Korovkin second theorem via \(B\)-statistical \(A\)-summability (Q1949489): Difference between revisions

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Korovkin second theorem via \(B\)-statistical \(A\)-summability
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    Korovkin second theorem via \(B\)-statistical \(A\)-summability (English)
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    8 May 2013
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    Summary: Korovkin type approximation theorems are useful tools to check whether a given sequence \((L_n)_{n \geq 1}\) of positive linear operators on \(C[0, 1]\) of all continuous functions on the real interval \([0, 1]\) is an approximation process. That is, these theorems exhibit a variety of test functions which assure that the approximation property holds on the whole space if it holds for them. Such a property was discovered by Korovkin in 1953 for the functions \(1, x\), and \(x^2\) in the space \(C[0, 1]\) as well as for the functions \(1, \cos\), and \(\sin\) in the space of all continuous \(2\pi\)-periodic functions on the real line. In this paper, we use the notion of \(B\)-statistical \(A\)-summability to prove the Korovkin second approximation theorem. We also study the rate of \(B\)-statistical \(A\)-summability of a sequence of positive linear operators defined from \(C_{2\pi}(\mathbb R)\) into \(C_{2\pi}(\mathbb R)\).
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