Matrix-Variate Probabilistic Model for Canonical Correlation Analysis
نویسندگان
چکیده
Motivated by the fact that in computer vision data samples are matrices, in this paper, we propose a matrix-variate probabilistic model for canonical correlation analysis (CCA). Unlike probabilistic CCA which converts the image samples into the vectors, our method uses the original image matrices for data representation. We show that the maximum likelihood parameter estimation of the model leads to the two-dimensional canonical correlation directions. This model helps for better understanding of twodimensional Canonical Correlation Analysis (2DCCA), and for further extending the method into more complex probabilistic model. In addition, we show that two-dimensional Linear Discriminant Analysis (2DLDA) can be obtained as a special case of 2DCCA.
منابع مشابه
A Latent Variable Model for Two-Dimensional Canonical Correlation Analysis and its Variational Inference
Describing the dimension reduction (DR) techniques by means of probabilistic models has recently been given special attention. Probabilistic models, in addition to a better interpretability of the DR methods, provide a framework for further extensions of such algorithms. One of the new approaches to the probabilistic DR methods is to preserving the internal structure of data. It is meant that i...
متن کاملMatrix-Variate Beta Generator - Developments and Application
Matrix-variate beta distributions are applied in different fields of hypothesis testing, multivariate correlation analysis, zero regression, canonical correlation analysis and etc. A methodology is proposed to generate matrix-variate beta generator distributions by combining the matrix-variate beta kernel with an unknown function of the trace operator. Several statistical characteristics, exten...
متن کاملIdentification of Risk Factors by Using Macroeconomic and Firm-Specific Variables Simultaneously in Tehran Stock Exchange by Applying Canonical Correlation Analysis
The main objective of this study is to give the insight of describing mixing accounting ratios and macroeconomic variables as the risk factors in Iran. The results indicate a significant relationship between book to market ratio, financial leverage, size factors and expected stock returns in the Iranian market. In consistent with the other studies, we came to the conclusion that the term struct...
متن کاملCanonical Analysis of the Relationship between Components of Professional Ethics and Dimensions of Social Responsibility
Background: Today, professional ethics and social responsibility play an important role in organizations. This study aimed canonical analysis of the relationship between components of professional ethics and social responsibility dimensions among the first high school teachers in the Naghadeh province. Method: This study, in terms of purpose is application, and in terms of data collec...
متن کاملBilinear Probabilistic Canonical Correlation Analysis via Hybrid Concatenations
Canonical Correlation Analysis (CCA) is a classical technique for two-view correlation analysis, while Probabilistic CCA (PCCA) provides a generative and more general viewpoint for this task. Recently, PCCA has been extended to bilinear cases for dealing with two-view matrices in order to preserve and exploit the matrix structures in PCCA. However, existing bilinear PCCAs impose restrictive mod...
متن کاملذخیره در منابع من
با ذخیره ی این منبع در منابع من، دسترسی به آن را برای استفاده های بعدی آسان تر کنید
برای دانلود متن کامل این مقاله و بیش از 32 میلیون مقاله دیگر ابتدا ثبت نام کنید
ثبت ناماگر عضو سایت هستید لطفا وارد حساب کاربری خود شوید
ورودعنوان ژورنال:
- EURASIP J. Adv. Sig. Proc.
دوره 2011 شماره
صفحات -
تاریخ انتشار 2011