Study measures uncertainty in MST identification across different correlation networks.
problem Uncertainty in MST identification across various correlation-based market networks.
method Developed a framework using random variable networks (RVN) to measure uncertainty of MST identification.
result FDR is the most appropriate measure for MST identification reliability.
Improved best-arm identification in correlated multi-armed bandits.
problem Best-arm identification in multi-armed bandits with correlated rewards.
method Proposed C-LUCB algorithm that exploits upper bounds on conditional rewards.
result Significant reduction in sample complexity for best-arm identification.
PROBE optimizes best-arm identification with cheap proxies, improving sample complexity.
problem Fixed-confidence best-arm identification with costly rewards and correlated cheap proxies.
method PROBE uses control-variate adjustment and phase elimination to learn residual variance online.
result PROBE achieves oracle sample complexity up to a constant factor and additive calibration cost.
Paper proposes PSIPS for identifying Pareto set with correlated objectives.
problem Identifying the best answer among items with multiple conflicting metrics.
method Posterior sampling in stopping and sampling rules for structure and correlation.
result PSIPS is asymptotically optimal and demonstrates good empirical performance.
Investigation of the market graph attracts a growing attention in market network analysis. One of the important problem connected with market graph is to identify it from observations. Traditional way for the market graph identification is to use a simple procedure based on statistical estimations of Pearson correlatio…
A new system combines vision and language for person re-identification.
problem Real-world surveillance lacks visual data for person re-identification.
method Two-stream CNN framework with shared logits, CCA for modalities, multi-modal testing protocol.
result 22% improvement in re-identification performance with multi-modal queries.
We study the problem of finding the most mutually correlated arms among many arms. We show that adaptive arms sampling strategies can have significant advantages over the non-adaptive uniform sampling strategy. Our proposed algorithms rely on a novel correlation estimator. The use of this accurate estimator allows us t…
We propose improved methods to identify stock groups using the correlation matrix of stock price changes. By filtering out the marketwide effect and the random noise, we construct the correlation matrix of stock groups in which nontrivial high correlations between stocks are found. Using the filtered correlation matrix…
Adversarial deep learning improves EEG-based person identification.
problem Exploiting temporally correlated structures and session variability in EEG data.
method Adversarial inference approach to learn session-invariant representations.
result Improvements in person identification robustness from longitudinal EEG data.
Bayesian approach tackles collinearity in large-scale linear system identification.
problem Collinearity in large-scale linear system identification.
method Bayesian regularization framework with Gaussian process and stable spline kernel. Novel Markov chain Monte Carlo scheme.
result Efficiently reconstructs impulse responses posterior by dealing with collinearity.
DeepSupp detects financial support levels using attention mechanisms.
problem Traditional SR identification methods fail to adapt to modern markets.
method Multi-head attention mechanisms, dynamic correlation matrices, DBSCAN clustering.
result DeepSupp outperforms six baseline methods across six financial metrics.
CNN model for efficient wireless spectrum sensing and signal identification.
problem Efficient utilization of scarce wireless spectrum.
method Convolutional Neural Network (CNN) based on spectral correlation function.
result Significant performance gains over existing methods.
A new nonparametric approach for system identification has been recently proposed where the impulse response is modeled as the realization of a zero-mean Gaussian process whose covariance (kernel) has to be estimated from data. In this scheme, quality of the estimates crucially depends on the parametrization of the cov…
Recently, an extension of independent component analysis (ICA) from one to multiple datasets, termed independent vector analysis (IVA), has been the subject of significant research interest. IVA has also been shown to be a generalization of Hotelling's canonical correlation analysis. In this paper, we provide the ident…
SWCCA identifies specific subsets of samples for better correlation analysis.
problem Identify specific subsets of samples contributing to correlation between two data matrices.
method Proposes SWCCA with weights to regularize different samples, solves using alternating iterative algorithm.
result Demonstrates effectiveness and superiority over related methods on synthetic and real-world data.
Bayesian regularization tackles collinearity in large-scale systems with correlated inputs.
problem Collinearity in large-scale linear systems identification due to correlated inputs.
method Bayesian regularization with stable spline covariance and Markov chain Monte Carlo scheme.
result Efficient reconstruction of impulse responses with high correlation among inputs.
