码迷,mamicode.com
首页 > 其他好文 > 详细

斯坦福-随机图模型-week1.3_

时间:2018-03-03 23:27:46      阅读:217      评论:0      收藏:0      [点我收藏+]

标签:actor   图片   cond   resid   efi   uri   lead   company   英文   


title: 斯坦福-随机图模型-week1.3
tags: note
notebook: 6- 英文课程-9-Probabilistic Graphical Models 1: Representation
---

斯坦福-随机图模型-week1.3

1。第 1 个问题

Factorization.

Given the same model as above, which of these is an appropriate decomposition of the joint distribution P(A,B,C,D)?

技术分享图片

P(A,B,C,D)=P(A)P(B)P(C)P(D)

P(A,B,C,D)=P(A)P(B)P(A,B|C)P(B|D)

P(A,B,C,D)=P(A)P(B)P(C|A)P(C|B)P(D|B)

P(A,B,C,D)=P(A)P(B)P(C|A,B)P(D|B)

第 2 个问题1
point

2。第 2 个问题

Independent parameters.

How many independent parameters are required to uniquely define the CPD of C (the conditional probability distribution associated with the variable C) in the same graphical model as above, if A, B, and D are binary, and C and E have three values each?

技术分享图片

If you haven‘t come across the term before, here‘s a brief explanation: A multinomial distribution over m possibilities x1,…,xm has m parameters, but m?1 independent parameters, because we have the constraint that all parameters must sum to 1, so that if you specify m?1 of the parameters, the final one is fixed. In a CPD P(X|Y), if X has m values and Y has k values, then we have k distinct multinomial distributions, one for each value of Y, and we have m?1 independent parameters in each of them, for a total of k(m?1). More generally, in a CPD P(X|Y1,…,Yr), if each Yi has ki values, we have a total of k1×…×kr×(m?1) independent parameters.

Example: Let‘s say we have a graphical model that just had X→Y, where both variables are binary. In this scenario, we need 1 parameter to define the CPD of X. The CPD of X contains two entries P(X=0) and P(X=1). Since the sum of these two entries has to be equal to 1, we only need one parameter to define the CPD.

Now we look at Y. The CPD for Y contains 4 entries which correspond to: P(Y=0|X=0),P(Y=1|X=0),P(Y=0|X=1),P(Y=1|X=1). Note that P(Y=0|X=0) and P(Y=1|X=0) should sum to one, so we need 1 independent parameter to describe those two entries; likewise, P(Y=0|X=1) and P(Y=1|X=1) should also sum to 1, so we need 1 independent parameter for those two entries.

Therefore, we need 1 independent parameter to define the CPD of X and 2 independent parameters to define the CPD of Y.

7

8

6

3

4

11

12

1
point

3。第 3 个问题

*Inter-causal reasoning.

技术分享图片

Consider the following model for traffic jams in a small town, which we assume can be caused by a car accident, or by a visit from the president (and the accompanying security motorcade).

Calculate P(Accident = 1 | Traffic = 1) and P(Accident = 1 | Traffic = 1, President = 1). Separate your answers with a space, e.g., an answer of

0.15 0.25

means that P(Accident = 1 | Traffic = 1) = 0.15 and P(Accident = 1 | Traffic = 1, President = 1) = 0.25. Round your answers to two decimal places and write a leading zero, like in the example above.

__ 0.35 0.14 __
在此输入您的回答

斯坦福-随机图模型-week1.3_

标签:actor   图片   cond   resid   efi   uri   lead   company   英文   

原文地址:https://www.cnblogs.com/zangzelin/p/8503235.html

(0)
(0)
   
举报
评论 一句话评论(0
登录后才能评论!
© 2014 mamicode.com 版权所有  联系我们:gaon5@hotmail.com
迷上了代码!