Please use this identifier to cite or link to this item: http://hdl.handle.net/1942/23064
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dc.contributor.authorVAN DER ELST, Wim-
dc.contributor.authorMOLENBERGHS, Geert-
dc.contributor.authorHilgers, Ralf-Dieter-
dc.contributor.authorVERBEKE, Geert-
dc.contributor.authorHeussen, Nicole-
dc.date.accessioned2017-02-06T09:59:33Z-
dc.date.available2017-02-06T09:59:33Z-
dc.date.issued2016-
dc.identifier.citationPHARMACEUTICAL STATISTICS, 15(6), p. 486-493-
dc.identifier.issn1539-1604-
dc.identifier.urihttp://hdl.handle.net/1942/23064-
dc.description.abstractThere are various settings in which researchers are interested in the assessment of the correlation between repeated measurements that are taken within the same subject (i.e., reliability). For example, the same rating scale may be used to assess the symptom severity of the same patients by multiple physicians, or the same outcome may be measured repeatedly over time in the same patients. Reliability can be estimated in various ways, for example, using the classical Pearson correlation or the intra-class correlation in clustered data. However, contemporary data often have a complex structure that goes well beyond the restrictive assumptions that are needed with the more conventional methods to estimate reliability. In the current paper, we propose a general and flexible modeling approach that allows for the derivation of reliability estimates, standard errors, and confidence intervals - appropriately taking hierarchies and covariates in the data into account. Our methodology is developed for continuous outcomes together with covariates of an arbitrary type. The methodology is illustrated in a case study, and a Web Appendix is provided which details the computations using the R package CorrMixed and the SAS software. Copyright (c) 2016 John Wiley & Sons, Ltd.-
dc.description.sponsorshipFinancial support from the IAP research network #P7/06 of the Belgian Government (Belgian Science Policy) is gratefully acknowledged. This project has received funding from the European Union's 7th Framework Programme for research, technological development and demonstration under the IDEAL Grant Agreement no 602552.-
dc.language.isoen-
dc.publisherWILEY-BLACKWELL-
dc.rights(c) 2016 John Wiley & Sons, Ltd.-
dc.subject.otherwithin-cluster correlation; test-retest reliability; intra-class correlation-
dc.subject.otherwithin-cluster correlation; test-retest reliability; intra-class correlation-
dc.titleEstimating the reliability of repeatedly measured endpoints based on linear mixed-effects models. A tutorial-
dc.typeJournal Contribution-
dc.identifier.epage493-
dc.identifier.issue6-
dc.identifier.spage486-
dc.identifier.volume15-
local.format.pages8-
local.bibliographicCitation.jcatA1-
dc.description.notes[Van der Elst, Wim; Molenberghs, Geert; Verbeke, Geert] Univ Hasselt, I BioStat, B-3590 Diepenbeek, Belgium. [Molenberghs, Geert; Verbeke, Geert] Katholieke Univ Leuven, I BioStat, Leuven, Belgium. [Hilgers, Ralf-Dieter; Heussen, Nicole] Rhein Westfal TH Aachen, Dept Med Stat, Aachen, Germany.-
local.publisher.placeHOBOKEN-
local.type.refereedRefereed-
local.type.specifiedArticle-
dc.identifier.doi10.1002/pst.1787-
dc.identifier.isi000388565400004-
item.fulltextWith Fulltext-
item.fullcitationVAN DER ELST, Wim; MOLENBERGHS, Geert; Hilgers, Ralf-Dieter; VERBEKE, Geert & Heussen, Nicole (2016) Estimating the reliability of repeatedly measured endpoints based on linear mixed-effects models. A tutorial. In: PHARMACEUTICAL STATISTICS, 15(6), p. 486-493.-
item.contributorVAN DER ELST, Wim-
item.contributorMOLENBERGHS, Geert-
item.contributorHilgers, Ralf-Dieter-
item.contributorVERBEKE, Geert-
item.contributorHeussen, Nicole-
item.accessRightsOpen Access-
item.validationecoom 2017-
crisitem.journal.issn1539-1604-
crisitem.journal.eissn1539-1612-
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