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1.
The convergence in L2( ) of the even approximants of the Wall continued fractions is extended to the Cesàro–Nevai class CN, which is defined as the class of probability measures σ with limn→∞n−1k=0 |ak|=0, {an}n0 being the Geronimus parameters of σ. We show that CN contains universal measures, that is, probability measures for which the sequence {|n|2 }n0 is dense in the set of all probability measures equipped with the weak-* topology. We also consider the “opposite” Szeg class which consists of measures with ∑n=0 (1−|an|2)1/2<∞ and describe it in terms of Hessenberg matrices.  相似文献   

2.
Let T be an ergodic automorphism of a probability space, f a bounded measurable function, . It is shown that the property that the probabilities μ(|Sn(f)|>n) are of order np roughly corresponds to the existence of an approximation in L of f by functions (coboundaries) ggT, gLp. Similarly, the probabilities μ(|Sn(f)|>n) are exponentially small iff f can be approximated by coboundaries ggT where g have finite exponential moments.

Résumé

Soit T un automorphisme ergodique d'un espace probabilisé, f une fonction bornée mesurable et . Une correspondance est établie entre l'existence de l'estimation des probabilités μ(|Sn(f)|>n) d'ordre np et l'existence de l'approximation dans L de la fonction f par des cobords ggTg est “presque” dans Lp. De manière similaire, les probabilités μ(|Sn(f)|>n) sont d'ordre ecn, pour un certain c>0, n=1,2… , si et seulement si f admet une approximation dans L par des cobords ggT avec g ayant des moments exponentiels.  相似文献   

3.
Let X be a (real) separable Banach space, let {Vk} be a sequence of random elements in X, and let {ank} be a double array of real numbers such that limn→∞ ank = 0 for all k and Σk=1 |ank| ≤ 1 for all n. Define Sn = Σnk=1 ank(VkEVk). The convergence of {Sn} to zero in probability is proved under conditions on the coordinates of a Schauder basis or on the dual space of X and conditions on the distributions of {Vk}. Convergence with probability one for {Sn} is proved for separable normed linear spaces which satisfy Beck's convexity condition with additional restrictions on {ank} but without distribution conditions for the random elements {Vk}. Finally, examples of arrays {ank}, spaces, and applications of these results are considered.  相似文献   

4.
Suppose K is a nonempty closed convex nonexpansive retract of a real uniformly convex Banach space E with P as a nonexpansive retraction. Let T :KE be an asymptotically nonexpansive nonself-map with sequence {kn}n1[1,∞), limkn=1, F(T):={xK: Tx=x}≠. Suppose {xn}n1 is generated iteratively by
where {αn}n1(0,1) is such that ε<1−αn<1−ε for some ε>0. It is proved that (IT) is demiclosed at 0. Moreover, if ∑n1(kn2−1)<∞ and T is completely continuous, strong convergence of {xn} to some x*F(T) is proved. If T is not assumed to be completely continuous but E also has a Fréchet differentiable norm, then weak convergence of {xn} to some x*F(T) is obtained.  相似文献   

5.
This thesis deals with a certain set function called entropy and its ápplications to some problems in classical Fourier analysis. For a set S [0, 1/e] the entropy of S is defined by E(S) = infSkIk,Ik intervals Σk | Ik | log(1/|Ik|). We begin by using notions related to entropy in order to investigate the maximal operator MΩ given by MΩ(f)(x) = supr>0(1/rn) ∫|t| ≤r Ω(t) |f(x + t)| dt, f ε L1(Rn), where Ω is a positive function, homogeneous of degree 0, and satisfying a certain weak smoothness condition. Then the set function entropy is investigated, and certain of its properties are derived. We then apply these to solve various problems in differentiation theory and the theory of singular integrals, deriving in the process, entropic versions of the theorems of Hardy and Littlewood and Calderón and Zygmund.  相似文献   

6.
We introduce a new condition for {Yτn} to have the same asymptotic distribution that {Yn} has, where {Yn} is a sequence of random elements of a metric space (S, d) and {τn} is a sequence of random indices. The condition on {Yn} is that maxiDnd(Yi, Yan)→p0 as n → ∞, where Dn = {i: |kikan| ≤ δankan} and {δn} is a nonincreasing sequence of positive numbers. The condition on {τn} is that P(|(kτn/kan)−1| > δan) → 0 as n → ∞. Under these conditions, we will show that d(Yτn, Yan) → P0 and apply this result to the CLT for a general class of sequences of dependent random variables.  相似文献   

7.
Let f: be a continuous, 2π-periodic function and for each n ε let tn(f; ·) denote the trigonometric polynomial of degree n interpolating f in the points 2kπ/(2n + 1) (k = 0, ±1, …, ±n). It was shown by J. Marcinkiewicz that limn → ∞0¦f(θ) − tn(f θ)¦p dθ = 0 for every p > 0. We consider Lagrange interpolation of non-periodic functions by entire functions of exponential type τ > 0 in the points kπ/τ (k = 0, ± 1, ± 2, …) and obtain a result analogous to that of Marcinkiewicz.  相似文献   

