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This monograph presents the summability of higher dimensional
Fourier series, and generalizes the concept of Lebesgue points.
Focusing on Fejer and Cesaro summability, as well as
theta-summation, readers will become more familiar with a wide
variety of summability methods. Within the theory of higher
dimensional summability of Fourier series, the book also provides a
much-needed simple proof of Lebesgue's theorem, filling a gap in
the literature. Recent results and real-world applications are
highlighted as well, making this a timely resource. The book is
structured into four chapters, prioritizing clarity throughout.
Chapter One covers basic results from the one-dimensional Fourier
series, and offers a clear proof of the Lebesgue theorem. In
Chapter Two, convergence and boundedness results for the
lq-summability are presented. The restricted and unrestricted
rectangular summability are provided in Chapter Three, as well as
the sufficient and necessary condition for the norm convergence of
the rectangular theta-means. Chapter Four then introduces six types
of Lebesgue points for higher dimensional functions. Lebesgue
Points and Summability of Higher Dimensional Fourier Series will
appeal to researchers working in mathematical analysis,
particularly those interested in Fourier and harmonic analysis.
Researchers in applied fields will also find this useful.
The history of martingale theory goes back to the early fifties
when Doob [57] pointed out the connection between martingales and
analytic functions. On the basis of Burkholder's scientific
achievements the mar tingale theory can perfectly well be applied
in complex analysis and in the theory of classical Hardy spaces.
This connection is the main point of Durrett's book [60]. The
martingale theory can also be well applied in stochastics and
mathematical finance. The theories of the one-parameter martingale
and the classical Hardy spaces are discussed exhaustively in the
literature (see Garsia [83], Neveu [138], Dellacherie and Meyer
[54, 55], Long [124], Weisz [216] and Duren [59], Stein [193, 194],
Stein and Weiss [192], Lu [125], Uchiyama [205]). The theory of
more-parameter martingales and martingale Hardy spaces is
investigated in Imkeller [107] and Weisz [216]. This is the first
mono graph which considers the theory of more-parameter classical
Hardy spaces. The methods of proofs for one and several parameters
are en tirely different; in most cases the theorems stated for
several parameters are much more difficult to verify. The so-called
atomic decomposition method that can be applied both in the one-and
more-parameter cases, was considered for martingales by the author
in [216].
This book discusses, develops and applies the theory of
Vilenkin-Fourier series connected to modern harmonic analysis. The
classical theory of Fourier series deals with decomposition of a
function into sinusoidal waves. Unlike these continuous waves the
Vilenkin (Walsh) functions are rectangular waves. Such waves have
already been used frequently in the theory of signal transmission,
multiplexing, filtering, image enhancement, code theory, digital
signal processing and pattern recognition. The development of the
theory of Vilenkin-Fourier series has been strongly influenced by
the classical theory of trigonometric series. Because of this it is
inevitable to compare results of Vilenkin-Fourier series to those
on trigonometric series. There are many similarities between these
theories, but there exist differences also. Much of these can be
explained by modern abstract harmonic analysis, which studies
orthonormal systems from the point of view of the structure of a
topological group. The first part of the book can be used as an
introduction to the subject, and the following chapters summarize
the most recent research in this fascinating area and can be read
independently. Each chapter concludes with historical remarks and
open questions. The book will appeal to researchers working in
Fourier and more broad harmonic analysis and will inspire them for
their own and their students' research. Moreover, researchers in
applied fields will appreciate it as a sourcebook far beyond the
traditional mathematical domains.
This book investigates the convergence and summability of both
one-dimensional and multi-dimensional Fourier transforms, as well
as the theory of Hardy spaces. To do so, it studies a general
summability method known as theta-summation, which encompasses all
the well-known summability methods, such as the Fejer, Riesz,
Weierstrass, Abel, Picard, Bessel and Rogosinski summations.
Following on the classic books by Bary (1964) and Zygmund (1968),
this is the first book that considers strong summability introduced
by current methodology. A further unique aspect is that the
Lebesgue points are also studied in the theory of multi-dimensional
summability. In addition to classical results, results from the
past 20-30 years - normally only found in scattered research papers
- are also gathered and discussed, offering readers a convenient
"one-stop" source to support their work. As such, the book will be
useful for researchers, graduate and postgraduate students alike.
This monograph presents the summability of higher dimensional
Fourier series, and generalizes the concept of Lebesgue points.
