Difference between revisions of "BiNormal"

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== Library ==
 
== Library ==
Multivariate Distributions library functions ([[media:Financial Library.ana|Financial Library.ana]])
+
Multivariate Distributions library functions ([[media:Multivariate Distributions.ana |Multivariate Distributions.ana]])
 
:Use '''File → Add Library...''' to add this library
 
:Use '''File → Add Library...''' to add this library
  

Revision as of 00:32, 24 February 2016


BiNormal(MeanVec, Sdeviations, I, correlationCoef)

A 2-D Normal (or Bi-variate Gaussian) distribution with the indicated individual standard deviations (>0) and the indicated correlation coefficient. The index «I» must have exactly 2 elements, «Sdeviations» must be indexed by «I».

Syntax:

BiNormal(MeanVec :numeric[I]; Sdeviations : positive[I]; I:IndexType; correlationCoef: number)

Library

Multivariate Distributions library functions (Multivariate Distributions.ana)

Use File → Add Library... to add this library

See Also

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