Random matrix approach to cross correlations in financial data (Q27346896)
Jump to navigation
Jump to search
scientific article
Language | Label | Description | Also known as |
---|---|---|---|
English | Random matrix approach to cross correlations in financial data |
scientific article |
Statements
Random matrix approach to cross correlations in financial data (English)
0 references
27 June 2002
0 references
June 2002
0 references
65
0 references
6
0 references
066126
0 references
1 reference
1 reference
1 reference
1 reference
1 reference
1 reference
1 reference
1 reference
1 reference
1 reference
1 reference
1 reference
1 reference
1 reference
1 reference
1 reference