Small ball probabilities for certain gaussian fields

Abstract

We study the behavior of the tail probabilities P(V2<r) as r 0, where V2 is defined by the following double sum V2 =π-4\,Σi,j 1 ((i+b)\,(j + δ))-2\,ij2, where \ij\ are independent standard normal random variables, and b and δ are constants: b>-1,\ δ>-1.

0

Turn this paper into a lesson

ArcXiv compiles a structured reading guide from this paper's metadata: plain-English importance, contributions, prerequisite concepts, which sections to read first, flashcards, and a quiz. Grounded in the abstract, never invented.

Discussion (0)

Sign in to join the discussion.

Loading comments…