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1.
On Hilbert''s Integral Inequality   总被引:5,自引:0,他引:5  
In this paper, we generalize Hilbert's integral inequality and its equivalent form by introducing three parameterst,a, andb.Iff, g L2[0, ∞), then[formula]where π is the best value. The inequality (1) is well known as Hilbert's integral inequality, and its equivalent form is[formula]where π2is also the best value (cf. [[1], Chap. 9]). Recently, Hu Ke made the following improvement of (1) by introducing a real functionc(x),[formula]wherek(x) = 2/π∫0(c(t2x)/(1 + t2)) dtc(x), 1 − c(x) + c(y) ≥ 0, andf, g ≥ 0 (cf. [[2]]). In this paper, some generalizations of (1) and (2) are given in the following theorems, which are other than those in [ [2]].  相似文献   

2.
{W(x, y), x≥0, y≥0} be a Wiener process and let η(u, (x, y)) be its local time. The continuity of η in (x, y) is investigated, i.e., an upper estimate of the process η(μ, [x, x + α) × [y, y + β)) is given when αβ is small.  相似文献   

3.
Let (x, Xβ, V) be a linear model and let A′ = (A1, A2) be a p × p nonsingular matrix such that A2X = 0, Rank A2 = p − Rank X. We represent the BLUE and its covariance matrix in alternative forms under the conditions that the number of unit canonical correlations between y1 ( = A1x) and y2 ( = A2x) is zero. For the second problem, let x′ = (x1, x2) and let a g-inverse V of V be written as (V)′ = (A1, A2). We investigate the reations (if any) between the nonzero canonical correlations {1 11 > 0} due to y1 ( = A1x) and y2 ( = A2x), and the nonzero canonical correlations {1 λ1 … λv+r > 0} due to x1 and x2. We answer some of the questions raised by Latour et al. (1987, in Proceedings, 2nd Int. Tampere Conf. Statist. (T. Pukkila and S. Puntanen, Eds.), Univ. of Tampere, Finland) in the case of the Moore-Penrose inverse V+ = (A1, A2) of V.  相似文献   

4.
In this paper, we study the existence of periodic solutions of Rayleigh equation
where f, g are continuous functions and p is a continuous and 2π-periodic function. We prove that the given equation has at least one 2π-periodic solution provided that f(x) is sublinear and the time map of equation x′′ + g(x) = 0 satisfies some nonresonant conditions. We also prove that this equation has at least one 2π-periodic solution provided that g(x) satisfies and f(x) satisfies sgn(x)(f(x) − p(t)) ≥ c, for tR, |x| ≥ d with c, d being positive constants.Received: July 1, 2002; revised: February 19, 2003Research supported by the National Natural Science Foundation of China, No.10001025 and No.10471099, Natural Science Foundation of Beijing, No. 1022003 and by a postdoctoral Grant of University of Torino, Italy.  相似文献   

5.
The basic result of the paper states: Let F1, …, Fn, F1,…, Fn have proportional hazard functions with λ1 ,…, λn , λ1 ,…, λn as the constants of proportionality. Let X(1) ≤ … ≤ X(n) (X(1) ≤ … ≤ X(n)) be the order statistics in a sample of size n from the heterogeneous populations {F1 ,…, Fn}({F1 ,…, Fn}). Then (λ1 ,…, λn) majorizes (λ1 ,…, λn) implies that (X(1) ,…, X(n)) is stochastically larger than (X(1) ,…, X(n)). Earlier results stochastically comparing individual order statistics are shown to be special cases. Applications of the main result are made in the study of the robustness of standard estimates of the failure rate of the exponential distribution, when observations actually come from a set of heterogeneous exponential distributions. Further applications are made to the comparisons of linear combinations of Weibull random variables and of binomial random variables.  相似文献   

