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Generate a bivariate normal distribution with mean vector (1=0,2=2), standard error 01=1,02=0.5, and correlation p=0.75, using Gibbs sampling. A) Work out the conditional marginal

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Generate a bivariate normal distribution with mean vector (1=0,2=2), standard error 01=1,02=0.5, and correlation p=0.75, using Gibbs sampling. A) Work out the conditional marginal distribution of x1 and x2. B) Write R code to generate random vector (x1,x2) using Gibbs sampling. :

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