The handling of missing data in trial-based economic evaluations: should data be multiply imputed prior to longitudinal linear mixed-model analyses?

被引:5
作者
Ben, Angela Jornada [1 ]
van Dongen, Johanna M. [1 ]
El Alili, Mohamed [1 ]
Heymans, Martijn W. [2 ]
Twisk, Jos W. R. [2 ]
MacNeil-Vroomen, Janet L. [3 ]
de Wit, Maartje [4 ]
van Dijk, Susan E. M. [1 ]
Oosterhuis, Teddy [5 ]
Bosmans, Judith E. [1 ]
机构
[1] Vrije Univ Amsterdam, Fac Sci, Amsterdam Publ Hlth Res Inst, Dept Hlth Sci, Van der Boechorststr 7, NL-1081 BT Amsterdam, Netherlands
[2] Amsterdam Publ Hlth Res Inst, Dept Epidemiol & Data Sci, Amsterdam UMC, Amsterdam, Netherlands
[3] Univ Amsterdam, Amsterdam Publ Hlth Res Inst, Dept Internal Med, Sect Geriatr,Amsterdam UMC, Amsterdam, Netherlands
[4] Vrije Univ, Amsterdam Publ Hlth Res Inst, Dept Med Psychol, Amsterdam UMC, Amsterdam, Netherlands
[5] Netherlands Soc Occupat Med NVAB, Utrecht, Netherlands
关键词
Cost-benefit analysis; Longitudinal studies; Epidemiologic methods; Computer simulation; COST-EFFECTIVENESS ANALYSIS; CLUSTER RANDOMIZED-TRIALS; IMPORTANT DIFFERENCE; IMPUTATION; EQ-5D; CARE;
D O I
10.1007/s10198-022-01525-y
中图分类号
F [经济];
学科分类号
02 ;
摘要
Introduction For the analysis of clinical effects, multiple imputation (MI) of missing data were shown to be unnecessary when using longitudinal linear mixed-models (LLM). It remains unclear whether this also applies to trial-based economic evaluations. Therefore, this study aimed to assess whether MI is required prior to LLM when analyzing longitudinal cost and effect data. Methods Two-thousand complete datasets were simulated containing five time points. Incomplete datasets were generated with 10, 25, and 50% missing data in follow-up costs and effects, assuming a Missing At Random (MAR) mechanism. Six different strategies were compared using empirical bias (EB), root-mean-squared error (RMSE), and coverage rate (CR). These strategies were: LLM alone (LLM) and MI with LLM (MI-LLM), and, as reference strategies, mean imputation with LLM (M-LLM), seemingly unrelated regression alone (SUR-CCA), MI with SUR (MI-SUR), and mean imputation with SUR (M-SUR). Results For costs and effects, LLM, MI-LLM, and MI-SUR performed better than M-LLM, SUR-CCA, and M-SUR, with smaller EBs and RMSEs as well as CRs closers to nominal levels. However, even though LLM, MI-LLM and MI-SUR performed equally well for effects, MI-LLM and MI-SUR were found to perform better than LLM for costs at 10 and 25% missing data. At 50% missing data, all strategies resulted in relatively high EBs and RMSEs for costs. Conclusion LLM should be combined with MI when analyzing trial-based economic evaluation data. MI-SUR is more efficient and can also be used, but then an average intervention effect over time cannot be estimated.
引用
收藏
页码:951 / 965
页数:15
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