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Changepoint detection in biometric data: retrospective nonparametric segmentation methods based on dynamic programming and sliding windows
Computer Research and Modeling, 2024, v. 16, no. 5, pp. 1295-1321This paper is dedicated to the analysis of medical and biological data obtained through locomotor training and testing of astronauts conducted both on Earth and during spaceflight. These experiments can be described as the astronaut’s movement on a treadmill according to a predefined regimen in various speed modes. During these modes, not only the speed is recorded but also a range of parameters, including heart rate, ground reaction force, and others, are collected. In order to analyze the dynamics of the astronaut’s condition over an extended period, it is necessary to perform a qualitative segmentation of their movement modes to independently assess the target metrics. This task becomes particularly relevant in the development of an autonomous life support system for astronauts that operates without direct supervision from Earth. The segmentation of target data is complicated by the presence of various anomalies, such as deviations from the predefined regimen, arbitrary and varying duration of mode transitions, hardware failures, and other factors. The paper includes a detailed review of several contemporary retrospective (offline) nonparametric methods for detecting multiple changepoints, which refer to sudden changes in the properties of the observed time series occurring at unknown moments. Special attention is given to algorithms and statistical measures that determine the homogeneity of the data and methods for detecting change points. The paper considers approaches based on dynamic programming and sliding window methods. The second part of the paper focuses on the numerical modeling of these methods using characteristic examples of experimental data, including both “simple” and “complex” speed profiles of movement. The analysis conducted allowed us to identify the preferred methods, which will be further evaluated on the complete dataset. Preference is given to methods that ensure the closeness of the markup to a reference one, potentially allow the detection of both boundaries of transient processes, as well as are robust relative to internal parameters.
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Statistically fair price for the European call options according to the discreet mean/variance model
Computer Research and Modeling, 2014, v. 6, no. 5, pp. 861-874Views (last year): 1.We consider a portfolio with call option and the corresponding underlying asset under the standard assumption that stock-market price represents a random variable with lognormal distribution. Minimizing the variance hedging risk of the portfolio on the date of maturity of the call option we find a fraction of the asset per unit call option. As a direct consequence we derive the statistically fair lookback call option price in explicit form. In contrast to the famous Black–Scholes theory, any portfolio cannot be regarded as risk-free because no additional transactions are supposed to be conducted over the life of the contract, but the sequence of independent portfolios will reduce risk to zero asymptotically. This property is illustrated in the experimental section using a dataset of daily stock prices of 37 leading US-based companies for the period from April 2006 to January 2013.
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Statistical analysis of bigrams of specialized texts
Computer Research and Modeling, 2020, v. 12, no. 1, pp. 243-254The method of the stochastic matrix spectrum analysis is used to build an indicator that allows to determine the subject of scientific texts without keywords usage. This matrix is a matrix of conditional probabilities of bigrams, built on the statistics of the alphabet characters in the text without spaces, numbers and punctuation marks. Scientific texts are classified according to the mutual arrangement of invariant subspaces of the matrix of conditional probabilities of pairs of letter combinations. The separation indicator is the value of the cosine of the angle between the right and left eigenvectors corresponding to the maximum and minimum eigenvalues. The computational algorithm uses a special representation of the dichotomy parameter, which is the integral of the square norm of the resolvent of the stochastic matrix of bigrams along the circumference of a given radius in the complex plane. The tendency of the integral to infinity testifies to the approximation of the integration circuit to the eigenvalue of the matrix. The paper presents the typical distribution of the indicator of identification of specialties. For statistical analysis were analyzed dissertations on the main 19 specialties without taking into account the classification within the specialty, 20 texts for the specialty. It was found that the empirical distributions of the cosine of the angle for the mathematical and Humanities specialties do not have a common domain, so they can be formally divided by the value of this indicator without errors. Although the body of texts was not particularly large, nevertheless, in the case of arbitrary selection of dissertations, the identification error at the level of 2 % seems to be a very good result compared to the methods based on semantic analysis. It was also found that it is possible to make a text pattern for each of the specialties in the form of a reference matrix of bigrams, in the vicinity of which in the norm of summable functions it is possible to accurately identify the theme of the written scientific work, without using keywords. The proposed method can be used as a comparative indicator of greater or lesser severity of the scientific text or as an indicator of compliance of the text to a certain scientific level.
