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1.
Circumplex models for correlation matrices   总被引:1,自引:0,他引:1  
Structural models that yield circumplex inequality patterns for the elements of correlation matrices are reviewed. Particular attention is given to a stochastic process defined on the circle proposed by T. W. Anderson. It is shown that the Anderson circumplex contains the Markov Process model for a simplex as a limiting case when a parameter tends to infinity.Anderson's model is intended for correlation matrices with positive elements. A replacement for Anderson's correlation function that permits negative correlations is suggested. It is shown that the resulting model may be reparametrzed as a factor analysis model with nonlinear constraints on the factor loadings. An unrestricted factor analysis, followed by an appropriate rotation, is employed to obtain parameter estimates. These estimates may be used as initial approximations in an iterative procedure to obtain minimum discrepancy estimates.Practical applications are reported.Presented as the 1992 Psychometric Society Presidential Address. I am greatly indebted to Stephen Du Toit for help in the development of the computer program employed here. Part of this research was carried out at the University of South Africa and at the Institute for Statistical Research of the South African Human Sciences Research Council.  相似文献   

2.
Yiu-Fai Yung 《Psychometrika》1997,62(3):297-330
In this paper, various types of finite mixtures of confirmatory factor-analysis models are proposed for handling data heterogeneity. Under the proposed mixture approach, observations are assumed to be drawn from mixtures of distinct confirmatory factor-analysis models. But each observation does not need to be identified to a particular model prior to model fitting. Several classes of mixture models are proposed. These models differ by their unique representations of data heterogeneity. Three different sampling schemes for these mixture models are distinguished. A mixed type of the these three sampling schemes is considered throughout this article. The proposed mixture approach reduces to regular multiple-group confirmatory factor-analysis under a restrictive sampling scheme, in which the structural equation model for each observation is assumed to be known. By assuming a mixture of multivariate normals for the data, maximum likelihood estimation using the EM (Expectation-Maximization) algorithm and the AS (Approximate-Scoring) method are developed, respectively. Some mixture models were fitted to a real data set for illustrating the application of the theory. Although the EM algorithm and the AS method gave similar sets of parameter estimates, the AS method was found computationally more efficient than the EM algorithm. Some comments on applying the mixture approach to structural equation modeling are made.Note: This paper is one of the Psychometric Society's 1995 Dissertation Award papers.—EditorThis article is based on the dissertation of the author. The author would like to thank Peter Bentler, who was the dissertation chair, for guidance and encouragement of this work. Eric Holman, Robert Jennrich, Bengt Muthén, and Thomas Wickens, who served as the committee members for the dissertation, had been very supportive and helpful. Michael Browne is appreciated for discussing some important points about the use of the approximate information in the dissertation. Thanks also go to an anonymous associate editor, whose comments were very useful for the revision of an earlier version of this article.  相似文献   

3.
Spatial,non-spatial and hybrid models for scaling   总被引:2,自引:0,他引:2  
In this paper, hierarchical and non-hierarchical tree structures are proposed as models of similarity data. Trees are viewed as intermediate between multidimensional scaling and simple clustering. Procedures are discussed for fitting both types of trees to data. The concept of multiple tree structures shows great promise for analyzing more complex data. Hybrid models in which multiple trees and other discrete structures are combined with continuous dimensions are discussed. Examples of the use of multiple tree structures and hybrid models are given. Extensions to the analysis of individual differences are suggested.1976 Psychometric Society Presidential Address.While people too numerous to list here have contributed ideas, inspiration, and other help, I particularly wish to acknowledge the contributions of Sandra Pruzansky, without whom this paper could not have been written. I would also like to acknowledge the past contributions of my long-time colleague Jih-Jie Chang, without whose help I probably would not have beenasked to write it.  相似文献   

4.
Scale invariance is a property shared by many covariance structure models employed in practice. An example is provided by the well-known LISREL model subject only to classical normalizations and zero constraints on the parameters. It is shown that scale invariance implies that the estimated covariannce matrix must satisfy certain equations, and the nature of these equations depends on the fitting function used. In this context, the paper considers two classes of fitting functions: weighted least squares and the class of functions proposed by Swain.Constructive comments by the referees are greatly appreciated. The author gratefully acknowledges Michael Browne's interest in his work.  相似文献   

