Dear All, I often have to work with certain models in which I try to "reproduce" a distribution the best I can with very little known information avaible. Is there a package or function in R that could best reproduce a probability distribution using only the mean, median and SD values availble without knowing the actual distribution type to begin with and/or the covariance matrix (for more then 1 data set)? All I usually have reported availble is mean, median and SD. I hope I made my question clear enough... thanks, Andras [[alternative HTML version deleted]]
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