نتایج جستجو برای: empirical matrix

تعداد نتایج: 563469  

2018
Yong-Woon Kim Namin Cho Hye-Jung Jang

Objectives Information technology involves a risk of privacy violation in providing easy access to confidential information,such as personal information and medical information through the Internet. In this study, we investigated medical information security to gain a better understanding of trends in research related to medical information security. Methods We researched papers published on ...

2004
Mónica Caniupán

Data warehouses (DWs) can become inconsistent when some dimensional constraints are not satisfied by the dimension instances. In this paper, we present preliminary results about the effects of the violation of partitioning constraints in homogeneous dimension instances over aggregation queries, and in particular over the summarizability property (SUMM) of the DWs. We are interested in finding w...

2016
Gábor Lugosi Shahar Mendelson

We consider the classical statistical learning/regression problem, when the value of a real random variable Y is to be predicted based on the observation of another random variableX . Given a class of functions F and a sample of independent copies of (X,Y ), one needs to choose a function f̂ from F such that f̂(X) approximates Y as well as possible, in the mean-squared sense. We introduce a new p...

2016
B. D. Hamlington R. R. Leben R. S. Nerem W. Han K.-Y. Kim

2008
Yoshio Koide

Based on an approach to quark and lepton masses, where the mass spectra originate in vacuum expectation values of U(3) flavor nonet (gauge singlet) scalars, neutrino masses and mixing are investigated. As an offshoot of this approach, it is found that an empirical neutrino mass matrix which is described in terms of the up-quark and charged lepton masses can accommodate to a nearly tribimaximal ...

2008
V. KOLTCHINSKII

Let F be a class of measurable functions f :S 7→ [0,1] defined on a probability space (S,A, P ). Given a sample (X1, . . . ,Xn) of i.i.d. random variables taking values in S with common distribution P , let Pn denote the empirical measure based on (X1, . . . ,Xn). We study an empirical risk minimization problem Pnf →min, f ∈ F . Given a solution f̂n of this problem, the goal is to obtain very ge...

نمودار تعداد نتایج جستجو در هر سال

با کلیک روی نمودار نتایج را به سال انتشار فیلتر کنید