Simulate a number of regressions (2000 or more iterations) and get the sampling distribution for . Compare the empirical sampling distribution (mean, variance, shape) to the theory. Use the help()...


Simulate a number of regressions (2000 or more iterations) and get the sampling distribution for .
Compare the empirical sampling distribution (mean, variance, shape) to the theory.


Use the help() function to describe the arguments that are included in the summary(), matrix(), cbind(), and solve().



May 05, 2022
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