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91.
Let Λ be a left Artinian ring, D+(mod Λ) (resp., D(mod Λ), D(mod Λ)) the derived category of bounded below complexes (resp., bounded above complexes, unbounded complexes) of finitely generated left Λ-modules. We show that the Grothendieck groups K0(D+(mod Λ)), K0(D(mod Λ)) and K0(D(mod Λ)) are trivial. Received: 7 April 2005  相似文献   
92.
Hopf monads     
We introduce and study Hopf monads on autonomous categories (i.e., monoidal categories with duals). Hopf monads generalize Hopf algebras to a non-braided (and non-linear) setting. In particular, any monoidal adjunction between autonomous categories gives rise to a Hopf monad. We extend many fundamental results of the theory of Hopf algebras (such as the decomposition of Hopf modules, the existence of integrals, Maschke's criterium of semisimplicity, etc.) to Hopf monads. We also introduce and study quasitriangular and ribbon Hopf monads (again defined in a non-braided setting).  相似文献   
93.
The category of small covariant functors from simplicial sets to simplicial sets supports the projective model structure [B. Chorny, W.G. Dwyer, Homotopy theory of small diagrams over large categories, preprint, 2005]. In this paper we construct various localizations of the projective model structure and also give a variant for functors from simplicial sets to spectra. We apply these model categories in the study of calculus of functors, namely for a classification of polynomial and homogeneous functors. In the n-homogeneous model structure, the nth derivative is a Quillen functor to the category of spectra with Σn-action. After taking into account only finitary functors—which may be done in two different ways—the above Quillen map becomes a Quillen equivalence. This improves the classification of finitary homogeneous functors by T.G. Goodwillie [T.G. Goodwillie, Calculus. III. Taylor series, Geom. Topol. 7 (2003) 645-711 (electronic)].  相似文献   
94.
In this paper, we present the classical risk process with two-step premium function. This means that the gross risk premium rate changes if the insurer’s surplus reaches a certain threshold level. The formula for the infinite-time ruin probability is obtained. The asymptotic behaviour of the ruin probability in the case where the claim size distribution has a light tail is considered as well.  相似文献   
95.
We prove both geometric ergodicity and regular variation of the stationary distribution for a class of nonlinear stochastic recursions that includes nonlinear AR-ARCH models of order 1. The Lyapounov exponent for the model, the index of regular variation and the spectral measure for the regular variation all are characterized by a simple two-state Markov chain.  相似文献   
96.
In this paper one specifies the ergodic behavior of the 2D-stochastic Navier–Stokes equation by giving a Large Deviation Principle for the occupation measure for large time. It describes the exact rate of exponential convergence. The considered random force is non-degenerate and compatible with the strong Feller property.  相似文献   
97.
We give a new independent self-dual 3-basis for the trivial variety with two binary operations. Received October 24, 2006; accepted in final form January 25, 2007.  相似文献   
98.
In this paper, we study the global existence and the asymptotic behavior of classical solution of the Cauchy problem for quasilinear hyperbolic system with constant multiple and linearly degenerate characteristic fields. We prove that the global C1 solution exists uniquely if the BV norm of the initial data is sufficiently small. Based on the existence result on the global classical solution, we show that, when the time t tends to the infinity, the solution approaches a combination of C1 traveling wave solutions. Finally, we give an application to the equation for time-like extremal surfaces in the Minkowski space-time R1+n.  相似文献   
99.
A survey of the contributions of Aldo Cossu in finite geometry is given. Dedicated to the memory of Professor Aldo Cossu  相似文献   
100.
We give general conditions on a generator of a C0-semigroup (resp. of a C0-resolvent) on Lp(E,μ), p ≥ 1, where E is an arbitrary (Lusin) topological space and μ a σ-finite measure on its Borel σ-algebra, so that it generates a sufficiently regular Markov process on E. We present a general method how these conditions can be checked in many situations. Applications to solve stochastic differential equations on Hilbert space in the sense of a martingale problem are given. Dedicated to Giuseppe Da Prato on the occasion of his 70th birthday  相似文献   
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