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When the additive Gaussian noise in the sensors' outputs is colored ( i.e. , the noise values are correlated in some fashion), the linearity of beamformingalgorithms means that the array processing output r also contains colored noise. The solution to the colored-noise, binary detection problemremains the likelihood ratio, but differs in the form of the a priori densities. The noise will again be assumed zero mean, but the noise vector has non-trivialcovariance matrix K : n 0 K . p n n 1 2 K 1 2 n K n In this case, the logarithm of the likelihood ratio is r s 1 K r s 1 r s 0 K r s 0 0 1 2 which, after the usual simplifications, is written r K s 1 s 1 K s 1 2 r K s 0 s 0 K s 0 2 0 1 The sufficient statistic for the colored Gaussian noise detection problem is

i r r K s i
The quantities computed for each signal have a similar, but more complicated interpretation than in the white noise case. r K s i is a dot product, but with respect to the so-called kernel K . The effect of the kernel is to weight certain components more heavily than others. A positive-definitesymmetric matrix (the covariance matrix is one such example) can be expressed in terms of its eigenvectors and eigenvalues. K k 1 L 1 k v k v k The sufficient statistic can thus be written as the complicated summation r K s i k 1 L 1 k r v k v k s i where k and v k denote the k th eigenvalue and eigenvector of the covariance matrix K . Each of the constituent dot products is largest when the signal and theobservation vectors have strong components parallel to v k . However, the product of these dot products is weighted by the reciprocal of the associatedeigenvalue. Thus, components in the observation vector parallel to the signal will tend to be accentuated; those componentsparallel to the eigenvectors having the smaller eigenvalues will receive greater accentuation than others. The usual notions of parallelism andorthogonality become "skewed" because of the presence of the kernel. A covariance matrix's eigenvalue has "units" ofvariance; these accentuated directions thus correspond to small noise variance. We can therefore view the weighted dot productas a computation that is simultaneously trying to select components in the observations similar to the signal, butconcentrating on those where the noise variance is small.

The second term in the expressions consistuting the optimal detector are of the form s i K s i . This quantity is a special case of the dot product just discussed. The two vectors involved in this dot productare identical; they are parallel by definition. The weighting of the signal components by the reciprocal eigenvalues remains.Recalling the units of the eigenvectors of K , s i t K s i has the units of a signal-to-noise ratio, which is computed in a way that enhances the contribution of those signalcomponents parallel to the "low noise" directions.

To compute the performance probabilities, we express the detection rule in terms of the sufficient statistic. r K s 1 s 0 0 1 1 2 s 1 K s 1 s 0 K s 0 The distribution of the sufficient statistic on the left side of this equation is Gaussian because it consists as a lineartransformation of the Gaussian random vector r . Assuming the i th model to be true, r K s 1 s 0 s i K s 1 s 0 s 1 s 0 K s 1 s 0 The false-alarm probability for the optimal Gaussian colored noise detector is given by

P F Q 1 2 s 1 s 0 K s 1 s 0 s 1 s 0 K s 1 s 0 1 2
As in the white noise case, the important signal-related quantity in this expression is the signal-to-noise ratio of thedifference signal. The distance interpretation of this quantity remains, but the distance is now warped by the kernel's presencein the dot product.

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Source:  OpenStax, Statistical signal processing. OpenStax CNX. Dec 05, 2011 Download for free at http://cnx.org/content/col11382/1.1
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