The Multivariate Watson Distribution: Maximum-Likelihood Estimation and other Aspects

Statistics – Computation

Scientific paper

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25 pages

Scientific paper

This paper studies fundamental aspects of modelling data using multivariate Watson distributions. Although these distributions are natural for modelling axially symmetric data (i.e., unit vectors where $\pm \x$ are equivalent), for high-dimensions using them can be difficult. Why so? Largely because for Watson distributions even basic tasks such as maximum-likelihood are numerically challenging. To tackle the numerical difficulties some approximations have been derived---but these are either grossly inaccurate in high-dimensions (\emph{Directional Statistics}, Mardia & Jupp. 2000) or when reasonably accurate (\emph{J. Machine Learning Research, W. & C.P., v2}, Bijral \emph{et al.}, 2007, pp. 35--42), they lack theoretical justification. We derive new approximations to the maximum-likelihood estimates; our approximations are theoretically well-defined, numerically accurate, and easy to compute. We build on our parameter estimation and discuss mixture-modelling with Watson distributions; here we uncover a hitherto unknown connection to the "diametrical clustering" algorithm of Dhillon \emph{et al.} (\emph{Bioinformatics}, 19(13), 2003, pp. 1612--1619).

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