Added an example in the original post. For clarity, I can get a parameter from each column in the prior dataframe. For example mu and sigma. Then I would have 5 mus and sigmas (or whatever other parameters) that I can model distributions from.
Added an example in the original post. For clarity, I can get a parameter from each column in the prior dataframe. For example mu and sigma. Then I would have 5 mus and sigmas (or whatever other parameters) that I can model distributions from.