1. Introduction
Let
,
,
,
,
,
, as usual, denote the sets of primes, positive integers, non-negative integers, integers, real, and complex numbers, respectively,
a complex variable,
,
Q a positive-defined
matrix, and
for
. In [
1], Epstein considered a problem to find a zeta-function as general as possible and having a functional equation of the Riemann type. For
, he defined the function
Now, this function is called the Epstein zeta-function. It is analytically continuable to the whole complex plane, except for a simple pole at the point
with residue
where
is the Euler gamma-function. Epstein also proved that the function
satisfies the functional equation
for all
.
It turned out that the Epstein zeta-function is an important object in number theory, with a series of practical applications, for example, in crystallography [
2] and mathematical physics, more precisely, in quantum field theory and the Wheeler–DeWitt equation [
3,
4].
The value distribution of
, like that of other zeta-functions, is complicated, and has been studied by many authors including Hecke [
5], Selberg [
6], Iwaniec [
7], Bateman [
8], Fomenko [
9], and Pańkowski and Nakamura [
10]. In Refs. [
11,
12], the characterisation of the asymptotic behaviour of
was given in terms of probabilistic limit theorems. The latter approach for the Riemann zeta-function
was proposed by Bohr in [
13], and realised in [
14,
15]. Denote by
the Borel
-field of the space
, and by meas
A the Lebesgue measure of a measurable set
. For
, define
Under the restrictions that
for all
, and
is even, it was shown [
11] that
, for
, converges weakly to an explicitly given probability measure
as
. The discrete version of the latter theorem was given in [
12].
The above restrictions on the matrix
Q and [
9] imply the decomposition
with the zeta-function
of a certain Eisenstein series, and the zeta-function
of a certain cusp form.
Let
be a Dirichlet character modulo
q, and
the corresponding Dirichlet
L-function having analytic continuation to the whole complex plane if
is a non-principal character, and except for a simple pole at the point
if
is the principal character. Then, (
1) and [
5,
7] lead to the representation
where
and
are Dirichlet characters,
,
, and the series with coefficients
converges absolutely in the half-plane
. Thus, the investigation of the function
reduces to that of Dirichlet
L-functions which, for
, have the Euler product
Our aim is to describe in probabilistic terms the joint asymptotic behaviour of the function
and a zeta-function having no Euler product over primes. For this, the most suitable function is the classical Hurwitz zeta-function. Let
be a fixed parameter. The Hurwitz zeta-function
was introduced in [
16], and is defined, for
, by
Moreover,
has analytic continuation to the whole complex plane, except for a simple pole at the point
with residue 1,
, and
The analytic properties of the function
depend on the arithmetic nature of the parameter
. Some probabilistic limit theorems for the function
can be found, for example, in [
17].
The statement of a joint limit theorem for the functions
and
requires some notation. Denote two tori
With the product topology and pointwise multiplication,
and
are compact topological Abelian groups. Therefore,
again is a compact topological group. Hence, on
, the Haar probability measure
exists, and we have the probability space
. Denote the elements of
by
, where
and
, and, on the probability space
define, for
and
, the
-valued random element
where
,
with
and
Let
Moreover, denote by
the distribution of the random element
, i.e.,
The main result of the paper is the following joint limit theorem of Bohr–Jessen type for the functions
and
.
Theorem 1. Suppose that the set is linearly independent over the field of rational numbers , and , . Then,converges weakly to the measure as . For example, if the parameter is transcendental, then the set is linearly independent over .
It should be emphasised that the requirements on the matrix
Q are related to a possibility of representation of non-negative integers by the quadratic form
,
. Let
,
denotes the number of
that
. Then, for even
, the theta-series
can be expressed as a sum of an Eisenstein series and a cusp form [
9], and this leads to the representation (
1). Moreover, the requirement on the linear independence over
of the set
is necessary for the identification of the limit measure in Theorem 1. This restriction for
is used essentially in the proofs of Lemmas 1 and 5, and thus, in the proof of Theorem 1.
We divide the proof of Theorem 1 into several lemmas, which are limit theorems in some spaces for certain auxiliary objects. The crucial aspect of the proof lies in the identification of the limit measure.
7. Proof of Theorem 1
Let
and
. Obviously,
is an element of
. Using
, define a transformation
by
In virtue of the invariance of the Haar measure
,
is a measurable measure preserving transformation on
. Then,
is the one-parameter group of transformations on
. A set
is invariant with respect to
if for every
the sets
and
A can differ one from another at most by a set of
-measure zero. All invariant sets form a
-subfield of
. We say that the group
is ergodic if its
-field of invariant sets consists only of sets having
-measure 1 or 0.
Lemma 5. Suppose that the set is linearly independent over . Then, the group is ergodic.
Proof. We fix an invariant set A of the group , and consider its indicator function . We will prove that, for almost all , or . For this, we will use the Fourier transform method.
By the proof of Lemma 1, we know that characters
of
are of the form
where the star “∗” indicates that only a finite number of integers
and
are non-zero. Hence, if
is a non-trivial character,
Since
is a non-principal character, i.e.,
. The linear independence of the set
shows that
for
and
. These remarks imply the existence of
such that
Moreover, by the invariance of
A, for almost all
,
Let
denote the Fourier transform of
h. Then, by (
22), the invariance of
, and the multiplicativity of characters
Thus, (
21) gives
Now, suppose that
and
. Then,
by orthogonality of characters. This, and (
23), gives
The latter equality shows that
for almost all
. In other words,
or
for almost all
. Thus,
or
for almost all
. Therefore,
or
, and the proof is complete. □
For convenience, we recall the classical Birkhoff–Khintchine ergodic theorem; see, for example, [
20].
Lemma 6. Suppose that a random process is ergodic with finite expectation , and we sample paths integrable almost surely in the Riemann sense over every finite interval. Then, for almost all ω, Proof of Theorem 1. In virtue of Proposition 1, it suffices to identify the limit measure in it, i.e., to show that .
Let
be a continuity set of the measure
(
A is a continuity set of the measure
P if
, where
is the boundary of
A). Then, by Proposition 1, for almost all
,
On the probability space
, define the random variable
Obviously,
By Lemma 5, the random process
is ergodic. Therefore, an application of Lemma 6 yields
for almost all
. On the other hand, from the definitions of
and
, we have
Therefore, equalities (
25) and (
26), for almost all
, lead to
This, together with (
24), shows that
Since
A is an arbitrary continuity set of
, equality (
27) is valid for all
. This proves the theorem. □
8. Concluding Remarks
Theorem 1 shows that, for sufficiently large T, the value density of the pair is close to a certain probabilistic distribution. Unfortunately, the distribution of is too complicated; it is defined only for almost all . Hence, it is impossible to give a visualisation of .
We plan to further investigate the joint value distribution of the Epstein and Hurwitz zeta-functions using probabilistic methods. First, we will prove the discrete version of Theorem 1, i.e., the weak convergence for
as
. Here,
denotes the cardinality of the set
, and
are fixed positive numbers. Further, we will obtain extensions of limit theorems in the space
for the pair
to the space
, where
, and
is the space of analytic in
D functions endowed with the topology of uniform convergence on compacta. Using the limit theorems in
, we expect to obtain some results on approximation of a pair of analytic functions by shifts
. This would be the most important application of probabilistic limit theorems in function theory and practice.