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  • An Introduction to Random Matrix Theory
    Aygul Zagidullina
    978-3-030-80065-9
    2021
    Edition 1
    • Presents random matrix theory and covariance matrix estimation under high-dimensional asymptotics
    • Demonstrates the deficiencies of the standard statistical tools when applied in high dimensions
    • Encourages practitioners to use the new techniques when dealing with big data problems

    €140

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