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首页> 外文期刊>Anesthesia and Analgesia: Journal of the International Anesthesia Research Society >Analysis of variance of communication latencies in anesthesia: Comparing means of multiple log-normal distributions
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Analysis of variance of communication latencies in anesthesia: Comparing means of multiple log-normal distributions

机译:麻醉中通信潜伏期的方差分析:多种对数正态分布的比较方法

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摘要

Anesthesiologists rely on communication over periods of minutes. The analysis of latencies between when messages are sent and responses obtained is an essential component of practical and regulatory assessment of clinical and managerial decision-support systems. Latency data including times for anesthesia providers to respond to messages have moderate (> n = 20) sample sizes, large coefficients of variation (e.g., 0.60 to 2.50), and heterogeneous coefficients of variation among groups. Highly inaccurate results are obtained both by performing analysis of variance (ANOVA) in the time scale or by performing it in the log scale and then taking the exponential of the result. To overcome these difficulties, one can perform calculation of P values and confidence intervals for mean latencies based on log-normal distributions using generalized pivotal methods. In addition, fixed-effects 2-way ANOVAs can be extended to the comparison of means of log-normal distributions. Pivotal inference does not assume that the coefficients of variation of the studied log-normal distributions are the same, and can be used to assess the proportional effects of 2 factors and their interaction. Latency data can also include a human behavioral component (e.g., complete other activity first), resulting in a bimodal distribution in the log-domain (i.e., a mixture of distributions). An ANOVA can be performed on a homogeneous segment of the data, followed by a single group analysis applied to all or portions of the data using a robust method, insensitive to the probability distribution.
机译:麻醉师依靠几分钟的交流。发送消息和获得响应之间的延迟分析是临床和管理决策支持系统的实践和监管评估的重要组成部分。包括麻醉提供者响应消息的时间在内的延迟数据具有中等大小(> n = 20)的样本大小,较大的变异系数(例如0.60至2.50)以及组之间的变异系数。通过在时间范围内执行方差分析(ANOVA)或在对数范围内执行方差分析,然后对结果取指数,可以获得高度不准确的结果。为了克服这些困难,可以使用广义枢轴方法基于对数正态分布来计算平均时延的P值和置信区间。此外,固定效应2通方差分析可以扩展为对数正态分布均值的比较。关键推断不假定所研究的对数正态分布的变化系数相同,并且可以用于评估两个因素及其相互作用的比例效应。延迟数据还可以包括人类行为成分(例如,首先完成其他活动),从而导致在对数域中出现双峰分布(即分布的混合)。可以对数据的同质段执行ANOVA,然后使用对概率分布不敏感的鲁棒方法对所有或部分数据进行单组分析。

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