| dbinorm {RandomFieldsUtils} | R Documentation |
The function calculates the value of a bivariate normal distribution with mean 0.
dbinorm (x, S)
x |
a matrix containing the x values and the y values in the first and second row respectively. Or it is a list of two vectors. |
S |
the covariance matrix; currently only diagonal matrix possible |
a vector according to the size of x
Martin Schlather, schlather@math.uni-mannheim.de, https://www.wim.uni-mannheim.de/schlather/
x <- matrix(1:6, nc=2) + 0.0 C <- diag(c(1,2)) dbinorm(x, C)