MIXED MODELS FOR REPEATED (LONGITUDINAL) …
Mixed Models for Repeated (Longitudinal) Data—Part 2
DAVID C. HOWELL 4/1/2010
Part 1 of this document can be found at
Models for Repeated Measures1.pdf
Mixed Models by a More Traditional Route
Because I was particularly interested in the analysis of variance, in Part 1 I approached the problem of mixed models first by looking at the use of the repeated statement in Proc mixed. Remember that our main problem in any repeated measures analysis is to handle the fact that when we have several observations from the same subject, our error terms are often going to be correlated. This is true whether the covariances fit the compound symmetry structure or we treat them as unstructured or autoregressive. But there is another way to get at this problem. Look at the completely fictitious data shown below.
[pic]
Now look at the pattern of correlations.
Correlations
| |
|Effect |Num DF |Den DF |F Value |Pr > F | |
|Group |17.011 |15.674 |18.709 |18.03 |8.97 |
|Time |35.459 |33.471 |37.960 |29.55 |27.34 |
|Group * Time | 5.901 |5.326 |7.292 |7.90 |2.81 |
I will freely admit that I don’t know exactly how to evaluate these results, but they are at least in line with each other except for the last column when uses casewise deletion. I find them encouraging.
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