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A typical finite-dimensional mixture model is a hierarchical model consisting of the following components: . N random variables that are observed, each distributed according to a mixture of K components, with the components belonging to the same parametric family of distributions (e.g., all normal, all Zipfian, etc.) but with different parameters
The EM algorithm consists of two steps: the E-step and the M-step. Firstly, the model parameters and the () can be randomly initialized. In the E-step, the algorithm tries to guess the value of () based on the parameters, while in the M-step, the algorithm updates the value of the model parameters based on the guess of () of the E-step.
In probability and statistics, a mixture distribution is the probability distribution of a random variable that is derived from a collection of other random variables as follows: first, a random variable is selected by chance from the collection according to given probabilities of selection, and then the value of the selected random variable is realized.
In probability and statistics, a compound probability distribution (also known as a mixture distribution or contagious distribution) is the probability distribution that results from assuming that a random variable is distributed according to some parametrized distribution, with (some of) the parameters of that distribution themselves being random variables.
Using the variances, the EM algorithm can describe the normal distributions exactly, while k-means splits the data in Voronoi-cells. The cluster center is indicated by the lighter, bigger symbol. An animation demonstrating the EM algorithm fitting a two component Gaussian mixture model to the Old Faithful dataset. The algorithm steps through ...
K-distribution arises as the consequence of a statistical or probabilistic model used in synthetic-aperture radar (SAR) imagery. The K-distribution is formed by compounding two separate probability distributions, one representing the radar cross-section, and the other representing speckle that is a characteristic of coherent imaging.
We consider estimating the density of the Gaussian mixture (4π) −1 exp(− 1 ⁄ 2 (x 1 2 + x 2 2)) + (4π) −1 exp(− 1 ⁄ 2 ((x 1 - 3.5) 2 + x 2 2)), from 500 randomly generated points. We employ the Matlab routine for 2-dimensional data. The routine is an automatic bandwidth selection method specifically designed for a second order ...
Regardless of precise definition, the terminology is constitutional because a generative model can be used to "generate" random instances , either of an observation and target (,), or of an observation x given a target value y, [2] while a discriminative model or discriminative classifier (without a model) can be used to "discriminate" the ...