Researcher profile

Petar M. Djurić

Petar M. Djurić contributes to research discovery and scholarly infrastructure.

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Published work

3 published item(s)

preprint2026arXiv

Designing an Optimal Sensor Network via Minimizing Information Loss

Optimal experimental design is a classic topic in statistics, with many well-studied problems, applications, and solutions. The design problem we study is the placement of sensors to monitor spatiotemporal processes, explicitly accounting for the temporal dimension in our modeling and optimization. We observe that recent advancements in computational sciences often yield large datasets based on physics-based simulations, which are rarely leveraged in experimental design. We introduce a novel model-based sensor placement criterion, along with a highly-efficient optimization algorithm, which integrates physics-based simulations and Bayesian experimental design principles to identify sensor networks that "minimize information loss" from simulated data. Our technique relies on sparse variational inference and (separable) Gauss-Markov priors, and thus may adapt many techniques from Bayesian experimental design. We validate our method through a case study monitoring air temperature in Phoenix, Arizona, using state-of-the-art physics-based simulations. Our results show our framework to be superior to random or quasi-random sampling, particularly with a limited number of sensors. We conclude by discussing practical considerations and implications of our framework, including more complex modeling tools and real-world deployments.

preprint2026arXiv

Sequential Inference for Gaussian Processes: A Signal Processing Perspective

The proliferation of capable and efficient machine learning (ML) models marks one of the strongest methodological shifts in signal processing (SP) in its nearly 100-year history. ML models support the development of SP systems that represent complex, nonlinear relationships with high predictive accuracy. Adapting these models often requires sequential inference, which differs both theoretically and methodologically from the usual paradigm of ML, where data are often assumed independent and identically distributed. Gaussian processes (GPs) are a flexible yet principled framework for modeling random functions, and they have become increasingly relevant to SP as statistical and ML methods assume a more prominent role. We provide a self-contained, tutorial-style overview of GPs, with a particular focus on recent methodological advances in sequential, incremental, or streaming inference. We introduce these techniques from a signal-processing perspective while bridging them to recent advances in ML. Many of the developments we survey have direct applications to state-space modeling, sequential regression and forecasting, anomaly detection in time series, sequential Bayesian optimization, adaptive and active sensing, and sequential detection and decision-making. By organizing these advances from a signal-processing perspective, we intend to equip practitioners with practical tools and a coherent roadmap for deploying sequential GP models in real-world systems.

preprint2022arXiv

Fusion of Probability Density Functions

Fusing probabilistic information is a fundamental task in signal and data processing with relevance to many fields of technology and science. In this work, we investigate the fusion of multiple probability density functions (pdfs) of a continuous random variable or vector. Although the case of continuous random variables and the problem of pdf fusion frequently arise in multisensor signal processing, statistical inference, and machine learning, a universally accepted method for pdf fusion does not exist. The diversity of approaches, perspectives, and solutions related to pdf fusion motivates a unified presentation of the theory and methodology of the field. We discuss three different approaches to fusing pdfs. In the axiomatic approach, the fusion rule is defined indirectly by a set of properties (axioms). In the optimization approach, it is the result of minimizing an objective function that involves an information-theoretic divergence or a distance measure. In the supra-Bayesian approach, the fusion center interprets the pdfs to be fused as random observations. Our work is partly a survey, reviewing in a structured and coherent fashion many of the concepts and methods that have been developed in the literature. In addition, we present new results for each of the three approaches. Our original contributions include new fusion rules, axioms, and axiomatic and optimization-based characterizations; a new formulation of supra-Bayesian fusion in terms of finite-dimensional parametrizations; and a study of supra-Bayesian fusion of posterior pdfs for linear Gaussian models.