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When multiple investigators analyze a common dataset, the data reuse induces dependence across testing procedures, affecting the distribution of errors. Existing techniques of managing dependent tests require either cross-study coordination…

统计理论 · 数学 2026-04-10 Reid Dale , Jordan Rodu , Maria E. Currie , Mike Baiocchi

Heteroskedastic errors can lead to inaccurate statistical conclusions if they are not properly handled. We introduce a test for heteroskedasticity for the nonparametric regression model with multiple covariates. It is based on a suitable…

统计方法学 · 统计学 2018-02-21 Justin Chown , Ursula U. Müller

This paper introduces the partial Gini covariance, a novel dependence measure that addresses the challenges of high-dimensional inference with heavy-tailed errors, often encountered in fields like finance, insurance, climate, and biology.…

统计方法学 · 统计学 2024-11-21 Yilin Zhang , Songshan Yang , Yunan Wu , Lan Wang

We consider the quasi-likelihood analysis for a linear regression model driven by a Student-t L\'{e}vy process with constant scale and arbitrary degrees of freedom. The model is observed at high frequency over an extending period, under…

统计理论 · 数学 2024-05-28 Hiroki Masuda , Lorenzo Mercuri , Yuma Uehara

Prediction credibility measures, in the form of confidence intervals or probability distributions, are fundamental in statistics and machine learning to characterize model robustness, detect out-of-distribution samples (outliers), and…

机器学习 · 计算机科学 2020-11-26 Luiz F. O. Chamon , Santiago Paternain , Alejandro Ribeiro

Distributionally Robust (DR) optimization aims to certify worst-case risk within a Wasserstein uncertainty set. Current certifications typically rely either on global Lipschitz bounds, which are often conservative, or on local gradient…

最优化与控制 · 数学 2026-04-09 Hong T. M. Chu

Meta-analyses of diagnostic test accuracy (DTA) studies have been gathering attention in research in clinical epidemiology and health technology development, and bivariate random-effects model is becoming a standard tool. However, standard…

统计方法学 · 统计学 2020-06-19 Tsubasa Ito , Shonosuke Sugasawa

We give sufficient conditions for the expected excess and the upper semideviation of recourse functions to be strongly convex. This is done in the setting of two-stage stochastic programs with complete linear recourse and random right-hand…

最优化与控制 · 数学 2018-02-20 Matthias Claus , Rüdiger Schultz , Kai Spürkel

High-dimensional auto-regressive models provide a natural way to model influence between $M$ actors given multi-variate time series data for $T$ time intervals. While there has been considerable work on network estimation, there is limited…

统计理论 · 数学 2018-12-13 Lili Zheng , Garvesh Raskutti

We introduce a correlation coefficient that is designed to deal with a variety of ranking formats including those containing non-strict (i.e., with-ties) and incomplete (i.e., unknown) preferences. The correlation coefficient is designed to…

应用统计 · 统计学 2019-02-19 Yeawon Yoo , Adolfo R. Escobedo , J. Kyle Skolfield

We consider the classification problem of a high-dimensional mixture of two Gaussians with general covariance matrices. Using the replica method from statistical physics, we investigate the asymptotic behavior of a general class of…

机器学习 · 统计学 2024-10-29 Hanwen Huang , Peng Zeng

Consider a pair of cumulative distribution functions $F$ and $G$, where $F$ is unknown and $G$ is a known reference distribution. Given a sample from $F$, we propose tests to detect the convexity or the concavity of $G^{-1}\circ F$ versus…

统计理论 · 数学 2025-06-25 Tommaso Lando , Mohammed Es-Salih Benjrada

The random coefficients model is an extension of the linear regression model that allows for unobserved heterogeneity in the population by modeling the regression coefficients as random variables. Given data from this model, the statistical…

统计方法学 · 统计学 2018-03-15 Fabian Dunker , Konstantin Eckle , Katharina Proksch , Johannes Schmidt-Hieber

We propose a new iteration scheme, the Cauchy-Simplex, to optimize convex problems over the probability simplex $\{w\in\mathbb{R}^n\ |\ \sum_i w_i=1\ \textrm{and}\ w_i\geq0\}$. Specifically, we map the simplex to the positive quadrant of a…

最优化与控制 · 数学 2025-05-22 James Chok , Geoffrey M. Vasil

In the problem of high-dimensional convexity testing, there is an unknown set $S \subseteq \mathbb{R}^n$ which is promised to be either convex or $\varepsilon$-far from every convex body with respect to the standard multivariate normal…

计算复杂性 · 计算机科学 2017-06-29 Xi Chen , Adam Freilich , Rocco A. Servedio , Timothy Sun

We consider the problem of testing the mean of high-dimensional data when the dimension may grow without explicit rate restrictions relative to the sample size. The proposed procedure is based on the statistic V_n = n||Xn||^2, which avoids…

统计理论 · 数学 2026-05-18 Dietmar Ferger

To gain a comprehensive view of what the LHC tells us about physics beyond the Standard Model (BSM), it is crucial that different BSM-sensitive analyses can be combined. But in general, search analyses are not statistically orthogonal, so…

We propose a new randomized optimization method for high-dimensional problems which can be seen as a generalization of coordinate descent to random subspaces. We show that an adaptive sampling strategy for the random subspace significantly…

最优化与控制 · 数学 2019-12-19 Jonathan Lacotte , Mert Pilanci , Marco Pavone

We consider a distributionally robust formulation of stochastic optimization problems arising in statistical learning, where robustness is with respect to uncertainty in the underlying data distribution. Our formulation builds on…

最优化与控制 · 数学 2021-06-09 Mert Gürbüzbalaban , Andrzej Ruszczyński , Landi Zhu

We consider the problem of comparing a reference distribution with several other distributions. Given a sample from both the reference and the comparison groups, we aim to identify the comparison groups whose distributions differ from that…

统计方法学 · 统计学 2025-11-26 Yonghoon Lee , Edgar Dobriban , Eric Tchetgen Tchetgen