A simulated data set (see simulation 2 from Ondrus et al., 2021). The data is generated from a multivariate Gaussian distribution with 2 clusters, where the correlation between nodes in the same cluster is 0.75 and between different clusters is 0.2 for the first 100 time points. The vertex labels are randomly reshuflled for the second 100 time points. Hence, there is one change point at t=100.
A matrix with 200 rows and 80 columns/variables.
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