Accounting for regression to the mean under the bivariate t-distribution.

IF 1.6 3区 医学 Q3 HEALTH CARE SCIENCES & SERVICES
Statistical Methods in Medical Research Pub Date : 2024-09-01 Epub Date: 2024-08-08 DOI:10.1177/09622802241267808
Muhammad Umair, Manzoor Khan, Jake Olivier
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引用次数: 0

Abstract

Regression to the mean occurs when an unusual observation is followed by a more typical outcome closer to the population mean. In pre- and post-intervention studies, treatment is administered to subjects with initial measurements located in the tail of a distribution, and a paired sample t-test can be utilized to assess the effectiveness of the intervention. The observed change in the pre-post means is the sum of regression to the mean and treatment effects, and ignoring regression to the mean could lead to erroneous conclusions about the effectiveness of the treatment effect. In this study, formulae for regression to the mean are derived, and maximum likelihood estimation is employed to numerically estimate the regression to the mean effect when the test statistic follows the bivariate t-distribution based on a baseline criterion or a cut-off point. The pre-post degrees of freedom could be equal but also unequal such as when there is missing data. Additionally, we illustrate how regression to the mean is influenced by cut-off points, mixing angles which are related to correlation, and degrees of freedom. A simulation study is conducted to assess the statistical properties of unbiasedness, consistency, and asymptotic normality of the regression to the mean estimator. Moreover, the proposed methods are compared with an existing one assuming bivariate normality. The p-values are compared when regression to the mean is either ignored or accounted for to gauge the statistical significance of the paired t-test. The proposed method is applied to real data concerning schizophrenia patients, and the observed conditional mean difference called the total effect is decomposed into the regression to the mean and treatment effects.

双变量 t 分布下的均值回归核算。
当不寻常的观察结果之后出现更接近人群平均值的典型结果时,就会出现向平均值回归的现象。在干预前和干预后研究中,对初始测量值位于分布尾部的受试者进行治疗,可以利用配对样本 t 检验来评估干预的效果。观察到的干预前平均值的变化是向平均值回归和治疗效果的总和,忽略向平均值回归可能会导致对治疗效果的有效性得出错误的结论。本研究推导了回归均值的公式,并采用最大似然估计法对回归均值效应进行了数值估计,当检验统计量遵循基于基线标准或临界点的双变量 t 分布时。前后自由度可以相等,但也可以不相等,如数据缺失时。此外,我们还说明了均值回归如何受到临界点、与相关性有关的混合角和自由度的影响。我们进行了模拟研究,以评估均值回归估计器的无偏性、一致性和渐近正态性等统计特性。此外,还将所提出的方法与现有的假设二元正态的方法进行了比较。比较了忽略或考虑均值回归时的 p 值,以衡量配对 t 检验的统计意义。将所提出的方法应用于精神分裂症患者的真实数据,并将观察到的称为总效应的条件均值差异分解为均值回归效应和治疗效应。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
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来源期刊
Statistical Methods in Medical Research
Statistical Methods in Medical Research 医学-数学与计算生物学
CiteScore
4.10
自引率
4.30%
发文量
127
审稿时长
>12 weeks
期刊介绍: Statistical Methods in Medical Research is a peer reviewed scholarly journal and is the leading vehicle for articles in all the main areas of medical statistics and an essential reference for all medical statisticians. This unique journal is devoted solely to statistics and medicine and aims to keep professionals abreast of the many powerful statistical techniques now available to the medical profession. This journal is a member of the Committee on Publication Ethics (COPE)
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