5.
The present paper re-appraises connectionist attempts to explain how human cognitive development appears to progress through a series of sequential stages. Models of performance on the Piagetian balance scale task are the focus of attention. Limitations of these models are discussed and replications and extensions to the work are provided via the Cascade-Correlation algorithm. An application of multi-group latent class analysis for examining performance of the networks is described and these results reveal fundamental functional characteristics of the networks. Evidence is provided that strongly suggests that the networks are unable to acquire a mastery of torque and, although they do recover certain rules of operation that humans do, they also show a propensity to acquire rules never previously seen.  相似文献   

6.
We investigate under what conditions the matrix of factor loadings from the factor analysis model with equal unique variances will give a good approximation to the matrix of factor loadings from the regular factor analysis model. We show that the two models will give similar matrices of factor loadings if Schneeweiss' condition, that the difference between the largest and the smallest value of unique variances is small relative to the sizes of the column sums of squared factor loadings, holds. Furthermore, we generalize our results and discus the conditions under which the matrix of factor loadings from the regular factor analysis model will be well approximated by the matrix of factor loadings from Jöreskog's image factor analysis model. Especially, we discuss Guttman's condition (i.e., the number of variables increases without limit) for the two models to agree, in relation with the condition we have shown, and conclude that Schneeweiss' condition is a generalization of Guttman's condition. Some implications for practice are discussed.Kentaro Hayashi is a visiting Assistant Professor, Department of Mathematics, Bucknell University, Lewisburg PA 17837, and Peter M. Bentler is Professor, Departments of Psychology and Statistics, University of California, Los Angeles CA 90095-1563. (Emails: Khayashi@bucknell.edu, bentler@ucla.edu) Parts of this paper were discussed in a session on Factor Analysis (J. ten Berge, Chair) at the IFCS-98 International Conference, Rome, July, 1998. This work was supported by National Institute on Drug Abuse grant DA 01070. The authors thank Professors Hans Schneeweiss and Ke-Hai Yuan, and four anonymous referees, for their invaluable comments which led to an improved version of this paper.  相似文献   

7.
解释性项目反应理论模型(Explanatory Item Response Theory Models, EIRTM)是指基于广义线性混合模型和非线性混合模型构建的项目反应理论(Item Response Theory, IRT)模型。EIRTM能在IRT模型的基础上直接加入预测变量, 从而解决各类测量问题。首先介绍EIRTM的相关概念和参数估计方法, 然后展示如何使用EIRTM处理题目位置效应、测验模式效应、题目功能差异、局部被试依赖和局部题目依赖, 接着提供实例对EIRTM的使用进行说明, 最后对EIRTM的不足之处和应用前景进行讨论。  相似文献   

8.
Starting from perfectly discriminating nonmonotone dichotomous items, a class of probabilistic models with or without response errors and with or without intrinsically unscalable respondents is described. All these models can be understood as simply restricted latent class analysis. Thus, the estimation and identifiability of the parameters (class sizes and item latent probabilities) as well as the chi-squared goodness-of-fit tests (Pearson and likelihood-ratio) are free of the problems. The applicability of the proposed variants of latent class models is demonstrated on real attitudinal data.This research was supported by the Kulturamt der Stadt Wien, Magistratsabteilung 7.The author wishes to thank the editor, Ivo W. Molenaar, as well as Clifford C. Clogg and the anonymous reviewers for their valuable comments on the earlier drafts of this paper.  相似文献   

9.
The analysis of measurement invariance of latent constructs is important in research across groups, or across time. By establishing whether factor loadings, intercepts and residual variances are equivalent in a factor model that measures a latent concept, we can assure that comparisons that are made on the latent variable are valid across groups or time. Establishing measurement invariance involves running a set of increasingly constrained structural equation models, and testing whether differences between these models are significant. This paper provides a step-by-step guide to analysing measurement invariance.  相似文献   