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Mathematical models of combat and military operations
Computer Research and Modeling, 2020, v. 12, no. 4, pp. 907-920Modeling the fight against terrorist, pirate and robbery acts at sea is an urgent scientific task due to the prevalence of force acts and the insufficient number of works on this issue. The actions of pirates and terrorists are diverse. Using a base ship, they can attack ships up to 450–500 miles from the coast. Having chosen the target, they pursue it and use the weapons to board the ship. Actions to free a ship captured by pirates or terrorists include: blocking the ship, predicting where pirates might be on the ship, penetrating (from board to board, by air or from under water) and cleaning up the ship’s premises. An analysis of the special literature on the actions of pirates and terrorists showed that the act of force (and actions to neutralize it) consists of two stages: firstly, blocking the vessel, which consists in forcing it to stop, and secondly, neutralizing the team (terrorist groups, pirates), including penetration of a ship (ship) and its cleaning. The stages of the cycle are matched by indicators — the probability of blocking and the probability of neutralization. The variables of the act of force model are the number of ships (ships, boats) of the attackers and defenders, as well as the strength of the capture group of the attackers and the crew of the ship - the victim of the attack. Model parameters (indicators of naval and combat superiority) were estimated using the maximum likelihood method using an international database of incidents at sea. The values of these parameters are 7.6–8.5. Such high values of superiority parameters reflect the parties' ability to act in force acts. An analytical method for calculating excellence parameters is proposed and statistically substantiated. The following indicators are taken into account in the model: the ability of the parties to detect the enemy, the speed and maneuverability characteristics of the vessels, the height of the vessel and the characteristics of the boarding equipment, the characteristics of weapons and protective equipment, etc. Using the Becker model and the theory of discrete choice, the probability of failure of the force act is estimated. The significance of the obtained models for combating acts of force in the sea space lies in the possibility of quantitative substantiation of measures to protect the ship from pirate and terrorist attacks and deterrence measures aimed at preventing attacks (the presence of armed guards on board the ship, assistance from warships and helicopters).
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Modernization as a global process: the experience of mathematical modeling
Computer Research and Modeling, 2021, v. 13, no. 4, pp. 859-873The article analyzes empirical data on the long-term demographic and economic dynamics of the countries of the world for the period from the beginning of the 19th century to the present. Population and GDP of a number of countries of the world for the period 1500–2016 were selected as indicators characterizing the long-term demographic and economic dynamics of the countries of the world. Countries were chosen in such a way that they included representatives with different levels of development (developed and developing countries), as well as countries from different regions of the world (North America, South America, Europe, Asia, Africa). A specially developed mathematical model was used for modeling and data processing. The presented model is an autonomous system of differential equations that describes the processes of socio-economic modernization, including the process of transition from an agrarian society to an industrial and post-industrial one. The model contains the idea that the process of modernization begins with the emergence of an innovative sector in a traditional society, developing on the basis of new technologies. The population is gradually moving from the traditional sector to the innovation sector. Modernization is completed when most of the population moves to the innovation sector.
Statistical methods of data processing and Big Data methods, including hierarchical clustering were used. Using the developed algorithm based on the random descent method, the parameters of the model were identified and verified on the basis of empirical series, and the model was tested using statistical data reflecting the changes observed in developed and developing countries during the period of modernization taking place over the past centuries. Testing the model has demonstrated its high quality — the deviations of the calculated curves from statistical data are usually small and occur during periods of wars and economic crises. Thus, the analysis of statistical data on the long-term demographic and economic dynamics of the countries of the world made it possible to determine general patterns and formalize them in the form of a mathematical model. The model will be used to forecast demographic and economic dynamics in different countries of the world.
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Comparative analysis of statistical methods of scientific publications classification in medicine
Computer Research and Modeling, 2020, v. 12, no. 4, pp. 921-933In this paper the various methods of machine classification of scientific texts by thematic sections on the example of publications in specialized medical journals published by Springer are compared. The corpus of texts was studied in five sections: pharmacology/toxicology, cardiology, immunology, neurology and oncology. We considered both classification methods based on the analysis of annotations and keywords, and classification methods based on the processing of actual texts. Methods of Bayesian classification, reference vectors, and reference letter combinations were applied. It is shown that the method of classification with the best accuracy is based on creating a library of standards of letter trigrams that correspond to texts of a certain subject. It is turned out that for this corpus the Bayesian method gives an error of about 20%, the support vector machine has error of order 10%, and the proximity of the distribution of three-letter text to the standard theme gives an error of about 5%, which allows to rank these methods to the use of artificial intelligence in the task of text classification by industry specialties. It is important that the support vector method provides the same accuracy when analyzing annotations as when analyzing full texts, which is important for reducing the number of operations for large text corpus.
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Water consumption control model for regions with low water availability
Computer Research and Modeling, 2023, v. 15, no. 5, pp. 1395-1410This paper considers the problem of water consumption in the regions of Russia with low water availability. We provide a review of the existing methods to control quality and quantity of water resources at different scales — from households to worldwide. The paper itself considers regions with low “water availability” parameter which is amount of water per person per year. Special attention is paid to the regions, where this parameter is low because of natural features of the region, not because of high population. In such regions many resources are spend on water processing infrastructure to store water and transport water from other regions. In such regions the main water consumers are industry and agriculture.
