Shortest Path Problem

The dataset used in the paper is a multivariate normal distribution with a mean of zero and standard deviation of one for each covariate ζi and travel time ξ(i,j) with a standard deviation that matches the deviation present in Kallus and Mao (2023)’s dataset yet both the correlation and mean vector are treated differently.

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Cite this as

Jayanta Mandi, V´ıctor Bucarey, Maxime Mulamba, Tias Guns (2024). Dataset: Shortest Path Problem. https://doi.org/10.57702/uoifouy5

DOI retrieved: December 17, 2024

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Created December 17, 2024
Last update December 17, 2024
Defined In https://doi.org/10.48550/arXiv.2112.03609
Citation
  • https://doi.org/10.48550/arXiv.2306.05937
Author Jayanta Mandi
More Authors
V´ıctor Bucarey
Maxime Mulamba
Tias Guns
Homepage https://arxiv.org/abs/2203.12345