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A valid formulation of the analysis of noninferiority trials under random effects meta-analysis

机译:随机效应荟萃分析下非劣效性试验分析的有效公式

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摘要

A noninferiority (NI) trial is sometimes employed to show efficacy of a new treatment when it is unethical to randomize current patients to placebo because of the established efficacy of a standard treatment. Under this framework, if the NI trial determines that the treatment advantage of the standard to the new drug (i.e. S−N) is less than the historic advantage of the standard to placebo (S−P), then the efficacy of the new treatment (N−P) is established indirectly. We explicitly combine information from the NI trial with estimates from a random effects model, allowing study-to-study variability in k historic trials. Existing methods under random effects, such as the synthesis method, fail to account for the variability of the true standard versus placebo effect in the NI trial. Our method effectively uses a prediction interval for the missing standard versus placebo effect rather than a confidence interval of the mean. The consequences are to increase the variance of the synthesis method by incorporating a prediction variance term and to approximate the null distribution of the new statistic with a t with k−1 degrees of freedom instead of the standard normal. Thus, it is harder to conclude NI of the new to (predicted) placebo, compared with traditional methods, especially when k is small or when between study variability is large. When the between study variances are nonzero, we demonstrate substantial Type I error rate inflation with conventional approaches; simulations suggest that the new procedure has only modest inflation, and it is very conservative when between study variances are zero. An example is used to illustrate practical issues.
机译:当由于标准治疗方法的确定疗效而将当前患者随机分配给安慰剂是不道德的时,有时会采用非劣效性(NI)试验来显示一种新治疗方法的疗效。在此框架下,如果NI试验确定该标准对新药的治疗优势(即SN)小于该标准对安慰剂的历史优势(SP),则该新疗法的有效性(NP)是间接建立的。我们将NI试验的信息与随机效应模型的估计值明确结合在一起,从而在k个历史试验中实现了研究之间的差异。在NI试验中,存在随机效应的现有方法(例如合成方法)无法解释真实标准品与安慰剂效应之间的差异。我们的方法有效地使用了标准缺失对安慰剂效应的预测区间,而不是平均值的置信区间。结果是通过合并预测方差项来增加合成方法的方差,并以k-1个自由度而不是标准正态的t近似新统计的零分布。因此,与传统方法相比,很难得出新的(预测的)安慰剂的NI值,尤其是在k较小或两次研究之间的变异性较大时。当研究之间的方差不为零时,我们证明了使用传统方法的第一类错误率膨胀很大。模拟表明,新程序只有适度的通货膨胀,当研究方差为零时,这是非常保守的。用一个例子说明实际问题。

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