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Concentration and Gaussian Approximation for Randomized Sums (1st ed. 2023): Sergey Bobkov, Gennadiy Chistyakov, Friedrich... Concentration and Gaussian Approximation for Randomized Sums (1st ed. 2023)
Sergey Bobkov, Gennadiy Chistyakov, Friedrich Götze
R3,737 Discovery Miles 37 370 Ships in 12 - 17 working days

This book describes extensions of Sudakov's classical result on the concentration of measure phenomenon for weighted sums of dependent random variables. The central topics of the book are weighted sums of random variables and the concentration of their distributions around Gaussian laws. The analysis takes place within the broader context of concentration of measure for functions on high-dimensional spheres. Starting from the usual concentration of Lipschitz functions around their limiting mean, the authors proceed to derive concentration around limiting affine or polynomial functions, aiming towards a theory of higher order concentration based on functional inequalities of log-Sobolev and Poincaré type. These results make it possible to derive concentration of higher order for weighted sums of classes of dependent variables. While the first part of the book discusses the basic notions and results from probability and analysis which are needed for the remainder of the book, the latter parts provide a thorough exposition of concentration, analysis on the sphere, higher order normal approximation and classes of weighted sums of dependent random variables with and without symmetries.

One-Dimensional Empirical Measures, Order Statistics, and Kantorovich Transport Distances (Paperback): Sergey Bobkov, Michel... One-Dimensional Empirical Measures, Order Statistics, and Kantorovich Transport Distances (Paperback)
Sergey Bobkov, Michel Ledoux
R2,055 Discovery Miles 20 550 Ships in 12 - 17 working days

This work is devoted to the study of rates of convergence of the empirical measures $\mu_{n} = \frac {1}{n} \sum_{k=1}^n \delta_{X_k}$, $n \geq 1$, over a sample $(X_{k})_{k \geq 1}$ of independent identically distributed real-valued random variables towards the common distribution $\mu$ in Kantorovich transport distances $W_p$. The focus is on finite range bounds on the expected Kantorovich distances $\mathbb{E}(W_{p}(\mu_{n},\mu ))$ or $\big [ \mathbb{E}(W_{p}^p(\mu_{n},\mu )) \big ]^1/p$ in terms of moments and analytic conditions on the measure $\mu $ and its distribution function. The study describes a variety of rates, from the standard one $\frac {1}{\sqrt n}$ to slower rates, and both lower and upper-bounds on $\mathbb{E}(W_{p}(\mu_{n},\mu ))$ for fixed $n$ in various instances. Order statistics, reduction to uniform samples and analysis of beta distributions, inverse distribution functions, log-concavity are main tools in the investigation. Two detailed appendices collect classical and some new facts on inverse distribution functions and beta distributions and their densities necessary to the investigation.

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