Hadamard products and multivariate statistical analysis
نویسندگان
چکیده
منابع مشابه
Singularity Analysis, Hadamard Products, and Tree Recurrences
We present a toolbox for extracting asymptotic information on the coefficients of combinatorial generating functions. This toolbox notably includes a treatment of the effect of Hadamard products on singularities in the context of the complex Tauberian technique known as singularity analysis. As a consequence, it becomes possible to unify the analysis of a number of divide-and-conquer algorithms...
متن کاملWeierstrass and Hadamard products
1. Weierstrass products 2. Poisson-Jensen formula 3. Hadamard products Apart from factorization of polynomials, after Euler's sin πz πz = ∞ n=1 1 − z 2 n 2 there is Euler's product for Γ(z), which he used as the definition of the Gamma function: ∞ 0 e −t t z dt t = Γ(z) = 1 z e γz ∞ n=1 1 + z n e −z/n where the Euler-Mascheroni constant γ is essentially defined by this relation. The integral (E...
متن کاملHadamard Products and Tilings
Louis W. Shapiro gave a combinatorial proof of a bilinear generating function for Chebyshev polynomials equivalent to the formula 1 1− ax − x2 ∗ 1 1− bx − x2 = 1− x2 1− abx − (2 + a2 + b2)x2 − abx3 + x4 , where ∗ denotes the Hadamard product. In a similar way, by considering tilings of a 2× n rectangle with 1× 1 and 1× 2 bricks in the top row, and 1× 1 and 1× n bricks in the bottom row, we find...
متن کاملModeling of Banks Bankruptcy in Iran (Multivariate Statistical Analysis)
In this paper we construct a modeling for detection of banks which are experiencing serious problems. Sample and variable set of the study contains 30 banks of Iran during 2006-2014 and their financial ratios. Well known multivariate statistical technique (principal component analysis) was used to explore the basic financial characteristics of the banks, and discriminant Logit and Probit models ...
متن کاملMultivariate Statistical Analysis
Classical multivariate statistical methods concern models, distributions and inference based on the Gaussian distribution. These are the topics in the first textbook for mathematical statisticians by T.W. Anderson that was published in 1958 and that appeared as a slightly expanded 3rd edition in 2003. Matrix theory and notation is used there extensively to efficiently derive properties of the m...
متن کاملذخیره در منابع من
با ذخیره ی این منبع در منابع من، دسترسی به آن را برای استفاده های بعدی آسان تر کنید
ژورنال
عنوان ژورنال: Linear Algebra and its Applications
سال: 1973
ISSN: 0024-3795
DOI: 10.1016/0024-3795(73)90023-2