An Alternative to the Methodology for Analysis of Covariance
- 1 September 1978
- journal article
- Published by Cambridge University Press (CUP) in Psychometrika
- Vol. 43 (3) , 381-396
- https://doi.org/10.1007/bf02293647
Abstract
A general statistical model for simultaneous analysis of data from several groups is described. The model is primarily designed to be used for the analysis of covariance. The model can handle any number of covariates and criterion variables, and any number of treatment groups. Treatment effects may be assessed when the treatment groups are not randomized. In addition, the model allows for measurement errors in the criterion variables as well as in the covariates. A wide variety of hypotheses concerning the parameters of the model can be tested by means of a large sample likelihood ratio test. In particular, the usual assumptions of ANCOVA may be tested.Keywords
This publication has 10 references indexed in Scilit:
- DETECTION OF CORRELATED ERRORS IN LONGITUDINAL DATABritish Journal of Mathematical and Statistical Psychology, 1975
- A GENERAL METHOD FOR STUDYING DIFFERENCES IN FACTOR MEANS AND FACTOR STRUCTURE BETWEEN GROUPSBritish Journal of Mathematical and Statistical Psychology, 1974
- Simultaneous factor analysis in several populationsPsychometrika, 1971
- Statistical Analysis of Sets of Congeneric TestsPsychometrika, 1971
- Analysis of Covariance: A Delicate InstrumentAmerican Educational Research Journal, 1969
- Errors of Measurement in StatisticsTechnometrics, 1968
- A paradox in the interpretation of group comparisons.Psychological Bulletin, 1967
- A Rapidly Convergent Descent Method for MinimizationThe Computer Journal, 1963
- Large-Sample Covariance Analysis when the Control Variable is FallibleJournal of the American Statistical Association, 1960
- Interpretation of Adjusted Treatment Means and Regressions in Analysis of CovarianceBiometrics, 1957