Figures & Tables
This reference is intended to give the geophysical signal analyst sufficient material to understand the usefulness of data covariance matrix analysis in the processing of geophysical signals. A background of basic linear algebra, statistics, and fundamental random signal analysis is assumed. This reference is unique in that the data vector covariance matrix is used throughout. Rather than dealing with only one seismic data processing problem and presenting several methods, we will concentrate on only one fundamental methodology—analysis of the sample covariance matrix—and we present many seismic data problems to which the methodology applies.