This problem is for you to see what two-dimensional plots of data will look like when the data are sampled from a variety of distributions. For this problem you will need a computer program that allows you to generate random numbers from given distributions. In each of the cases below, set the number of observations n = 300, and draw the indicated graphs. Few programs have easy-to-use functions to generate bivariate random numbers, so in this problem you will generate first the predictor X, then the response Y given X.
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