Dear all, I have a strongly balanced panel dataset of 46 entities x11 years. Observed vars are not normally distributed
How should I simulate the ov ? I do not know the distribution Can somebody pl help --------------------------T&R ... Deva, [[alternative HTML version deleted]] ______________________________________________ R-help@r-project.org mailing list -- To UNSUBSCRIBE and more, see https://stat.ethz.ch/mailman/listinfo/r-help PLEASE do read the posting guide http://www.R-project.org/posting-guide.html and provide commented, minimal, self-contained, reproducible code.