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Estimation of the number of spiked eigenvalues in a covariance matrix by bulk eigenvalue matching analysis

The spiked covariance model has gained increasing popularity in high-dimensional data analysis. A fundamental problem is determination of the number of spiked eigenvalues, $K$. For estimation of $K$, most attention has focused on the use of $top$ eigenvalues of sample covariance matrix, and there is little investigation into proper ways of utilizing $bulk$ eigenvalues to estimate $K$. We propose a principled approach to incorporating bulk eigenvalues in the estimation of $K$. Our method imposes a working model on the residual covariance matrix, which is assumed to be a diagonal matrix whose entries are drawn from a gamma distribution. Under this model, the bulk eigenvalues are asymptotically close to the quantiles of a fixed parametric distribution. This motivates us to propose a two-step method: the first step uses bulk eigenvalues to estimate parameters of this distribution, and the second step leverages these parameters to assist the estimation of $K$. The resulting estimator $\hat{K}$ aggregates information in a large number of bulk eigenvalues. We show the consistency of $\hat{K}$ under a standard spiked covariance model. We also propose a confidence interval estimate for $K$. Our extensive simulation studies show that the proposed method is robust and outperforms the existing methods in a range of scenarios. We apply the proposed method to analysis of a lung cancer microarray data set and the 1000 Genomes data set.

preprint2021arXivOpen access

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