I have estimated my model using the CBC/HB program v5.5.3.

While I have managed to compute the standard errors from my individual-level estimates, I am actually mainly interested in reporting the posterior distribution of the parameters (i.e. mean, variance and covariances). In this regard, I was wondering whether the output provided by the software allows to compute the standard errors for the posterior distribution of the population parameters.

Would the standard deviation computed across the iterations used for estimation after convergence is assumed to be achieved (as reported in the _alpha.csv and _covariances.csv files) be a correct measure for the standard errors?

Thanks in advance and kind regards