For μ,σ I effectively created a quasi-cumulative distribution with the parameter pairs as the x-axis.
μ1,σ1. μ2,σ1. μ3,σ1 … μ1,σ2. μ2,σ2. μ3,σ2 … μn,σm
The random number defines the relevant point on the y-axis. From there I get the corresponding μ,σ pair from the x-axis.
If this method works I’ll probably have to code the whole thing instead of using a spreadsheet as I don’t have nearly enough μ,σ values to get a good answer currently.
For μ,σ I effectively created a quasi-cumulative distribution with the parameter pairs as the x-axis.
μ1,σ1. μ2,σ1. μ3,σ1 … μ1,σ2. μ2,σ2. μ3,σ2 … μn,σm
The random number defines the relevant point on the y-axis. From there I get the corresponding μ,σ pair from the x-axis.
If this method works I’ll probably have to code the whole thing instead of using a spreadsheet as I don’t have nearly enough μ,σ values to get a good answer currently.
At what point is the data used?
I use it to determine the relative probabilities of each μ,σ pair which in turn create the pseudo cdf.
Ok, that sounds right.