rmvnorm: Generates random observations for the normal distribution

Description Usage Arguments Value

Description

Generates random observations for the normal distribution

Usage

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rmvnorm(n, mean = rep(0, nrow(sigma)), sigma = diag(length(mean)),
  method = c("eigen", "svd", "chol"))

Arguments

n

number of random observations.

mean

a mean vector with length p.

sigma

a covariance matrix of dimension pxp.

method

used for inverse (eigen, svd, chol).

Value

gernerates random observations for the normal distribution.


fitmixst4 documentation built on Sept. 29, 2019, 3 p.m.

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