Suppose we have a method for simulating random variables from the distributions F 1 and F 2
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Suppose we have a method for simulating random variables from the distributions F1 and F2. Explain how to simulate from the distribution.
Give a method for simulating from
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F(x) = pF1(x) + (1– p)F2(x) 0
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to simulate from the distribution Fx p F1x 1 p F2x where 0 p 1 and you have methods for simulating r...View the full answer
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