We propose dynamic two-level hierarchical model which matches water consumption of a region with its gross regional product. On the top level there is a regional administration (supervisor) and on the lower level there are region enterprises (agents). The supervisor sets fees for water consumption. We study the model with Pontryagin’s maximum principle and provide agents’s optimal control in analytical form. For the supervisor’s control we provide numerical algorithm. The model has six free coefficients, which can be chosen so the model represents a particular region. We use data from Russia Federal State Statistics Service for identification process of a model. For numerical analysis we use trust region reflective algorithms. We provide calculations for a few regions with low water availability. It is shown that it is possible to reduce water consumption of a region more than by 20% while gross regional product drop is less than 10%.
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The use of syntax trees in order to automate the correction of LaTeX documents
Computer Research and Modeling, 2012, v. 4, no. 4, pp. 871-883Citations: 5 (RSCI).The problem is to automate the correction of LaTeX documents. Each document is represented as a parse tree. The modified Zhang-Shasha algorithm is used to construct a mapping of tree vertices of the original document to the tree vertices of the edited document, which corresponds to the minimum editing distance. Vertex to vertex maps form the training set, which is used to generate rules for automatic correction. The statistics of the applicability to the edited documents is collected for each rule. It is used for quality assessment and improvement of the rules.
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Forecasting the labor force dynamics in a multisectoral labor market
Computer Research and Modeling, 2021, v. 13, no. 1, pp. 235-250The article considers the problem of forecasting the number of employed and unemployed persons in a multisectoral labor market using a balance mathematical model of labor force intersectoral dynamics.
The balance mathematical model makes it possible to calculate the values of intersectoral dynamics indicators using only statistical data on sectoral employment and unemployment provided by the Federal State Statistics Service. Intersectoral dynamics indicators of labor force calculated for several years in a row are used to build trends for each of these indicators. The found trends are used to calculation of forecasted intersectoral dynamics indicators of labor force. The sectoral employment and unemployment of researched multisectoral labor market is forecasted based on values these forecasted indicators.
The proposed approach was applied to forecast the employed persons in the economic sectors of the Russian Federation in 2011–2016. The following types of trends were used to describe changes of intersectoral dynamics indicators values: linear, non-linear, constant. The procedure for selecting trends is clearly demonstrated by the example of indicators that determine the labor force movements from the “Transport and communications” sector to the “Healthcare and social services” sector, as well as from the “Public administration and military security, social security” sector to the “Education” sector.
Several approaches to forecasting was compared: a) naive forecast, within which the labor market indicators was forecasted only using a constant trend; b) forecasting based on a balance model using only a constant trend for all intersectoral dynamics indicators of labor force; c) forecasting directly by the number employed persons in economic sectors using the types of trends considered in the article; d) forecasting based on a balance model with the trends choice for each intersectoral dynamics indicators of labor force.
The article shows that the use of a balance model provides a better forecast quality compared to forecasting directly by the number of employed persons. The use of trends in intersectoral dynamics indicators improves the quality of the forecast. The article also provides analysis examples of the multisectoral labor market in the Russian Federation. Using the balance model, the following information was obtained: the labor force flows distribution outgoing from concrete sectors by sectors of the economy; the sectoral structure of the labor force flows ingoing in concrete sectors. This information is not directly contained in the data provided by the Federal State Statistics Service.
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Modeling the number of employed, unemployed and economically inactive population in the Russian Far East
Computer Research and Modeling, 2021, v. 13, no. 1, pp. 251-264Studies of the crisis socio-demographic situation in the Russian Far East require not only the use of traditional statistical methods, but also a conceptual analysis of possible development scenarios based on the synergy principles. The article is devoted to the analysis and modeling of the number of employed, unemployed and economically inactive population using nonlinear autonomous differential equations. We studied a basic mathematical model that takes into account the principle of pair interactions, which is a special case of the model for the struggle between conditional information of D. S. Chernavsky. The point estimates for the parameters are found using least squares method adapted for this model. The average approximation error was no more than 5.17%. The calculated parameter values correspond to the unstable focus and the oscillations with increasing amplitude of population number in the asymptotic case, which indicates a gradual increase in disparities between the employed, unemployed and economically inactive population and a collapse of their dynamics. We found that in the parametric space, not far from the inertial scenario, there are domains of blow-up and chaotic regimes complicating the ability to effectively manage. The numerical study showed that a change in only one model parameter (e.g. migration) without complex structural socio-economic changes can only delay the collapse of the dynamics in the long term or leads to the emergence of unpredictable chaotic regimes. We found an additional set of the model parameters corresponding to sustainable dynamics (stable focus) which approximates well the time series of the considered population groups. In the mathematical model, the bifurcation parameters are the outflow rate of the able-bodied population, the fertility (“rejuvenation of the population”), as well as the migration inflow rate of the unemployed. We found that the transition to stable regimes is possible with the simultaneous impact on several parameters which requires a comprehensive set of measures to consolidate the population in the Russian Far East and increase the level of income in terms of compensation for infrastructure sparseness. Further economic and sociological research is required to develop specific state policy measures.
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