Bayesian solution to the inverse problem and its relation to Backus-Gilbert methods

被引:0
|
作者
Del Debbio, Luigi [1 ]
Lupo, Alessandro [2 ]
Panero, Marco [3 ,4 ,5 ,6 ]
Tantalo, Nazario [7 ]
机构
[1] Univ Edinburgh, Higgs Ctr Theoret Phys, Sch Phys & Astron, Peter Guthrie Tait Rd, Edinburgh EH9 3FD, Scotland
[2] Univ Toulon & Var, Aix Marseille Univ, CNRS, CPT, Marseille, France
[3] Univ Turin, Dept Phys, Via Pietro Giuria 1, I-20125 Turin, Italy
[4] INFN, Via Pietro Giuria 1, I-20125 Turin, Italy
[5] Univ Helsinki, Dept Phys, PL 64, Helsinki 00014, Finland
[6] Univ Helsinki, Helsinki Inst Phys, PL 64, Helsinki 00014, Finland
[7] Univ & INFN Roma Tor Vergata, Via Ric Sci 1, I-00133 Rome, Italy
来源
EUROPEAN PHYSICAL JOURNAL C | 2025年 / 85卷 / 02期
关键词
D O I
10.1140/epjc/s10052-025-13885-9
中图分类号
O412 [相对论、场论]; O572.2 [粒子物理学];
学科分类号
摘要
The problem of obtaining spectral densities from lattice data has been receiving great attention due to its importance in our understanding of scattering processes in Quantum Field Theory, with applications both in the Standard Model and beyond. The problem is notoriously difficult as it amounts to performing an inverse Laplace transform, starting from a finite set of noisy data. Several strategies are now available to tackle this inverse problem. In this work, we discuss how Backus-Gilbert methods, in particular the variation introduced by some of the authors, relate to the solution based on Gaussian Processes. Both methods allow computing spectral densities smearing with a kernel whose features depend on the detail of the algorithm. We will discuss such kernel, and show how Backus-Gilbert methods can be understood in a Bayesian fashion. As a consequence of this correspondence, we are able to interpret the algorithmic parameters of Backus-Gilbert methods as hyperparameters in the Bayesian language, which can be chosen by maximising a likelihood function. By performing a comparative study on lattice data, we show that, when both frameworks are set to compute the same quantity, the results are generally in agreement. Finally, we adopt a strategy to systematically validate both methodologies against pseudo-data, using covariance matrices measured from lattice simulations. In our setup, we find that the determination of the algorithmic parameters based on a stability analysis provides results that are, on average, more conservative than those based on the maximisation of a likelihood function.
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页数:14
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