Analysis of variance
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Analysis of variance
In statistics, analysis of variance (ANOVA) is a collection of statistical models, and their associated procedures, in which the observed variance is partitioned into components due to different explanatory variables. The initial techniques of the analysis of variance were developed by the statistician and geneticist R. A. Fisher in the 1920s and 1930s, and is sometimes known as Fisher's ANOVA or Fisher's analysis of variance, due to the use of Fisher's F-distribution as part of the test of statistical significance.
OverviewThere are three conceptual classes of such models:
In practice, there are several types of ANOVA depending on the number of treatments and the way they are applied to the subjects in the experiment:
ModelsFixed-effects modelsThe fixed-effects model of analysis of variance applies to situations in which the experimenter applies several treatments to the subjects of the experiment to see if the response variable values change. This allows the experimenter to estimate the ranges of response variable values that the treatment would generate in the population as a whole. Random-effects modelsRandom effects models are used when the treatments are not fixed. This occurs when the various treatments (also known as factor levels) are sampled from a larger population. Because the treatments themselves are random variables, some assumptions and the method of contrasting the treatments differ from ANOVA model 1. Most random-effects or mixed-effects models are not concerned with making inferences concerning the particular sampled factors. For example, consider a large manufacturing plant in which many machines produce the same product. The statistician studying this plant would have very little interest in comparing the three particular machines to each other. Rather, inferences that can be made for all machines are of interest, such as their variability and the overall mean. Assumptions
Levene's test for homogeneity of variances is typically used to confirm homoscedasticity. The Kolmogorov-Smirnov or the Shapiro-Wilk test may be used to confirm normality. Some authors claim that the F-test is unreliable if there are deviations from normality (Lindman, 1974) while others claim that the F-test is robust (Ferguson & Takane, 2005, pp.261-2). The Kruskal-Wallis test is a nonparametric alternative which does not rely on an assumption of normality. These together form the common assumption that the errors are independently, identically, and normally distributed for fixed effects models, or:
ANOVA models 2 and 3 have more complex assumptions about the expected value and variance of the residuals since the factors themselves may be drawn from a population. Logic of ANOVAPartitioning of the sum of squaresThe fundamental technique is a partitioning of the total sum of squares into components related to the effects used in the model. For example, we show the model for a simplified ANOVA with one type of treatment at different levels.
The number of degrees of freedom (abbreviated df) can be partitioned in a similar way and specifies the chi-square distribution which describes the associated sums of squares.
The F-testThe F-test is used for comparisons of the components of the total deviation. For example, in one-way, or single-factor ANOVA, statistical significance is tested for by comparing the F test statistic
to the F-distribution with I-1,nT degrees of freedom. Using the F-distribution is a natural candidate because the test statistic is the quotient of two mean sums of squares which have a chi-square distribution. ANOVA on ranksAs first suggested by Conover and Iman in 1981, in many cases when the data do not meet the assumptions of ANOVA, one can replace each original data value by its rank from 1 for the smallest to N for the largest, then run a standard ANOVA calculation on the rank-transformed data. "Where no equivalent nonparametric methods have yet been developed such as for the two-way design, rank transformation results in tests which are more robust to non-normality, and resistant to outliers and non-constant variance, than is ANOVA without the transformation." (Helsel & Hirsch, 2002, Page 177). However Seaman et al. (1994) noticed that the rank transformation of Conover and Iman (1981) is not appropriate for testing interactions among effects in a factorial design as it can cause an increase in Type I error (alpha error). Furthermore, if both main factors are significant there is little power to detect interactions. A variant of rank-transformation is 'quantile normalization' in which a further transformation is applied to the ranks such that the resulting values have some defined distribution (often a normal distribution with a specified mean and variance). Further analyses of quantile-normalized data may then assume that distribution to compute significance values.
Effect size measurespartial ?2:
Source for measure was taken from the following article in the data analysis section.
?2 Cohen's f ExamplesGroup A is given vodka, Group B is given gin, and Group C is given a placebo. All groups are then tested with a memory task. A one-way ANOVA can be used to assess the effect of the various treatments (that is, the vodka, gin, and placebo). Group A is given vodka and tested on a memory task. The same group is allowed a rest period of five days and then the experiment is repeated with gin. The procedure is repeated using a placebo. A one-way ANOVA with repeated measures can be used to assess the effect of the vodka versus the impact of the placebo. In an experiment testing the effects of expectations, subjects are randomly assigned to four groups:
Each group is then tested on a memory task. The advantage of this design is that multiple variables can be tested at the same time instead of running two different experiments. Also, the experiment can determine whether one variable affects the other variable (known as interaction effects). A factorial ANOVA (2×2) can be used to assess the effect of expecting vodka or the placebo and the actual reception of either. HistoryRonald Fisher first used variance in his 1918 paper The Correlation Between Relatives on the Supposition of Mendelian Inheritance[1]. His first application of the analysis of variance was published in 1921[2]. Analysis of variance became widely known after being included in Fisher's 1925 book Statistical Methods for Research Workers. See also
References
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