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Covariance

FunctionMatrixCovarianceLibrary "FunctionMatrixCovariance" In probability theory and statistics, a covariance matrix (also known as auto-covariance matrix, dispersion matrix, variance matrix, or variance–covariance matrix) is a square matrix giving the covariance between each pair of elements of a given random vector. Intuitively, the covariance matrix generalizes the notion of variance to multiple dimensions. As an example, the variation in a collection of random points in two-dimensional space cannot be characterized fully by a single number, nor would the variances in the `x` and `y` directions contain all of the necessary information; a `2 × 2` matrix would be necessary to fully characterize the two-dimensional variation. Any covariance matrix is symmetric and positive semi-definite and its main diagonal contains variances (i.e., the covariance of each element with itself). The covariance matrix of a random vector `X` is typically denoted by `Kxx`, `Σ` or `S`. ~wikipedia. method cov(M, bias)   Estimate Covariance matrix with provided data.   Namespace types: matrix   Parameters:      M (matrix) : `matrix` Matrix with vectors in column order.      bias (bool)   Returns: Covariance matrix of provided vectors. --- en.wikipedia.org numpy.org
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