Skip to main content
. 2022 Feb 21;21:58. doi: 10.1186/s12936-022-04072-2

Fig. 6.

Fig. 6

Marginal posterior distributions for parameters inferred from simulated data. The marginal posterior distributions are reported for each inference setting from its respective simulated data set. Each line denotes the true value of the parameter, and the grey shapes represent the prior distributions of the parameters. Inference settings in which a given parameter was not estimated are indicated by NA