no code implementations • 29 Sep 2023 • Amir Hossein Saberi, Amir Najafi, Alireza Heidari, Mohammad Hosein Movasaghinia, Abolfazl Motahari, Babak H. Khalaj
From a theoretical standpoint, we apply our framework on the classification problem of a mixture of two Gaussians in $\mathbb{R}^d$, where in addition to the $m$ independent and labeled samples from the true distribution, a set of $n$ (usually with $n\gg m$) out of domain and unlabeled samples are given as well.