Research Article
Art Financial Risk Prediction Algorithm Based on Random Matrix
Table 2
Statistical table of R and C.
| Variable | Number of samples | Mean | Standard deviation | Minimum value | Maximum |
| Daily log rate of return | 1684969 | 9.1889 e – 005 | 0.0285 | −1.4632 | 1.0264 | Correlation coefficient | 969969 | 0.3486 | 0.0932 | −0.4734 | 1 |
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