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Continuing Example 9.10, the 21-dimensional vector X has correlation matrix RX with i, jth element

We use the observation vector Y = Y(n) = [Y1 ··· Yn]' to estimate X = X21. Find the LMSE estimate L (Y(n)) = (n)Y(n). Graph the mean square error e∗L(n) as a function of the number of observations n for φ0 ∈ {0.1, 0.5, 0.9}. Interpret your results. Does smaller φ0 or larger φ0 yield better estimates?

Example 9.10

The correlation matrix RX of a 21-dimensional random vector X has i, jth element

W is a random vector, independent of X, with expected value E[W] = 0 and diagonal correlation matrix RW = (0.1) I. Use the first n elements of Y = X+W to form a linear estimate of X21 and plot the mean square error of the optimum linear estimate as a function of n for

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