8.
Let {Xn}n=1be a sequence of free, identically distributed random variables with common distributionμ. Then there exist sequences {Bn}n=1and {An}n=1of positive and real numbers, respectively, such that sequence of random variables[formula]converges in distribution to the semicircle law if and only if the function[formula]is slowly varying in Karamata's sense. In other words, the free domain of attraction of the semicircle law coincides with the classical domain of attraction of the Gaussian. We prove an analogous result for normal domains of attraction in the sense of Linnik.  相似文献   

9.
Wir behandeln das Problem, eine stetige Funktion f im Intervall [0, 1] mit einer erweiterten Klasse von Exponentialsummen gleichmäβig zu approximieren. Die Klasse Vnτ(S) besteht dabei aus allen reellwertigen Lösungen von homogenen, linearen Differentialgleichungen n-ter Ordnung mit konstanten Koeffizienten, bei denen das charakteristische Polynom nur Nullstellen in einer Menge S der komplexen Zahlen besitzt. Wir geben einen sehr kurzen Beweis dafür, daβ jede solche Summe n-ter Ordnung höchstens n − 1 Nullstellen in [0, 1] besitzt, wenn die Frequenzen im Streifen T={λC:|Imλ|<π} liegen. Bei Beschränkung auf T={λC:0<|Imλ|≤π} läβt sich eine Minimallösung notwendig und hinreichend charakterisieren durch eine Alternante der Länge n + k + 1 und die Minimallösung ist eindeutig bestimmt, falls die Frequenzen im Innern von T* liegen.  相似文献   

10.
This is a systematic and unified treatment of a variety of seemingly different strong limit problems. The main emphasis is laid on the study of the a.s. behavior of the rectangular means ζmn = 1/(λ1(m) λ2(n)) Σi=1m Σk=1n Xik as either max{m, n} → ∞ or min{m, n} → ∞. Here {Xik: i, k ≥ 1} is an orthogonal or merely quasi-orthogonal random field, whereas {λ1(m): m ≥ 1} and {λ2(n): n ≥ 1} are nondecreasing sequences of positive numbers subject to certain growth conditions. The method applied provides the rate of convergence, as well. The sufficient conditions obtained are shown to be the best possible in general. Results on double subsequences and 1-parameter limit theorems are also included.  相似文献   

11.
This paper investigates the self-improving integrability properties of the so-called mappings of finite distortion. Let K(x)1 be a measurable function defined on a domain ΩRn, n2, and such that exp(βK(x))Lloc1(Ω), β>0. We show that there exist two universal constants c1(n),c2(n) with the following property: Let f be a mapping in Wloc1,1(Ω,Rn) with |Df(x)|nK(x)J(x,f) for a.e. xΩ and such that the Jacobian determinant J(x,f) is locally in L1 logc1(nL. Then automatically J(x,f) is locally in L1 logc2(nL(Ω). This result constitutes the appropriate analog for the self-improving regularity of quasiregular mappings and clarifies many other interesting properties of mappings of finite distortion. Namely, we obtain novel results on the size of removable singularities for bounded mappings of finite distortion, and on the area distortion under this class of mappings.  相似文献   

12.
The behavior of the posterior for a large observation is considered. Two basic situations are discussed; location vectors and natural parameters.Let X = (X1, X2, …, Xn) be an observation from a multivariate exponential distribution with that natural parameter Θ = (Θ1, Θ2, …, Θn). Let θx* be the posterior mode. Sufficient conditions are presented for the distribution of Θ − θx* given X = x to converge to a multivariate normal with mean vector 0 as |x| tends to infinity. These same conditions imply that E(Θ | X = x) − θx* converges to the zero vector as |x| tends to infinity.The posterior for an observation X = (X1, X2, …, Xn is considered for a location vector Θ = (Θ1, Θ2, …, Θn) as x gets large along a path, γ, in Rn. Sufficient conditions are given for the distribution of γ(t) − Θ given X = γ(t) to converge in law as t → ∞. Slightly stronger conditions ensure that γ(t) − E(Θ | X = γ(t)) converges to the mean of the limiting distribution.These basic results about the posterior mean are extended to cover other estimators. Loss functions which are convex functions of absolute error are considered. Let δ be a Bayes estimator for a loss function of this type. Generally, if the distribution of Θ − E(Θ | X = γ(t)) given X = γ(t) converges in law to a symmetric distribution as t → ∞, it is shown that δ(γ(t)) − E(Θ | X = γ(t)) → 0 as t → ∞.  相似文献   

13.
Let = {Ut: t > 0} be a strongly continuous one-parameter group of operators on a Banach space X and Q be any subset of a set (X) of all probability measures on X. By (Q; ) we denote the class of all limit measures of {Utn1 * μ2*…*μn)*δxn}, where {μn}Q, {xn}X and measures Utnμj (j=1, 2,…, n; N=1, 2,…) form an infinitesimal triangular array. We define classes Lm( ) as follows: L0( )= ( (X); ), Lm( )= (Lm−1( ); ) for m=1, 2,… and L( )=m=0Lm( ). These classes are analogous to those defined earlier by Urbanik on the real line. Probability distributions from Lm( ), m=0, 1, 2,…, ∞, are described in terms of their characteristic functionals and their generalized Poisson exponents and Gaussian covariance operators.  相似文献   

