7,660 research outputs found

    Bounds on Query Convergence

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    The problem of finding an optimum using noisy evaluations of a smooth cost function arises in many contexts, including economics, business, medicine, experiment design, and foraging theory. We derive an asymptotic bound E[ (x_t - x*)^2 ] >= O(1/sqrt(t)) on the rate of convergence of a sequence (x_0, x_1, >...) generated by an unbiased feedback process observing noisy evaluations of an unknown quadratic function maximised at x*. The bound is tight, as the proof leads to a simple algorithm which meets it. We further establish a bound on the total regret, E[ sum_{i=1..t} (x_i - x*)^2 ] >= O(sqrt(t)) These bounds may impose practical limitations on an agent's performance, as O(eps^-4) queries are made before the queries converge to x* with eps accuracy.Comment: 6 pages, 2 figure

    Automatic Differentiation of Algorithms for Machine Learning

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    Automatic differentiation---the mechanical transformation of numeric computer programs to calculate derivatives efficiently and accurately---dates to the origin of the computer age. Reverse mode automatic differentiation both antedates and generalizes the method of backwards propagation of errors used in machine learning. Despite this, practitioners in a variety of fields, including machine learning, have been little influenced by automatic differentiation, and make scant use of available tools. Here we review the technique of automatic differentiation, describe its two main modes, and explain how it can benefit machine learning practitioners. To reach the widest possible audience our treatment assumes only elementary differential calculus, and does not assume any knowledge of linear algebra.Comment: 7 pages, 1 figur

    The Challenge of Co-Religionist Commerce

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    This Article addresses the rise of co-religionist commerce in the United States—that is, the explosion of commercial dealings that take place between co-religionists who intend their transactions to achieve both commercial and religious objectives. To remain viable, coreligionist commerce requires all the legal support necessary to sustain all other commercial relationships. Contracts must be enforced, parties must be protected against torts, and disputes must be reliably adjudicated. Under current constitutional doctrine, co-religionist commercial agreements must be translated into secular terminology if they are to be judicially enforced. But many religious goods and services cannot be accurately translated without religious terms and structures. To address this translation problem, courts could make use of contextual tools of contract interpretation, thereby providing the necessary evidence to give meaning to co-religionist commercial agreements. However, contextual approaches to co-religionist commerce have been undermined by two current legal trends—one in constitutional law, the other in commercial law. The first is New Formalism, which discourages courts from looking to customary norms and relational principles to interpret commercial instruments. The second is what we call Establishment Clause Creep, which describes a growing judicial reticence to adjudicate disputes situated within a religious context. Together, these two legal developments prevent courts from using context to interpret and enforce co-religionist commercial agreements. This Article proposes that courts preserve co-religionist commerce with a limited embrace of contextualism. A thorough inquiry into context, which is discouraged by both New Formalist and many Establishment Clause doctrines, would allow courts to surmise parties\u27 intents and distinguish commercial from religious substance. Empowering the intent of co-religionist parties and limiting the doctrinal developments that threaten to undermine co-religionist commerce can secure marketplace dealings without intruding upon personal faith

    The critical region of strong-coupling lattice QCD in different large-N limits

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    We study the critical behavior at nonzero temperature phase transitions of an effective Hamiltonian derived from lattice QCD in the strong-coupling expansion. Following studies of related quantum spin systems that have a similar Hamiltonian, we show that for large NcN_c and fixed g2Ncg^2N_c, mean field scaling is not expected, and that the critical region has a finite width at Nc=N_c=\infty. A different behavior rises for NfN_f\to \infty and fixed NcN_c and g2/Nfg^2/N_f, which we study in two spatial dimensions and for Nc=1N_c=1. We find that the width of the critical region is suppressed by 1/Nfp1/N_f^p with p=1/2p=1/2, and argue that a generalization to Nc>1N_c>1 and to three dimensions will change this only in detail (e.g. the value of p>0p>0), but not in principle. We conclude by stating under what conditions this suppression is expected, and remark on possible realizations of this phenomenon in lattice gauge theories in the continuum.Comment: 24 pages, 6 figures. New version includes: a more extensive discussion of strong-coupling expansions and their region of validity. Accordingly I have reworded the descriptions of the investigated limits. Removed typos and misprint

