Mixture Models, Outliers, and the EM Algorithm

From MaRDI portal
Publication:3918901

DOI10.2307/1268316zbMath0466.62034OpenAlexW4239873714MaRDI QIDQ3918901

Murray Aitkin, Granville Tunnicliffe Wilson

Publication date: 1980

Full work available at URL: https://doi.org/10.2307/1268316




Related Items

Robust estimation in time seriesFitting insurance and economic data with outliers: a flexible approach based on finite mixtures of contaminated gamma distributionsA new look at the inverse Gaussian distribution with applications to insurance and economic dataSmooth estimates of normal mixturesEXPECTATION‐MAXIMIZATION ALGORITHMS AND THE ESTIMATION OF TIME SERIES MODELS IN THE PRESENCE OF OUTLIERSPartially adaptive estimation via a normal mixtureModel-based clusteringA review of reliable maximum likelihood algorithms for semiparametric mixture modelsMeasuring the relative effectiveness of moment estimators as starting values in maximizing likelihoodsFinite mixtures in confirmatory factor-analysis modelsRobust clustering in regression analysis via the contaminated Gaussian cluster-weighted modelOn the contaminated exponential distribution: a theoretical Bayesian approach for modeling positive-valued insurance claim data with outliersCovariance matrix estimation of the maximum likelihood estimator in multivariate clusterwise linear regressionRobust model-based clustering with mild and gross outliersAn entropy criterion for assessing the number of clusters in a mixture modelMinimum distance estimation in a finite mixture regression modelMixture models and networks: The stochastic blockmodelA class of fuzzy clusterwise regression modelsOn the three-component mixture of exponential distributions: a Bayesian framework to model data with multiple lower and upper outliersImproving Predictions When Interest Focuses on Extreme Random EffectsMultivariate Contaminated Normal Censored Regression Model: Properties and Maximum Likelihood InferenceSeemingly unrelated clusterwise linear regression for contaminated dataRobust mixture regression modeling based on the normal mean-variance mixture distributionsOn moments of truncated multivariate normal/independent distributionsA shape-based voting algorithm for pedestrian detection and trackingSeemingly unrelated clusterwise linear regressionMultiple scaled contaminated normal distribution and its application in clusteringRobust high dimensional expectation maximization algorithm via trimmed hard thresholdingA strong developmental theory of field dependence-independencePointwise probability reinforcements for robust statistical inferenceAsymmetric clusters and outliers: mixtures of multivariate contaminated shifted asymmetric Laplace distributionsA mixture-based approach to robust analysis of generalised linear modelsForecasting in the presence of large shocksA bilateral fuzzy support vector machine hybridizing the Gaussian mixture modelOn algorithms for restricted maximum likelihood estimationThe use of mixtures for dealing with non-normal regression errorsMixture-model-based signal denoisingA mixture model approach for the analysis of small exploratory microarray experimentsA predictive view of Bayesian clusteringConstrained EM algorithm with projection methodA new variational Bayesian algorithm with application to human mobility pattern modelingA Dirichlet process mixture model for the analysis of correlated binary responsesMixtures of multivariate contaminated normal regression modelsTree based credible set estimationRobust and Accurate Inference via a Mixture of Gaussian and Student’s t ErrorsMinimum Hellinger distance estimation for Poisson mixtures.The supervised learning Gaussian mixture modelParsimonious mixtures of multivariate contaminated normal distributionsOutlier detection under star-contoured errorsSeeking outlying subsets under star-contoured errorsDetection of outliers and robust estimation using fuzzy clusteringMixtures of factor analyzers: an extension with covariatesMinimum profile Hellinger distance estimation for semiparametric simple linear regression modelDichotomous unimodal compound models: application to the distribution of insurance lossesA maximum likelihood method for latent class regression involving a censored dependent variableMixtures of linear regressionsRobust Bayesian Regression Analysis Using Ramsay-Novick Distributed Errors with Student-t PriorA mathematical programming approach to clusterwise regression model and its extensions