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arXiv:0808.4067 [math.PR]AbstractReferencesReviewsResources

The diameter of sparse random graphs

Oliver Riordan, Nicholas Wormald

Published 2008-08-29, updated 2010-09-06Version 3

In this paper we study the diameter of the random graph $G(n,p)$, i.e., the the largest finite distance between two vertices, for a wide range of functions $p=p(n)$. For $p=\la/n$ with $\la>1$ constant, we give a simple proof of an essentially best possible result, with an $O_p(1)$ additive correction term. Using similar techniques, we establish 2-point concentration in the case that $np\to\infty$. For $p=(1+\epsilon)/n$ with $\epsilon\to 0$, we obtain a corresponding result that applies all the way down to the scaling window of the phase transition, with an $O_p(1/\epsilon)$ additive correction term whose (appropriately scaled) limiting distribution we describe. Combined with earlier results, our new results complete the determination of the diameter of the random graph $G(n,p)$ to an accuracy of the order of its standard deviation (or better), for all functions $p=p(n)$. Throughout we use branching process methods, rather than the more common approach of separate analysis of the 2-core and the trees attached to it.

Comments: 92 pages; expanded slightly with minor corrections; to appear in Combinatorics, Probability and Computing
Journal: Combinatorics, Probability and Computing 19 (2010), 835--926
Categories: math.PR, math.CO
Subjects: 05C80, 60C05
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