    A Cautious Path Forward on Accountable Care Organizations

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    The wave of new Accountable Care Organizations (ACOs), spurred by financial incentives in the Affordable Care Act, could become the latest chapter in the steady accumulation of market power by hospitals, health care systems, and physician groups. The main purpose behind forming many ACOs may not be to achieve cost savings but instead to strengthen negotiating power over purchasers in the private sector. This would be an unfortunate sequel to the waves of mergers in the 1990s when health care entities sought to counter market pressure from managed care organizations. The possibility that ACOs might further concentrate health care markets brings new urgency to understanding why provider monopolies are pernicious and to considering how government can ensure that ACOs pursue efficiency rather than market power

    Local sequence features that influence AP-1 cis-regulatory activity

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    In the genome, most occurrences of transcription factor binding sites (TFBS) have no cis-regulatory activity, which suggests that flanking sequences contain information that distinguishes functional from nonfunctional TFBS. We interrogated the role of flanking sequences near Activator Protein 1 (AP-1) binding sites that reside in DNase I Hypersensitive Sites (DHS) and regions annotated as Enhancers. In these regions, we found that sequence features directly adjacent to the core motif distinguish high from low activity AP-1 sites. Some nearby features are motifs for other TFs that genetically interact with the AP-1 site. Other features are extensions of the AP-1 core motif, which cause the extended sites to match motifs of multiple AP-1 binding proteins. Computational models trained on these data distinguish between sequences with high and low activity AP-1 sites and also predict changes in cis-regulatory activity due to mutations in AP-1 core sites and their flanking sequences. Our results suggest that extended AP-1 binding sites, together with adjacent binding sites for additional TFs, encode part of the information that governs TFBS activity in the genome.</jats:p

    An Analysis of Publication Venues for Automatic Differentiation Research

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    We present the results of our analysis of publication venues for papers on automatic differentiation (AD), covering academic journals and conference proceedings. Our data are collected from the AD publications database maintained by the autodiff.org community website. The database is purpose-built for the AD field and is expanding via submissions by AD researchers. Therefore, it provides a relatively noise-free list of publications relating to the field. However, it does include noise in the form of variant spellings of journal and conference names. We handle this by manually correcting and merging these variants under the official names of corresponding venues. We also share the raw data we get after these corrections.Comment: 6 pages, 3 figure

    Dispersal and Re-Capture of Marked, Overwintering \u3ci\u3eTomicus Piniperda\u3c/i\u3e (Coleoptera: Scolytidae) From Scotch Pine Bolts

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    The pine shoot beetle (PSB), Tomicus piniperda is a recently established exotic pest of live pine in the southern Great Lakes of the U.S. and Canada. Scotch pine, Pinus sylvestris L. is the most susceptible pine species, but the adult also attacks several other North American species of Pinus. This research investigated the dispersal behavior of beetles emerging from overwintering sites to aid in the development of effective monitoring and management practices. Scotch pine logs with overwintering PSB were sprayed with fluorescent pigments to mark dispersing beetles. These logs were placed in piles in the centers of three circular trap arrays of 8-unit Lindgren traps, baited with a-pinene, and placed at distances of 50, 100,200, 300 and 400 meters from the center along equally spaced radii. An estimated average of 393 PSB, or 23.4% of the overwintering PSB, dispersed from each of three log piles during the initial spring dispersal flight, and 21.9% of these were captured in traps. Traps within 100 meters caught 56.0 to 67.8% of the marked PSB recovered. Most (95.3%) marked PSB were trapped within 400 meters, but 12 beetles (4.7%) were trapped 780-2,000 meters away in adjacent trap arrays. The dispersal pattern of the population, as indicated by trap catch, was to the northeast, in the direction of prevailing westerly/ southerly winds up to 4.77 mls daily average during beetle flight. Regression analysis suggests that the PSB within the experimental area had a predicted dispersal distance of 900 meters in an area that contained numerous traps. Dispersal distances may be greater under of conditions of strong and steady winds or iftraps or abundant host material removed fewer PSB from the dispersing population. The use of traps to monitor specific sites should consider the direction of prevailing winds. Trap catches of wild PSB suggest that optimal inter-trap spacing for efficient detection could be about 78 m

    Overbilling and Informed Financial Consent — A Contractual Solution

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    U.S. hospitals and physicians regularly charge uninsured patients and patients receiving care outside their health-plan networks far more what most health insurers pay and far more than their actual costs. Such practices have triggered over 100 lawsuits and prompted calls for pricing transparency in Congress and price regulation in several states. This Perspective argues that the theory of implied contracts, a foundation in most first-year courses in contract law, offers a useful legal and ethical mechanism for handling these troubling problems in health care billing
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