The optim::DIST function of the Spsann package optimizes sampling according to the marginal distribution of the covariates. Does this mean that this function will consider the maximum and minimum values of the covariates which can favor a linear model?
The optim::DIST function of the Spsann package optimizes sampling according to the marginal distribution of the covariates. Does this mean that this function will consider the maximum and minimum values of the covariates which can favor a linear model?