Index statistical properties of sparse random graphs KU Leuven
Using the replica method, we develop an analytical approach to compute the characteristic function for the probability P(N)(K,λ) that a large N×N adjacency matrix of sparse random graphs has K eigenvalues below a threshold λ. The method allows to determine, in principle, all moments of P(N)(K,λ), from which the typical sample-to-sample fluctuations can be fully characterized. For random graph models with localized eigenvectors, we show that the ...