Confidence intervals for the overall effect size in random-effects meta-analysis

被引:179
作者
Sanchez-Meca, Julio [1 ]
Marin-Martinez, Fulgencio [1 ]
机构
[1] Univ Murcia, Fac Psychol, Dept Basic Psychol & Methodol, E-30100 Murcia, Spain
关键词
meta-analysis; random-effects model; confidence intervals; heterogeneity variance; standardized mean difference;
D O I
10.1037/1082-989X.13.1.31
中图分类号
B84 [心理学];
学科分类号
04 ; 0402 ;
摘要
One of the main objectives in meta-analysis is to estimate the overall effect size by calculating a confidence interval (CI). The usual procedure consists of assuming a standard normal distribution and a sampling variance defined as the inverse of the sum of the estimated weights of the effect sizes. But this procedure does not take into account the uncertainty due to the fact that the heterogeneity variance (tau(2)) and the within-study variances have to be estimated, leading to CIs that are too narrow with the consequence that the actual coverage probability is smaller than the nominal confidence level. In this article, the performances of 3 alternatives to the standard CI procedure are examined under a random-effects model and 8 different tau(2) estimators to estimate the weights: the t distribution Cl, the weighted variance Cl (with an improved variance), and the quantile approximation method (recently proposed). The results of a Monte Carlo simulation showed that the weighted variance Cl outperformed the other methods regardless of the tau(2) estimator, the value of tau(2), the number of studies, and the sample size.
引用
收藏
页码:31 / 48
页数:18
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