6.
The fundamental best-possible bounds inequality for bivariate distribution functions with given margins is the Fréchet–Hoeffding inequality: If H denotes the joint distribution function of random variables X and Y whose margins are F and G, respectively, then max(0,F(x)+G(y)−1)H(x,y)min(F(x),G(y)) for all x,y in [−∞,∞]. In this paper we employ copulas and quasi-copulas to find similar best-possible bounds on arbitrary sets of bivariate distribution functions with given margins. As an application, we discuss bounds for a bivariate distribution function H with given margins F and G when the values of H are known at quartiles of X and Y.  相似文献   

7.
For a bounded linear injectionCon a Banach spaceXand a closed linear operatorA : D(A) XXwhich commutes withCwe prove that (1) the abstract Cauchy problem,u″(t) = Au(t),t R,u(0) = Cx,u′(0) = Cy, has a unique strong solution for everyx,y D(A) if and only if (2)A1 = AD(A2) generates aC1-cosine function onX1(D(A) with the graph norm), if (and only if, in caseAhas nonempty resolvent set) (3)Agenerates aC-cosine function onX. HereC1 = CX1. Under the assumption thatAis densely defined andC−1AC = A, statement (3) is also equivalent to each of the following statements: (4) the problemv″(t) = Av(t) + C(x + ty) + ∫t0 Cg(r) dr,t R,v(0) = v′(0) = 0, has a unique strong solution for everyg L1locandx, y X; (5) the problemw″(t) = Aw(t) + Cg(t),t R,w(0) = Cx,w′(0) = Cy, has a unique weak solution for everyg L1locandx, y X. Finally, as an application, it is shown that for any bounded operatorBwhich commutes withCand has range contained in the range ofC,A + Bis also a generator.  相似文献   

8.
We study the bootstrap distribution for U-statistics with special emphasis on the degenerate case. For the Efron bootstrap we give a short proof of the consistency using Mallows′ metrics. We also study the i.i.d. weighted bootstrap [formula] where (Xi) and (ξi) are two i.i.d. sequences, independent of each other and where i = 0, Var(ξi) = 1. It turns out that, conditionally given (Xi), this random quadratic form converges weakly to a Wiener-Ito double stochastic integral ∫1010h(F−1(x), F−1(y)) dW(x) dW(y). As a by-product we get an a.s. limit theorem for the eigenvalues of the matrix Hn=((1/n)h(Xi, Xj))1 ≤ i, jn.  相似文献   

9.
Let D be a set of positive integers. The distance graph G(Z,D) with distance set D is the graph with vertex set Z in which two vertices x,y are adjacent if and only if |xy|D. The fractional chromatic number, the chromatic number, and the circular chromatic number of G(Z,D) for various D have been extensively studied recently. In this paper, we investigate the fractional chromatic number, the chromatic number, and the circular chromatic number of the distance graphs with the distance sets of the form Dm,[k,k]={1,2,…,m}−{k,k+1,…,k}, where m, k, and k are natural numbers with mkk. In particular, we completely determine the chromatic number of G(Z,Dm,[2,k]) for arbitrary m, and k.  相似文献   

10.
A a set-valued optimization problem min C F(x), xX 0, is considered, where X 0X, X and Y are normed spaces, F: X 0Y is a set-valued function and CY is a closed cone. The solutions of the set-valued problem are defined as pairs (x 0,y 0), y 0F(x 0), and are called minimizers. The notions of w-minimizers (weakly efficient points), p-minimizers (properly efficient points) and i-minimizers (isolated minimizers) are introduced and characterized through the so called oriented distance. The relation between p-minimizers and i-minimizers under Lipschitz type conditions is investigated. The main purpose of the paper is to derive in terms of the Dini directional derivative first order necessary conditions and sufficient conditions a pair (x 0, y 0) to be a w-minimizer, and similarly to be a i-minimizer. The i-minimizers seem to be a new concept in set-valued optimization. For the case of w-minimizers some comparison with existing results is done.  相似文献   

11.
If X1, …, Xn are independent Rd-valued random vectors with common distribution function F, and if Fn is the empirical distribution function for X1, …, Xn, then, among other things, it is shown that P{supx Fn(x) ε} 2e2(2n)de−2nε2 for all nε2d2. The inequality remains valid if the Xi are not identically distributed and F(x) is replaced by ΣiP{Xix}/n.  相似文献   