Focusing on Fejer and Cesaro summability, as well as
theta-summation, readers will become more familiar with a wide
variety of summability methods. Within the theory of higher
dimensional summability of Fourier series, the book also provides a
much-needed simple proof of Lebesgue's theorem, filling a gap in
the literature. Recent results and real-world applications are
highlighted as well, making this a timely resource. The book is
structured into four chapters, prioritizing clarity throughout.
Chapter One covers basic results from the one-dimensional Fourier
series, and offers a clear proof of the Lebesgue theorem. In
Chapter Two, convergence and boundedness results for the
lq-summability are presented. The restricted and unrestricted
rectangular summability are provided in Chapter Three, as well as
the sufficient and necessary condition for the norm convergence of
the rectangular theta-means. Chapter Four then introduces six types
of Lebesgue points for higher dimensional functions. Lebesgue
Points and Summability of Higher Dimensional Fourier Series will
appeal to researchers working in mathematical analysis,
particularly those interested in Fourier and harmonic analysis.
Researchers in applied fields will also find this useful.
This book investigates the convergence and summability of both
one-dimensional and multi-dimensional Fourier transforms, as well
as the theory of Hardy spaces. To do so, it studies a general
summability method known as theta-summation, which encompasses all
the well-known summability methods, such as the Fejer, Riesz,
Weierstrass, Abel, Picard, Bessel and Rogosinski summations.
Following on the classic books by Bary (1964) and Zygmund (1968),
this is the first book that considers strong summability introduced
by current methodology. A further unique aspect is that the
Lebesgue points are also studied in the theory of multi-dimensional
summability. In addition to classical results, results from the
past 20-30 years - normally only found in scattered research papers
- are also gathered and discussed, offering readers a convenient
"one-stop" source to support their work. As such, the book will be
useful for researchers, graduate and postgraduate students alike.
The history of martingale theory goes back to the early fifties
when Doob [57] pointed out the connection between martingales and
analytic functions. On the basis of Burkholder's scientific
achievements the mar tingale theory can perfectly well be applied
in complex analysis and in the theory of classical Hardy spaces.
This connection is the main point of Durrett's book [60]. The
martingale theory can also be well applied in stochastics and
mathematical finance. The theories of the one-parameter martingale
and the classical Hardy spaces are discussed exhaustively in the
literature (see Garsia [83], Neveu [138], Dellacherie and Meyer
[54, 55], Long [124], Weisz [216] and Duren [59], Stein [193, 194],
Stein and Weiss [192], Lu [125], Uchiyama [205]). The theory of
more-parameter martingales and martingale Hardy spaces is
investigated in Imkeller [107] and Weisz [216]. This is the first
mono graph which considers the theory of more-parameter classical
Hardy spaces. The methods of proofs for one and several parameters
are en tirely different; in most cases the theorems stated for
several parameters are much more difficult to verify. The so-called
atomic decomposition method that can be applied both in the one-and
more-parameter cases, was considered for martingales by the author
in [216].
This book deals with the theory of one- and two-parameter
martingale Hardy spaces and their use in Fourier analysis, and
gives a summary of the latest results in this field. A method that
can be applied for both one- and two-parameter cases, the so-called
atomic decomposition method, is improved and provides a new and
common construction of the theory of one- and two-parameter
martingale Hardy spaces. A new proof of Carleson's convergence
result using martingale methods for Fourier series is given with
martingale methods. The book is accessible to readers familiar with
the fundamentals of probability theory and analysis. It is intended
for researchers and graduate students interested in martingale
theory, Fourier analysis and in the relation between them.
The main purpose is to investigate the convergence and summability
both of one-dimensional and multi-dimensional Fourier transforms as
well as the theory of Hardy spaces. A general summability method,
the so called theta-summation, is studied which contains all well
known summability methods, such as the Fejer, Riesz, Weierstrass,
Abel, Picard, Bessel and Rogosinski summations. After the classical
books of Bary (1964) and Zygmund (1968), this is the first book
which considers strong summability treated by current methods. A
further novelty of this book is that the Lebesgue points are
studied also in the theory of multi-dimensional summability.
Besides the classical results, recent results of the last 20-30
years are studied. These results can be found in different research
papers the summary of which in a unified context provides the
readers a valuable support in their work.The book will be useful
for researchers as well as for graduate or postgraduate students.
The first two chapters can be used by graduate students and the
other ones by PhD students and researchers.
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