GP-NODE combines Gaussian processes and NeuralODEs for Bayesian system identification.
problem Bayesian systems identification from partial, noisy and irregular observations.
method Differentiable programming, Hamiltonian Monte Carlo, Gaussian Process priors, sparsity-promoting priors.
result Efficient inference of posterior distributions over plausible models with quantified uncertainty.
Financial empirical correlation matrices of all the companies which both, the Deutsche Aktienindex (DAX) and the Dow Jones comprised during the time period 1990-1999 are studied using a time window of a limited, either 30 or 60, number of trading days. This allows a clear identification of the resulting correlations. O…
MTRGL learns temporal correlations from multi-modal data for improved pair trading.
problem Discerning temporal correlations among financial entities.
method Combines time series data and discrete features into a temporal graph, using a memory-based temporal graph neural network.
result MTRGL outperforms traditional methods in temporal graph link prediction and pair trading.
Bayesian framework captures correlations in discrete environments for better decision-making.
problem Capturing correlations in discrete state-action domains for better decision-making.
method Bayesian learning framework based on Pólya-Gamma augmentation.
result Superior predictive performance compared to correlation-agnostic models.
New method finds best arm minimizing mean-squared error in correlated bandits.
problem Finding an arm that best captures information about other arms.
method Formulated correlated bandit problem, derived MSE estimator, proposed algorithm.
result Proposed algorithm identifies best arm with error probability bounds.
Bayesian method improves hit identification in compound screening.
problem Identifying candidate hits from thousands to millions of compounds.
method Bayesian nonparametric modeling for cross-plate correlation and statistical strength.
result Significant improvements in hit identification sensitivity and specificity.
New algorithms identify best arm with less pulls, adapting to arm covariances.
problem Best arm identification under dependent and correlated arm distributions.
method Adaptive algorithms estimating arm covariances to minimize pulls.
result Substantial improvement in best arm identification over standard setting.
We address the problem of finding the maximizer of a nonlinear smooth function, that can only be evaluated point-wise, subject to constraints on the number of permitted function evaluations. This problem is also known as fixed-budget best arm identification in the multi-armed bandit literature. We introduce a Bayesian …
Study uses detrended cross-correlation to analyze cryptocurrency market, revealing robust collective modes and distinguishing interdependencies.
problem Nonstationarity, long-range memory, and heavy-tailed fluctuations obscure traditional correlations in complex systems.
method Constructs detrended correlation matrices using multifractal detrended cross-correlation coefficient ρr to emphasize different fluctuations. result Detrending and fluctuation analysis reveal distinct spectral properties from random case, identifying market and sectoral components.
This chapter covers methods for identifying and inferring graph topologies.
problem Identifying and inferring graph topologies from multidimensional relational data.
method Overview of methods including correlation metrics, covariance selection, kernels, structural equations, and vector autoregressions.
result Supports both batch and online learning with convergence guarantees and leverages high-order statistical information.
Extract low-dimensional dynamics from multiple neural recordings.
problem Current methods can't handle dynamics across multiple neural recordings.
method Subspace-identification approach with moment-matching objective and scalable stochastic gradient descent.
result Can identify dynamics and predict correlations even with missing data and small overlap.
Graph neural network explainer identifies causal subgraphs ensuring predictions.
problem Spurious correlations in GNN explainers.
method Proposes {
ame}, a GNN causal explainer via causal inference.
result Significantly outperforms existing GNN explainers in exact groundtruth explanation identification.
Paper identifies latent factors from noisy measurements using tensor decomposition.
problem Identification of latent factors from noisy, correlated measurements.
method Tensor decomposition of third order cross moments, Kruskal theorem, Kotlarski identity, generalized Kruskal rank.
result Full distribution of latent factors and measurement errors identified without injective measurements.
High-dimensional, large-sample astrophysical databases of galaxy clusters, such as the Chandra Deep Field South COMBO-17 database, provide measurements on many variables for thousands of galaxies and a range of redshifts. Current understanding of galaxy formation and evolution rests sensitively on relationships between…
New method identifies network dynamics and noise structure.
problem Estimating network and disturbance topologies in dynamic systems.
method Extended multi-step Sequential Linear Regression and Weighted Null Space Fitting methods.
result Consistent estimation of dynamic networks with reduced computational burden.
Algorithm identifies bilinear dynamical systems from noisy data.
problem Learning a realization of a partially observed bilinear dynamical system.
method Regression of outputs to highly correlated covariates for Markov-like parameters.
result High probability error bounds on identification algorithm under uniform stability assumption.
