AI Article Synopsis

  • In social and behavioral sciences, reporting effect sizes and their variances is essential, but multivariate effect sizes have been less explored.
  • This study demonstrates how structural equation modeling (SEM) can effectively compute these multivariate effect sizes, focusing on the standardized mean difference in various study designs.
  • The research suggests that when dealing with multiple treatments and endpoints, it’s better to avoid assuming homogeneity of variances for estimating effect sizes, and it provides examples and simulations to support these findings.

Article Abstract

In the social and behavioral sciences, it is recommended that effect sizes and their sampling variances be reported. Formulas for common effect sizes such as standardized and raw mean differences, correlation coefficients, and odds ratios are well known and have been well studied. However, the statistical properties of multivariate effect sizes have received less attention in the literature. This study shows how structural equation modeling (SEM) can be used to compute multivariate effect sizes and their sampling covariance matrices. We focus on the standardized mean difference (multiple-treatment and multiple-endpoint studies) with or without the assumption of the homogeneity of variances (or covariance matrices) in this study. Empirical examples were used to illustrate the procedures in R. Two computer simulation studies were used to evaluate the empirical performance of the SEM approach. The findings suggest that in multiple-treatment and multiple-endpoint studies, when the assumption of the homogeneity of variances (or covariance matrices) is questionable, it is preferable not to impose this assumption when estimating the effect sizes. Implications and further directions are discussed.

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Source
http://www.ncbi.nlm.nih.gov/pmc/articles/PMC6107852PMC
http://dx.doi.org/10.3389/fpsyg.2018.01387DOI Listing

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