12.
Let Ψ(x,y) (resp. Ψm(x,y)) denote the number of integers not exceeding x that are y-friable, i.e. have no prime factor exceeding y (resp. and are coprime to m). Evaluating the ratio Ψm(x/d,y)/Ψ(x,y) for 1≤slantdslantx, m≥slant 1, x≥slant y≥slant 2, turns out to be a crucial step for estimating arithmetic sums over friable integers. Here, it is crucial to obtain formulae with a very wide range of validity. In this paper, several uniform estimates are provided for the aforementioned ratio, which supersede all previously known results. Applications are given to averages of various arithmetic functions over friable integers which in turn improve corresponding results from the literature. The technique employed rests mainly on the saddle-point method, which is an efficient and specific tool for the required design.2000 Mathematics Subject Classification: Primary—11N25; Secondary—11K65, 11N37  相似文献   

13.
Let X ≡ (X1, …, Xt) have a multinomial distribution based on N trials with unknown vector of cell probabilities p ≡ (p1, …, pt). This paper derives admissibility and complete class results for the problem of simultaneously estimating p under entropy loss (EL) and squared error loss (SEL). Let and f(x¦p) denote the (t − 1)-dimensional simplex, the support of X and the probability mass function of X, respectively. First it is shown that δ is Bayes w.r.t. EL for prior P if and only if δ is Bayes w.r.t. SEL for P. The admissible rules under EL are proved to be Bayes, a result known for the case of SEL. Let Q denote the class of subsets of of the form T = j=1kFj where k ≥ 1 and each Fj is a facet of which satisfies: F a facet of such that F naFjF ncT. The minimal complete class of rules w.r.t. EL when Nt − 1 is characterized as the class of Bayes rules with respect to priors P which satisfy P( 0) = 1, ξ(x) ≡ ∫ f(x¦p) P(dp) > 0 for all x in {x : sup 0 f(x¦p) > 0} for some 0 in Q containing all the vertices of . As an application, the maximum likelihood estimator is proved to be admissible w.r.t. EL when the estimation problem has parameter space Θ = but it is shown to be inadmissible for the problem with parameter space Θ = ( minus its vertices). This is a severe form of “tyranny of boundary.” Finally it is shown that when Nt − 1 any estimator δ which satisfies δ(x) > 0 x is admissible under EL if and only if it is admissible under SEL. Examples are given of nonpositive estimators which are admissible under SEL but not under EL and vice versa.  相似文献   

14.
Let (T, , P) be a probability space, a P-complete sub-δ-algebra of and X a Banach space. Let multifunction t → Γ(t), t T, have a (X)-measurable graph and closed convex subsets of X for values. If x(t) ε Γ(t) P-a.e. and y(·) ε Ep x(·), then y(t) ε Γ(t) P-a.e. Conversely, x(t) ε F(Γ(t), y(t)) P-a.e., where F(Γ(t), y(t)) is the face of point y(t) in Γ(t). If X = , then the same holds true if Γ(t) is Borel and convex, only. These results imply, in particular, extensions of Jensen's inequality for conditional expectations of random convex functions and provide a complete characterization of the cases when the equality holds in the extended Jensen inequality.  相似文献   

15.
Let k(y) > 0, 𝓁(y) > 0 for y > 0, k(0) = 𝓁(0) = 0 and limy → 0k(y)/𝓁(y) exists; then the equation L(u) ≔ k(y)uxx – ∂y(𝓁(y)uy) + a(x, y)ux = f(x, y, u) is strictly hyperbolic for y > 0 and its order degenerates on the line y = 0. Consider the boundary value problem Lu = f(x, y, u) in G, u|AC = 0, where G is a simply connected domain in ℝ2 with piecewise smooth boundary ∂G = ABACBC; AB = {(x, 0) : 0 ≤ x ≤ 1}, AC : x = F(y) = ∫y0(k(t)/𝓁(t))1/2dt and BC : x = 1 – F(y) are characteristic curves. Existence of generalized solution is obtained by a finite element method, provided f(x, y, u) satisfies Carathéodory condition and |f(x, y, u)| ≤ Q(x, y) + b|u| with QL2(G), b = const > 0. It is shown also that each generalized solution is a strong solution, and that fact is used to prove uniqueness under the additional assumption |f(x, y, u1) – f(x, y, u2| ≤ C|u1u2|, where C = const > 0.  相似文献   

