Difference between revisions of "Normal serial correl"
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− | [[Category:Multivariate Distribution Functions]] | + | [[Category: Multivariate Distribution Functions]] |
− | [[Category:Doc Status C]] <!-- For Lumina use, do not change --> | + | [[Category: Multivariate Distributions library functions]] |
+ | [[Category: Doc Status C]] <!-- For Lumina use, do not change --> | ||
== Normal_serial_correl(x, r, i) == | == Normal_serial_correl(x, r, i) == |
Revision as of 18:44, 23 February 2016
Normal_serial_correl(x, r, i)
Generates an array over index «i» of normal distributions with mean «m», standard deviation s, and correlation «r» between successive values over index «i». You can give each distribution a different mean and/or standard deviation if m and/or s are arrays indexed by «i». If «r» is indexed by «i», r[i = k] specifies the correlation between result[i = k] and result[i = k - 1]. (Then the first correlation, slice(r, i, 1) is ignored.)
Library
Multivariate Distributions.ana
See Also
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