Results 1  10
of
69,379
The Nature of Statistical Learning Theory
, 1999
"... Statistical learning theory was introduced in the late 1960’s. Until the 1990’s it was a purely theoretical analysis of the problem of function estimation from a given collection of data. In the middle of the 1990’s new types of learning algorithms (called support vector machines) based on the deve ..."
Abstract

Cited by 13236 (32 self)
 Add to MetaCart
Statistical learning theory was introduced in the late 1960’s. Until the 1990’s it was a purely theoretical analysis of the problem of function estimation from a given collection of data. In the middle of the 1990’s new types of learning algorithms (called support vector machines) based
Estimating the Support of a HighDimensional Distribution
, 1999
"... Suppose you are given some dataset drawn from an underlying probability distribution P and you want to estimate a "simple" subset S of input space such that the probability that a test point drawn from P lies outside of S is bounded by some a priori specified between 0 and 1. We propo ..."
Abstract

Cited by 783 (29 self)
 Add to MetaCart
propose a method to approach this problem by trying to estimate a function f which is positive on S and negative on the complement. The functional form of f is given by a kernel expansion in terms of a potentially small subset of the training data; it is regularized by controlling the length
Pegasos: Primal Estimated subgradient solver for SVM
"... We describe and analyze a simple and effective stochastic subgradient descent algorithm for solving the optimization problem cast by Support Vector Machines (SVM). We prove that the number of iterations required to obtain a solution of accuracy ɛ is Õ(1/ɛ), where each iteration operates on a singl ..."
Abstract

Cited by 542 (20 self)
 Add to MetaCart
We describe and analyze a simple and effective stochastic subgradient descent algorithm for solving the optimization problem cast by Support Vector Machines (SVM). We prove that the number of iterations required to obtain a solution of accuracy ɛ is Õ(1/ɛ), where each iteration operates on a
ModelBased Clustering, Discriminant Analysis, and Density Estimation
 JOURNAL OF THE AMERICAN STATISTICAL ASSOCIATION
, 2000
"... Cluster analysis is the automated search for groups of related observations in a data set. Most clustering done in practice is based largely on heuristic but intuitively reasonable procedures and most clustering methods available in commercial software are also of this type. However, there is little ..."
Abstract

Cited by 573 (29 self)
 Add to MetaCart
for modelbased clustering that provides a principled statistical approach to these issues. We also show that this can be useful for other problems in multivariate analysis, such as discriminant analysis and multivariate density estimation. We give examples from medical diagnosis, mineeld detection, cluster
Bayesian density estimation and inference using mixtures.
 J. Amer. Statist. Assoc.
, 1995
"... JSTOR is a notforprofit service that helps scholars, researchers, and students discover, use, and build upon a wide range of content in a trusted digital archive. We use information technology and tools to increase productivity and facilitate new forms of scholarship. For more information about J ..."
Abstract

Cited by 653 (18 self)
 Add to MetaCart
mixtures of normal distributions. Efficient simulation methods are used to approximate various prior, posterior, and predictive distributions. This allows for direct inference on a variety of practical issues, including problems of local versus global smoothing, uncertainty about density estimates
A new approach to the maximum flow problem
 JOURNAL OF THE ACM
, 1988
"... All previously known efficient maximumflow algorithms work by finding augmenting paths, either one path at a time (as in the original Ford and Fulkerson algorithm) or all shortestlength augmenting paths at once (using the layered network approach of Dinic). An alternative method based on the pre ..."
Abstract

Cited by 672 (33 self)
 Add to MetaCart
on the preflow concept of Karzanov is introduced. A preflow is like a flow, except that the total amount flowing into a vertex is allowed to exceed the total amount flowing out. The method maintains a preflow in the original network and pushes local flow excess toward the sink along what are estimated
Estimating the number of clusters in a dataset via the Gap statistic
, 2000
"... We propose a method (the \Gap statistic") for estimating the number of clusters (groups) in a set of data. The technique uses the output of any clustering algorithm (e.g. kmeans or hierarchical), comparing the change in within cluster dispersion to that expected under an appropriate reference ..."
Abstract

Cited by 502 (1 self)
 Add to MetaCart
null distribution. Some theory is developed for the proposal and a simulation study that shows that the Gap statistic usually outperforms other methods that have been proposed in the literature. We also briey explore application of the same technique to the problem for estimating the number of linear
Convex Position Estimation in Wireless Sensor Networks
"... A method for estimating unknown node positions in a sensor network based exclusively on connectivityinduced constraints is described. Known peertopeer communication in the network is modeled as a set of geometric constraints on the node positions. The global solution of a feasibility problem fo ..."
Abstract

Cited by 493 (0 self)
 Add to MetaCart
A method for estimating unknown node positions in a sensor network based exclusively on connectivityinduced constraints is described. Known peertopeer communication in the network is modeled as a set of geometric constraints on the node positions. The global solution of a feasibility problem
Estimating standard errors in finance panel data sets: comparing approaches.
 Review of Financial Studies
, 2009
"... Abstract In both corporate finance and asset pricing empirical work, researchers are often confronted with panel data. In these data sets, the residuals may be correlated across firms and across time, and OLS standard errors can be biased. Historically, the two literatures have used different solut ..."
Abstract

Cited by 890 (7 self)
 Add to MetaCart
solutions to this problem. Corporate finance has relied on clustered standard errors, while asset pricing has used the FamaMacBeth procedure to estimate standard errors. This paper examines the different methods used in the literature and explains when the different methods yield the same (and correct
The file drawer problem and tolerance for null results
 Psychological Bulletin
, 1979
"... For any given research area, one cannot tell how many studies have been conducted but never reported. The extreme view of the "file drawer problem " is that journals are filled with the 5 % of the studies that show Type I errors, while the file drawers are filled with the 95 % of the stud ..."
Abstract

Cited by 497 (0 self)
 Add to MetaCart
, however, although no definitive solution to the problem is available, one can establish reasonable boundaries on the problem and estimate the degree of damage to any research conclusion that could be done by the file drawer problem. This advance in our ability to cope with the file drawer is an outgrowth
Results 1  10
of
69,379