协变量自适应随机化后的推理:方法论和理论方面

IF 0.7 Q3 STATISTICS & PROBABILITY
J. Shao
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引用次数: 5

摘要

Covariate自适应随机化在临床试验中有超过45年的应用历史,目的是在可能影响感兴趣结果的预后因素之间平衡治疗分配。然而,直到2010年发表了一篇关于检验假设理论的论文,几乎没有关于协变量自适应随机化的理论。在这篇文章中,我们回顾了过去十年中在协变量自适应随机化下发展的统计推断方法和理论。我们关注的问题包括,当实际随机化是协变量自适应的时,在假设治疗完全随机分配的情况下有效的传统程序是否仍然有效或保守,如何通过修改传统方法或直接通过对随机化中使用的协变量进行分层来获得有效的推理程序,当协变量自适应随机化方案具有不同程度的平衡分配时,推理过程是否具有不同的性质,以及如何在推理过程中进一步调整协变量以获得更高的效率。在审查期间提出了建议,并讨论了进一步的研究问题。
本文章由计算机程序翻译,如有差异,请以英文原文为准。
Inference after covariate-adaptive randomisation: aspects of methodology and theory
Covariate-adaptive randomisation has a more than 45 years of history of applications in clinical trials, in order to balance treatment assignments across prognostic factors that may have influence on the outcomes of interest. However, almost no theory had been developed for covariate-adaptive randomisation until a paper on the theory of testing hypotheses published in 2010. In this article, we review aspects of methodology and theory developed in the last decade for statistical inference under covariate-adaptive randomisation. We focus on issues such as whether a conventional procedure valid under the assumption that treatments are assigned completely at random is still valid or conservative when the actual randomisation is covariate-adaptive, how a valid inference procedure can be obtained by modifying a conventional method or directly constructed by stratifying the covariates used in randomisation, whether inference procedures have different properties when covariate-adaptive randomisation schemes have different degrees of balancing assignments, and how to further adjust covariates in the inference procedures to gain more efficiency. Recommendations are made during the review and further research problems are discussed.
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来源期刊
CiteScore
0.90
自引率
20.00%
发文量
21
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