- Let X₁, he pdf is x₁ be a random sample from a normal distribution N(µ‚σ²) " 50 1 f (x | μ41₂0² ) = √ √ 27 exp{- with vector parametr (µ,σ²) The likelihood function is L(µ‚0²) = ƒ (Xx,,.., X,„;µ‚,0²) = Í] [ = exp{-- 3}] i=1 O√√2π = (x-μ)² 20² 1 (√√√27) exp{- συ2π 20² Σ (x²-44)²) i=1 In[ƒ(x; , . . . , x„; µ‚ σ²)] = − 12 | In (2πσ7) (xi-μ)²₂ 20² 1 20² Σ(x; – μ)

MATLAB: An Introduction with Applications
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ISBN:9781119256830
Author:Amos Gilat
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Deduce the estimators for the paparmeters of normally distributed poulation using Maximum Liklihood
Let X₁, ..., Xp
the pdf is
x₁ be a random sample from a normal distribution N(µ,σ²)
SO
ƒ (x | 14₂ 0²³) = √ √ √ 27° (x-µ)²
1
= exp{-
20²
with vector parametr (µ,0²)
➤ The likelihood function is
L(µ‚0²) = ƒ (x,,...,x„; µ‚0²) = Ï] [-
i=1
=
In[ƒ(x₁, . . . , x₁; µ, σ²)]
1
συ2π
n
1
1
(0√27) "exp(-20²2 Σ (x-μ)²}
=)"
i=1
=
2
(x₁
exp{-(x-μ)²}]
20²
In (2πσ²)
1
20²
Σ(x; -μ)²
Transcribed Image Text:Let X₁, ..., Xp the pdf is x₁ be a random sample from a normal distribution N(µ,σ²) SO ƒ (x | 14₂ 0²³) = √ √ √ 27° (x-µ)² 1 = exp{- 20² with vector parametr (µ,0²) ➤ The likelihood function is L(µ‚0²) = ƒ (x,,...,x„; µ‚0²) = Ï] [- i=1 = In[ƒ(x₁, . . . , x₁; µ, σ²)] 1 συ2π n 1 1 (0√27) "exp(-20²2 Σ (x-μ)²} =)" i=1 = 2 (x₁ exp{-(x-μ)²}] 20² In (2πσ²) 1 20² Σ(x; -μ)²
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