10.
Personality constructs, attitudes and other non-cognitive variables are often measured using rating or Likert-type scales, which does not come without problems. Especially in low-stakes assessments, respondents may produce biased responses due to response styles (RS) that reduce the validity and comparability of the measurement. Detecting and correcting RS is not always straightforward because not all respondents show RS and the ones who do may not do so to the same extent or in the same direction. The present study proposes the combination of a multidimensional IRTree model with a mixture distribution item response theory model and illustrates the application of the approach using data from the Programme for the International Assessment of Adult Competencies (PIAAC). This joint approach allows for the differentiation between different latent classes of respondents who show different RS behaviours and respondents who show RS versus respondents who give (largely) unbiased responses. We illustrate the application of the approach by examining extreme RS and show how the resulting latent classes can be further examined using external variables and process data from computer-based assessments to develop a better understanding of response behaviour and RS.  相似文献   

11.
Multilevel factor analysis models are widely used in the social sciences to account for heterogeneity in mean structures. In this paper we extend previous work on multilevel models to account for general forms of heterogeneity in confirmatory factor analysis models. We specify various models of mean and covariance heterogeneity in confirmatory factor analysis and develop Markov Chain Monte Carlo (MCMC) procedures to perform Bayesian inference, model checking, and model comparison.We test our methodology using synthetic data and data from a consumption emotion study. The results from synthetic data show that our Bayesian model perform well in recovering the true parameters and selecting the appropriate model. More importantly, the results clearly illustrate the consequences of ignoring heterogeneity. Specifically, we find that ignoring heterogeneity can lead to sign reversals of the factor covariances, inflation of factor variances and underappreciation of uncertainty in parameter estimates. The results from the emotion study show that subjects vary both in means and covariances. Thus traditional psychometric methods cannot fully capture the heterogeneity in our data.  相似文献   

12.
心理测量平衡性研究与实例   总被引:1,自引:0,他引:1  
刘军  吴维库 《心理科学》2005,28(1):170-174,169
心理测量研究中,测量不变性(或称平衡性)是量表稳定性问题中的一个难题而且在比较研究中受到特别重视。结构方程模型因在平衡性形式捕捉方面功能强大而受到广泛应用。该研究讨论了测量平衡性的各种形式并演示了应用结构方程模型评估测量平衡性的过程。  相似文献   

13.
《Journal of Applied Logic》2014,12(4):395-416
We develop a general framework for the design of temporal logics for concurrent recursive programs. A program execution is modeled as a partial order with multiple nesting relations. To specify properties of executions, we consider any temporal logic whose modalities are definable in monadic second-order logic and which, in addition, allows PDL-like path expressions. This captures, in a unifying framework, a wide range of logics defined for ranked and unranked trees, nested words, and Mazurkiewicz traces that have been studied separately. We show that satisfiability and model checking are decidable in EXPTIME and 2EXPTIME, depending on the precise path modalities.  相似文献   

14.
Extended redundancy analysis (ERA) is used to reduce multiple sets of predictors to a smaller number of components and examine the effects of these components on a response variable. In various social and behavioural studies, auxiliary covariates (e.g., gender, ethnicity) can often lead to heterogeneous subgroups of observations, each of which involves distinctive relationships between predictor and response variables. ERA is currently unable to consider such covariate-dependent heterogeneity to examine whether the model parameters vary across subgroups differentiated by covariates. To address this issue, we combine ERA with model-based recursive partitioning in a single framework. This combined method, MOB-ERA, aims to partition observations into heterogeneous subgroups recursively based on a set of covariates while fitting a specified ERA model to data. Upon the completion of the partitioning procedure, one can easily examine the difference in the estimated ERA parameters across covariate-dependent subgroups. Moreover, it produces a tree diagram that aids in visualizing a hierarchy of partitioning covariates, as well as interpreting their interactions. In the analysis of public data concerning nicotine dependence among US adults, the method uncovered heterogeneous subgroups characterized by several sociodemographic covariates, each of which yielded different directional relationships between three predictor sets and nicotine dependence.  相似文献   

