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Consistency of the mean and the principal components of spatially distributed functional data

This paper develops a framework for the estimation of the functional mean and the functional principal components when the functions form a random field. More specifically, the data we study consist of curves $X(\mathbf{s}_k;t),t\in[0,T]$, observed at spatial points $\mathbf{s}_1,\mathbf{s}_2,\ldots,\mathbf{s}_N$. We establish conditions for the sample average (in space) of the $X(\mathbf{s}_k)$ to be a consistent estimator of the population mean function, and for the usual empirical covariance operator to be a consistent estimator of the population covariance operator. These conditions involve an interplay of the assumptions on an appropriately defined dependence between the functions $X(\mathbf{s}_k)$ and the assumptions on the spatial distribution of the points $\mathbf{s}_k$. The rates of convergence may be the same as for i.i.d. functional samples, but generally depend on the strength of dependence and appropriately quantified distances between the points $\mathbf{s}_k$. We also formulate conditions for the lack of consistency.

preprint2013arXivOpen access

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