Description Usage Format Source
The data set is used in Sample 3.4. The data set consists of 2 variables and 10 observations. This data is simulated from multivariate normal distribition with mean vector (5,10) and covariance matrix [9,10,10,25].
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A data frame with 10 rows and 2 variables.
The data set is used in the book entitled Multivariate Statistical Methods with R Applications (R Uygulamalari ile Cok Degiskenli Istatistiksel Yontemler), H.Bulut (2018).
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