15.
A closed form estimator of the uniqueness (unique variance) in factor analysis is proposed. It has analytically desirable properties—consistency, asymptotic normality and scale invariance. The estimation procedure is given through the application to the two sets of Emmett's data and Holzinger and Swineford's data. The new estimator is shown to lead to values rather close to the maximum likelihood estimator.  相似文献   

16.
A family of association coefficients for metric scales   总被引:1,自引:0,他引:1  
Four types of metric scales are distinguished: the absolute scale, the ratio scale, the difference scale and the interval scale. A general coefficient of association for two variables of the same metric scale type is developed. Some properties of this general coefficient are discussed. It is shown that the matrix containing these coefficients between any number of variables is Gramian. The general coefficient reduces to specific coefficients of association for each of the four metric scales. Two of these coefficients are well known, the product-moment correlation and Tucker's congruence coefficient. Applications of the new coefficients are discussed.  相似文献   

17.
Principal components analysis can be redefined in terms of the regression of observed variables upon component variables. Two criteria for the adequacy of a component representation in this context are developed and are shown to lead to different component solutions. Both criteria are generalized to allow weighting, the choice of weights determining the scale invariance properties of the resulting solution. A theorem is presented giving necessary and sufficient conditions for equivalent component solutions under different choices of weighting. Applications of the theorem are discussed that involve the components analysis of linearly derived variables and of external variables.Preparation of this article was supported in part by National Institute of Aging Grant NIA-AG03164-03 to William Meredith.  相似文献   

18.
A family of chance-corrected association coefficients for metric scales   总被引:1,自引:0,他引:1  
A chance-corrected version of the family of association coefficients for metric scales proposed by Zegers and ten Berge is presented. It is shown that a matrix with chance-corrected coefficients between a number of variables is Gramian. The members of the chance-corrected family are shown to be partially ordered. The author is obliged to Jos ten Berge for helpful comments.  相似文献   

19.
An implementation of the Gauss-Newton algorithm for the analysis of covariance structures that is specifically adapted for high-level computer languages is reviewed. With this procedure one need only describe the structural form of the population covariance matrix, and provide a sample covariance matrix and initial values for the parameters. The gradient and approximate Hessian, which vary from model to model, are computed numerically. Using this approach, the entire method can be operationalized in a comparatively small program. A large class of models can be estimated, including many that utilize functional relationships among the parameters that are not possible in most available computer programs. Some examples are provided to illustrate how the algorithm can be used.We are grateful to M. W. Browne and S. H. C. du Toit for many invaluable discussions about these computing ideas. Thanks also to Scott Chaiken for providing the data in the first example. They were collected as part of the U.S. Air Force's Learning Ability Measurement Project (LAMP), sponsored by the Air Force Office of Scientific Research (AFOSR) and the Human Resource Directorate of the Armstrong Laboratory (AL/HRM).  相似文献   

20.
A general comparison is made between the multinomial processing tree (MPT) approach and a strength-based approach for modeling recognition memory measurement. Strength models include the signal-detection model and the dual-process model. Existing MPT models for recognition memory and a new generic MPT model, called the Multistate (MS) model, are contrasted with the strength models. Although the ROC curves for the MS model and strength model are similar, there is a critical difference between existing strength models and MPT models that goes beyond the assessment of the ROC. This difference concerns the question of stochastic mixtures for foil test trials. The hazard function and the reverse hazard function are powerful methods for detecting the presence of a probabilistic mixture. Several new theorems establish a novel method for obtaining information about the hazard function and reverse hazard function for the latent continuous distributions that are assumed in the strength approach to recognition memory. Evidence is provided that foil test trials involve a stochastic mixture. This finding occurred for both short-term memory procedures, such as the Brown–Peterson task, and long-term list-learning procedures, such as the paired-associate task. The effect of mixtures on foil trials is problematic for existing strength models but can be readily handled by MPT models such as the MS model. Other phenomena, such as the mirror effect and the effect of target-foil similarity, are also predicted accurately by the MPT modeling framework.  相似文献   

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