Hi, can someone please help me figure out how this book got the marginal posterior distribution for $\displaystyle \sigma^2$ because ive been trying to work it out for two days, and i failed..
i tried integrating but then i got confused
Hi, can someone please help me figure out how this book got the marginal posterior distribution for $\displaystyle \sigma^2$ because ive been trying to work it out for two days, and i failed..
i tried integrating but then i got confused