14.
Necessary and sufficient conditions are given which ensure the completeness of the trigonometric systems with integer indices; {einx; x }n=−∞ or {einx; x }n=1 in Lα(μ,  ), α1. If there exists a support Λ of the measure μ which is a wandering set, that is, Λ+2, k=0, ±1, ±2, … are mutually disjoint for different k's, then the linear span of our trigonometric system {einx; x }n=−∞ is dense in Lα(μ,  ) α1. The converse statement is also true.  相似文献   

15.
Let fεLp(R), gεLq(R) with 1<p<∞, 1<q<∞ and let Hf, Hg be their respective Hilbert transforms. We give a simple proof of the identity Hf · Hgf · G = H(f · Hg + g · Hf) a.e. and of its inverse in the case (1/p) + (1/q) 1 which includes the cases already considered by Cossar and Tricomi. We next derive applications, especially to boundary values of analytic functions.  相似文献   

16.
Le nombre maximal de lignes de matrices seront désignées par:
1. (a) R(k, λ) si chaque ligne est une permutation de nombres 1, 2,…, k et si chaque deux lignes différentes coïncide selon λ positions;
2. (b) S0(k, λ) si le nombre de colonnes est k et si chaque deux lignes différentes coïncide selon λ positions et si, en plus, il existe une colonne avec les éléments y1, y2, y3, ou y1 = y2y3;
3. (c) T0(k, λ) si c'est une (0, 1)-matrice et si chaque ligne contient k unités et si chaque deux lignes différentes contient les unités selon λ positions et si, en plus, il existe une colonne avec les éléments 1, 1, 0.
La fonction T0(k, λ) était introduite par Chvátal et dans les articles de Deza, Mullin, van Lint, Vanstone, on montrait que T0(k, λ) max(λ + 2, (k − λ)2 + k − λ + 1). La fonction S0(k, λ) est introduite ici et dans le Théorème 1 elle est étudiée analogiquement; dans les remarques 4, 5, 6, 7 on donne les généralisations de problèmes concernant T0(k, λ), S0(k, λ), dans la remarque 9 on généralise le problème concernant R(k, λ). La fonction R(k, λ) était introduite et étudiée par Bolton. Ci-après, on montre que R(k, λ) S0(k, λ) T0(k, λ) d'où découle en particulier: R(k, λ) λ + 2 pour λ k + 1 − (k + 2)1/2; R(k, λ) = 0(k2) pour k − λ = 0(k); R(k, λ) (k − 1)2 − (k + 2) pour k 1191.  相似文献   

17.
Let (X, X ; d} be a field of independent identically distributed real random variables, 0 < p < 2, and {a , ; ( , ) d × d, ≤ } a triangular array of real numbers, where d is the d-dimensional lattice. Under the minimal condition that sup , |a , | < ∞, we show that | |− 1/pa , X → 0 a.s. as | | → ∞ if and only if E(|X|p(L|X|)d − 1) < ∞ provided d ≥ 2. In the above, if 1 ≤ p < 2, the random variables are needed to be centered at the mean. By establishing a certain law of the logarithm, we show that the Law of the Iterated Logarithm fails for the weighted sums ∑a , X under the conditions that EX = 0, EX2 < ∞, and E(X2(L|X|)d − 1/L2|X|) < ∞ for almost all bounded families {a , ; ( , ) d × d, ≤ of numbers.  相似文献   

18.
The purpose of this paper is to show that for a certain class of functions f which are analytic in the complex plane possibly minus (−∞, −1], the Abel series f(0) + Σn = 1 f(n)(nβ) z(znβ)n − 1/n! is convergent for all β>0. Its sum is an entire function of exponential type and can be evaluated in terms of f. Furthermore, it is shown that the Abel series of f for small β>0 approximates f uniformly in half-planes of the form Re(z) − 1 + δ, δ>0. At the end of the paper some special cases are discussed.  相似文献   

19.
Let {ξn, n, nm ≥ 1} be a reverse martingale such that the distribution of ξn depends on x I R =(− ∞, ∞)x. for each nm, and ξn[formula] For a continuous bounded function f on R let Ln(f, x) = Efn) be the associated positive linear operator. The properties of ξn are used to obtain the convergence properties of Ln(f, x), and some more details are given when ξn is a reverse martingale sequence of -statistics. Lipschitz properties for a subclass of these operators resulting from an exponential Family of distributions are also given. It is further shown that this class of operators of convex functions preserves convexity also. An example of a reverse supermartingale related to the Bleimann-Butzer-Hahn operator is also discussed.  相似文献   

20.
We prove that for every χ[−1, 1] and every real algebraic polynomial f of degree n such that |f(t): 1 on [−1, 1], the following inequality takes place on the complex plane |f(x+iy)||Tn(1+iy)|,−y where Tn is the Tchebycheff polynomial. This implies easily Vladimir Markov inequality.  相似文献   

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