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Let $\mm_n, n=0,1,...$ be the supercritical branching random walk, in which the number of direct descendants of one individual may be infinite with positive probability. Assume that the standard martingale $W_n$ related to $\mm_n$ is…

概率论 · 数学 2007-05-23 Aleksander Iksanov

We consider a new approach in the definition of two-dimensional heavy-tailed distributions. Namely, we introduce the classes of two-dimensional long-tailed, of twodimensional dominatedly varying and of two-dimensional consistently varying…

概率论 · 数学 2025-06-25 Dimitrios G. Konstantinides , Charalampos D. Passalidis

The law of large numbers is one of the most fundamental results in Probability Theory. In the case of independent sequences, there are some known characterizations; for instance, in the independent and identically distributed setting it is…

概率论 · 数学 2020-08-04 Luísa Borsato , Eduardo Horta , Rafael Rigão Souza

There is given a method for estimation of a probability distribution tail in terms of characteristic function. Key words: characteristic function; tail of a distribution.

概率论 · 数学 2016-07-12 Lev B. Klebanov , Andrea Karlova

We consider the problem of predicting a response $Y$ from a set of covariates $X$ when test and training distributions differ. Since such differences may have causal explanations, we consider test distributions that emerge from…

统计方法学 · 统计学 2021-08-19 Rune Christiansen , Niklas Pfister , Martin Emil Jakobsen , Nicola Gnecco , Jonas Peters

In this paper, we consider the problem of partitioning a small data sample of size $n$ drawn from a mixture of $2$ sub-gaussian distributions. Our work is motivated by the application of clustering individuals according to their population…

统计理论 · 数学 2023-01-05 Shuheng Zhou

Empirical distributions have their in-sample maxima as natural censoring. We look at the "hidden tail", that is, the part of the distribution in excess of the maximum for a sample size of $n$. Using extreme value theory, we examine the…

统计金融 · 定量金融 2020-04-14 Nassim Nicholas Taleb

A discrete-time stochastic process derived from a model of basketball is used to generalize any discrete distribution. The generalized distributions can have one or two more parameters than the parent distribution. Those derived from…

应用统计 · 统计学 2020-06-25 Rose Baker

The properties of the normal distribution under linear transformation, as well the easy way to compute the covariance matrix of marginals and conditionals, offer a unique opportunity to get an insight about several aspects of uncertainties…

数据分析、统计与概率 · 物理学 2018-02-12 Giulio D'Agostini

We compute the limiting distribution, as n approaches infinity, of the number of cycles of length between gamma n and delta n in a permutation of [n] chosen uniformly at random, for constants gamma, delta such that 1/(k+1) <= gamma < delta…

组合数学 · 数学 2009-09-17 Michael Lugo

In this paper we provide a systematic exposition of basic properties of integrated distribution and quantile functions. We define these transforms in such a way that they characterize any probability distribution on the real line and are…

概率论 · 数学 2018-01-04 Alexander A. Gushchin , Dmitriy A. Borzykh

We study a general framework of distributional computational graphs: computational graphs whose inputs are probability distributions rather than point values. We analyze the discretization error that arises when these graphs are evaluated…

机器学习 · 统计学 2026-02-13 Olof Hallqvist Elias , Michael Selby , Phillip Stanley-Marbell

We investigate a family of distributions having a property of stability-under-addition, provided that the number $\nu$ of added-up random variables in the random sum is also a random variable. We call the corresponding property a…

概率论 · 数学 2010-08-19 L. B. Klebanov , A. V. Kakosyan , S. T. Rachev , G. Temnov

Given a collection $\{\lambda_1, \dots, \lambda_n\} $ of real numbers, there is a canonical probability distribution on the set of real symmetric or complex Hermitian matrices with eigenvalues $\lambda_1,\ldots,\lambda_n$. In this paper, we…

概率论 · 数学 2023-11-30 Elizabeth S. Meckes , Mark W. Meckes

The Gram matrix is a classical object formed from the pairwise inner products of a collection of vectors, with fundamental roles in functional analysis, statistics, combinatorics, and coding theory. In the realm of sequence design,…

信息论 · 计算机科学 2026-04-30 Hengfeng Liu , Chunming Tang , Cuiling Fan , Zhengchun Zhou

A reparametrized Dirichlet-multinomial distribution is introduced, and the covariance matrix, as well as, the algorithm for calculating the PDF for n species are provided. The distribution is suited for modelling the joint distribution of…

种群与进化 · 定量生物学 2020-03-04 Christian Damgaard

This paper gives a method for computing distributions associated with patterns in the state sequence of a hidden Markov model, conditional on observing all or part of the observation sequence. Probabilities are computed for very general…

统计方法学 · 统计学 2007-12-18 John A. D. Aston , Donald E. K. Martin

In this note, we define a Gaussian probability distribution over matrices. We prove some useful properties of this distribution, namely, the fact that marginalization, conditioning, and affine transformations preserve the matrix Gaussian…

概率论 · 数学 2018-06-22 Shane Barratt

When does a deterministic computational model define a probability distribution? What are its properties? This work formalises and settles this stochasticity problem for weighted automata, and its generalisation cost register automata…

形式语言与自动机理论 · 计算机科学 2025-10-23 Smayan Agarwal , Aalok Thakkar

In many real-world scenarios, it is crucial to be able to reliably and efficiently reason under uncertainty while capturing complex relationships in data. Probabilistic circuits (PCs), a prominent family of tractable probabilistic models,…

机器学习 · 计算机科学 2023-12-14 Zhongjie Yu , Martin Trapp , Kristian Kersting
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