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Spectral Analysis of Large Dimensional Random Matrices (Hardcover, 2nd ed. 2010) Loot Price: R6,799
Discovery Miles 67 990
Spectral Analysis of Large Dimensional Random Matrices (Hardcover, 2nd ed. 2010): Zhidong Bai, Jack W. Silverstein

Spectral Analysis of Large Dimensional Random Matrices (Hardcover, 2nd ed. 2010)

Zhidong Bai, Jack W. Silverstein

Series: Springer Series in Statistics

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Loot Price R6,799 Discovery Miles 67 990 | Repayment Terms: R637 pm x 12*

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The aim of the book is to introduce basic concepts, main results, and widely applied mathematical tools in the spectral analysis of large dimensional random matrices. The core of the book focuses on results established under moment conditions on random variables using probabilistic methods, and is thus easily applicable to statistics and other areas of science. The book introduces fundamental results, most of them investigated by the authors, such as the semicircular law of Wigner matrices, the Marcenko-Pastur law, the limiting spectral distribution of the multivariate F matrix, limits of extreme eigenvalues, spectrum separation theorems, convergence rates of empirical distributions, central limit theorems of linear spectral statistics, and the partial solution of the famous circular law. While deriving the main results, the book simultaneously emphasizes the ideas and methodologies of the fundamental mathematical tools, among them being: truncation techniques, matrix identities, moment convergence theorems, and the Stieltjes transform. Its treatment is especially fitting to the needs of mathematics and statistics graduate students and beginning researchers, having a basic knowledge of matrix theory and an understanding of probability theory at the graduate level, who desire to learn the concepts and tools in solving problems in this area. It can also serve as a detailed handbook on results of large dimensional random matrices for practical users.

This second edition includes two additional chapters, one on the authors' results on the limiting behavior of eigenvectors of sample covariance matrices, another on applications to wireless communications and finance. While attempting to bring this edition up-to-date on recent work, it also provides summaries of other areas which are typically considered part of the general field of random matrix theory.

General

Imprint: Springer-Verlag New York
Country of origin: United States
Series: Springer Series in Statistics
Release date: December 2009
First published: 2010
Authors: Zhidong Bai • Jack W. Silverstein
Dimensions: 235 x 155 x 38mm (L x W x T)
Format: Hardcover
Pages: 552
Edition: 2nd ed. 2010
ISBN-13: 978-1-4419-0660-1
Categories: Books > Science & Mathematics > Mathematics > Algebra > General
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LSN: 1-4419-0660-6
Barcode: 9781441906601

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