Output: Two normal distributions (both mean and variance
are unknown)
Posterior means, posterior standard deviations and 95%
credible intervals (Inference->Samples->stats)

Sample path (history)





Posterior probability densities
(Inference->Samples->density)




Sample autocorrelation function
(Inference->Samples->auto corr)






Running quantile plot (Inference->Samples->quantiles)





Scatter plots (Inference->Correlationsc)





