Random matrix approach to cross correlations in financial data (Q27346896)

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Random matrix approach to cross correlations in financial data
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    Random matrix approach to cross correlations in financial data (English)
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    Vasiliki Plerou
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    Parameswaran Gopikrishnan
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    Bernd Rosenow
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    Luís A. Nunes Amaral
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    Thomas Guhr
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    27 June 2002
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    June 2002
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    65
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    6
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    066126
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