Motivation: Proteins are known to undergo conformational changes in the course of their functions. The changes in conformation are often attributable to a small fraction of residues within the protein. Therefore identification of these variable regions is important for an understanding of protein function. Results: We …
Feature interactions can contribute to a large proportion of variation in many prediction models. In the era of big data, the coexistence of high dimensionality in both responses and covariates poses unprecedented challenges in identifying important interactions. In this paper, we suggest a two-stage interaction identi…
The paper critiques and expands on common evaluation metrics in machine learning.
problem The common evaluation metrics like Precision, Recall, F-Measure, and Rand Accuracy are biased and misleading.
method The paper introduces new measures like Informedness, Markedness, and Correlation to better reflect the quality of predictions.
result A system that performs worse in terms of Informedness can appear better using common measures like Precision and Recall.
Develops tools to decompose spurious variations in causal models.
problem Understanding and decomposing spurious variations in causal relationships.
method Formal tools for decomposing spurious effects in Markovian and Semi-Markovian models.
result First results on non-parametric decomposition of spurious effects and sufficient conditions for identification.
Identifies directed graphs from node measurements using polynomial filters.
problem Inferring directed network topology from nodal measurements.
method System identification of graph convolutional filter followed by topology inference.
result Effective recovery of directed graphs from measurements.
Versatile model for High Energy Physics events.
problem Modeling complex interactions in high-energy physics data.
method Energy-based probabilistic model with multi-purpose architecture.
result Achieves success in diverse applications like simulation, anomaly detection, and particle identification.
This paper tackles spam detection on Twitter by analyzing correlated features.
problem Spam detection on social media, especially Twitter, to improve user experience.
method Extracted tweet-based and user-based features, identified correlated features, and used artificial neural networks for classification.
result Achieved 97.57% accuracy in classifying tweets as spam or non-spam.
Exclusive Group Lasso improves feature selection in correlated biological data.
problem Correlated features hinder Lasso performance in biological classification problems.
method Proposes and solves the exclusive group Lasso, combining stability selection and random group allocation.
result Exclusive Group Lasso outperforms Lasso in comprehensive selection of informative features.
Random matrix theory improves financial market analysis by smoothing out noise.
problem Choosing an appropriate epoch for computing empirical cross-correlation matrices in financial markets.
method Power mapping to apply non-linear distortion to short epoch correlation matrices, controlling noise and removing degeneracy of zero eigenvalues.
result Interesting properties of eigenvalue spectra are found in simulated and empirical return matrices.
We present an original and novel method based on random matrix approach that enables to distinguish the respective role of temporal autocorrelations inside given time series and cross correlations between various time series. The proposed algorithm is based on properties of Wigner eigenspectrum of random matrices inste…
We discuss the connection between information and copula theories by showing that a copula can be employed to decompose the information content of a multivariate distribution into marginal and dependence components, with the latter quantified by the mutual information. We define the information excess as a measure of d…
This work explains how maximizing latent correlations across multiple data views helps in identifying shared and private components.
problem Understanding how to identify shared and private components in multiview data.
method An intuitive generative model of multiview data is adopted, and latent correlation maximization is shown to guarantee the extraction of shared components.
result Latent correlation maximization guarantees the extraction of shared components across views and disentangles private information.
Algorithm detects influential observations in high-dimensional data.
problem Challenges in identifying influential observations in high-dimensional datasets.
method Three-step algorithm based on expectiles and asymmetric correlations.
result Higher detection power than competing methods.
A networked learning method for correlated data outperforms federated learning in precision.
problem Estimating models from correlated data distributed across a network.
method Local linear model estimation with network regularization and information exchange.
result The weighted ensemble average estimate converges faster and more precisely than federated learning.
New method identifies causal parameters in tree-shaped linear models using cycles.
problem Identifying causal parameters from correlations in tree-shaped linear models.
method Investigates tree-shaped linear models, uses missing cycles to identify causal parameters, solves quadratic equations.
result Shows how missing cycles can be combined to obtain a unique solution for causal parameters.
New algorithm optimizes linear system estimation from single trajectory.
problem Estimating LTI systems from a single trajectory.
method SGD with Reverse Experience Replay (SGD−RER) result Optimal guarantees for parameter and prediction errors.