explicit upper bounds on some distances between the (law of the) output of a random Gaussian NN and (the law of) a random Gaussian vector. Our results concern both shallow random Gaussian neural networks with…

The covariant two-point functions, derived from Ward identities in direct space, can be affected by consistency problems and can become unbounded for large time- or space-separations. This difficulty arises for several extensions of…

数学物理 · 物理学 2016-11-11 Malte Henkel , Stoimen Stoimenov

Berman's inequality is the key for establishing asymptotic properties of maxima of Gaussian random sequences and supremum of Gaussian random fields. This contribution shows that, asymptotically an extended version of Berman's inequality can…

概率论 · 数学 2014-04-24 Enkelejd Hashorva , Zhichao Weng

Scale invariance usually occurs in extended systems where correlation functions decay algebraically in space and/or time. Here we introduce a new type of scale invariance, occurring in the distribution functions of physical observables. At…

量子物理 · 物理学 2018-09-19 Emanuele G. Dalla Torre

We present an analysis of the two-point peculiar velocity correlation function using data from the CosmicFlows catalogues. The Millennium and MultiDark Planck 2 N-body simulations are used to estimate cosmic variance and uncertainties due…

宇宙学与河外天体物理 · 物理学 2018-08-24 Yuyu Wang , Christopher Rooney , Hume A. Feldman , Richard Watkins

We determine the optimal constants in the classical inequalities relating the sub-Gaussian norm \(\|X\|_{\psi_2}\) and the sub-Gaussian parameter \(\sigma_X\) for centered real-valued random variables. We show that \(\sqrt{3/8} \cdot…

概率论 · 数学 2025-07-09 Lasse Leskelä , Matvei Zhukov

We study invariance principles and convergence to a Gaussian limit for stochastic series of the form $S(c,Z)=\sum_{m=1}^{\infty }\sum_{\alpha _{1}<...<\alpha _{m}}c(\alpha _{1},...,\alpha _{m})\prod_{i=1}^{m}Z_{\alpha _{i}}$ where $Z_{k}$,…

概率论 · 数学 2015-10-14 Vlad Bally , Lucia Caramellino

Let $X_1,X_2,...$ be independent variables, each having a normal distribution with negative mean $-\beta<0$ and variance 1. We consider the partial sums $S_n=X_1+...+X_n$, with $S_0=0$, and refer to the process $\{S_n:n\geq0\}$ as the…

概率论 · 数学 2007-05-23 A. J. E. M. Janssen , J. S. H. van Leeuwaarden

We revisit Royen's proof of the Gaussian correlation inequality from a supersymmetric point of view. Many key elements in Royen's proof of this inequality have natural geometric interpretations in terms of supersymmetric dimensional…

概率论 · 数学 2026-05-04 Yichao Huang

We show that correlation functions have to satisfy contraint relations, owing to the non-negativity of the power spectrum of the underlying random process. Specifically, for any statistically homogeneous and (for more than one spatial…

宇宙学与河外天体物理 · 物理学 2015-05-13 Peter Schneider , Jan Hartlap

Upon observing $n$-dimensional multivariate Gaussian data, when can we infer that the largest $K$ observations came from the largest $K$ means? When $K=1$ and the covariance is isotropic, \cite{Gutmann} argue that this inference is…

统计方法学 · 统计学 2025-03-04 Anav Sood

We consider covariance parameter estimation for a Gaussian process under inequality constraints (boundedness, monotonicity or convexity) in fixed-domain asymptotics. We address the estimation of the variance parameter and the estimation of…

统计理论 · 数学 2021-11-04 François Bachoc , Agnès Lagnoux , Andrés F. López-Lopera

Let $A$ be a real skew-symmetric Gaussian random matrix whose upper triangular elements are independently distributed according to the standard normal distribution. We provide the distribution of the largest singular value $\sigma_1$ of…

统计理论 · 数学 2010-03-16 Satoshi Kuriki

In this work, we consider the problem of bounding the values of a covariance function corresponding to a continuous-time stationary stochastic process or signal. Specifically, for two signals whose covariance functions agree on a finite…

信号处理 · 电气工程与系统科学 2021-10-07 Filip Elvander , Johan Karlsson , Toon van Waterschoot

Let $\BS_1,...,\BS_n$ be independent identically distributed random variables each having the standardized Bernoulli distribution with parameter $p\in(0,1)$. Let $m_*(p):=(1+p+2p^2)/(2\sqrt{p-p^2}+4p^2)$ if $0<p\le 1/2$ and $m_*(p):=1$ if…

概率论 · 数学 2007-12-23 Iosif Pinelis

For a sequence $\{X_{n}, \, n \geqslant 1 \}$ of random variables satisfying $\mathbb{E} \lvert X_{n} \rvert < \infty$ for all $n \geqslant 1$, a maximal inequality is established, and used to obtain strong law of large numbers for…

概率论 · 数学 2022-12-26 João Lita da Silva

A decoupling type inequality for a sum of functions of Guassian vectors is established.

概率论 · 数学 2014-06-11 Pavel G. Grigoriev , Stanislav A. Molchanov

We study the convergence in total variation distance for series of the form $$ S_{N}(c,Z)=\sum_{l=1}^{N}\sum_{i_{1}<\cdots<i_{l}}c(i_{1},...,i_{l})Z_{i_{1}}\cdots Z_{i_{l}}, $$ where $Z_{k},k\in {\mathbb{N}}$ are independent centered random…

概率论 · 数学 2016-07-14 Vlad Bally , Lucia Caramellino