16.
LetV(g, x, k, y) be the set of all pairs (X, F), whereX is an integral projective nodal curve withp a(X)=g and card(Sing(X))=x andF is a rank 1 torsion free sheaf onX with deg(F)=k, card(Sing(F))=y andh 0(X, F)≥2. Here we study a general (X, F) εV(g, x, k, y) and in particular the Brill-Noether theory ofX and the scrollar invariants ofF.  相似文献   

17.
For an implicit multifunction (p) defined by the generally nonsmooth equation F(x,p)=0, contingent derivative formulas are derived, being similar to the formula =–F x –1 F p in the standard implicit function theorem for smooth F and . This will be applied to the projection X(p)={xy: (x,y)(p)} of the solution set (p) of the system F(x,y,p)=0 onto the x-space. In particular settings, X(p) may be interpreted as stationary solution sets. We discuss in detail the situation in which X(p) arises from the Karush–Kuhn–Tucker system of a nonlinear program.  相似文献   

18.
Consider a bidimensional process Qt = (xt, yt) consisting of an Ornstein–Uhlenbeck process and a geometric Brownian motion, respectively. Let T be the first time the process xt hits a constant positive level b > 0. Under certain conditions, we give an explicit form for a stopped functional.u(x,y)=Ex,y[ym(T)h(x(T))e-αT],where m, α > 0 are fixed constants and h : R+R is a bounded continuous function.The present result is derived using the method of similarity solutions and the result has many applications in mathematical finance.  相似文献   

19.
 Let Γ=(X,R) denote a distance-regular graph with diameter D≥2 and distance function δ. A (vertex) subgraph Ω⊆X is said to be weak-geodetically closed whenever for all x,y∈Ω and all zX,
We show that if the intersection number c 2>1 then any weak-geodetically closed subgraph of X is distance-regular. Γ is said to be i-bounded, whenever for all x,yX at distance δ(x,y)≤i,x,y are contained in a common weak-geodetically closed subgraph of Γ of diameter δ(x,y). By a parallelogram of length i, we mean a 4-tuple xyzw of vertices in X such that δ(x,y)=δ(z,w)=1, δ(x,w)=i, and δ(x,z)=δ(y,z)=δ(y,w)=i−1. We prove the following two theorems. Theorem 1. LetΓdenote a distance-regular graph with diameter D≥2, and assume the intersection numbers c 2>1, a 1≠0. Then for each integer i (1≤iD), the following (i)–(ii) are equivalent. (i)*Γis i-bounded. (ii)*Γcontains no parallelogram of lengthi+1. Restricting attention to the Q-polynomial case, we get the following stronger result. Theorem 2. Let Γ denote a distance-regular graph with diameter D≥3, and assume the intersection numbers c 2>1, a 1≠0. Suppose Γ is Q-polynomial. Then the following (i)–(iii) are equivalent. (i)*Γcontains no parallelogram of length 2 or 3. (ii)*Γis D-bounded. (iii)*Γhas classical parameters (D,b,α,β), and either b<−1, or elseΓis a dual polar graph or a Hamming graph. Received: February 8, 1995 / Revised: November 8, 1996  相似文献   

20.
We prove that λ=0 is a global bifurcation point of the second-order periodic boundary-value problem (p(t)x(t))λx(t)−λ2x(t)−f(t,x(t),x(t),x(t));x(0)=x(1),x(0)=x(1). We study this equation under hypotheses for which it may be solved explicitly for x(t). However, it is shown that the explicitly solved equation does not satisfy the usual conditions that are sufficient to conclude global bifurcation. Thus, we need to study the implicit equation with regard to global bifurcation.  相似文献   

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