summary.copulaSampleSel object produced by summary.copulaSampleSel().
n.sim
The number of simulated coefficient vectors from the posterior distribution of the estimated model parameters. This is used
to calculate intervals for the association parameter, dispersion coefficient, for instance It may be increased if
more precision is required.
prob.lev
Probability of the left and right tails of the posterior distribution used for interval calculations.
digits
Number of digits printed in output.
signif.stars
By default significance stars are printed alongside output.
...
Other arguments.
Details
print.summary.copulaSampleSel prints model term summaries.