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用风险术语表达来自连续结局的荟萃分析的结果。

Expressing findings from meta-analyses of continuous outcomes in terms of risks.

机构信息

MRC Biostatistics Unit, Cambridge, UK.

出版信息

Stat Med. 2011 Nov 10;30(25):2967-85. doi: 10.1002/sim.4298. Epub 2011 Aug 8.

Abstract

Meta-analyses of clinical trials with continuous outcome data typically report the effect of an intervention as either a mean difference or a standardized mean difference. These results can be difficult to interpret, and re-expressing the effect size in terms of risk may facilitate understanding and applicability. We describe three methods for obtaining risks in such situations. Two of these methods involve direct transformation of a standardized mean difference to an odds ratio. The third entails estimation of risks in the two groups for a specific cut point. We extend this third approach to a completed meta-analysis by expressing the finding in the format of a single 'meta-study'. We compare the methods in two examples of meta-analyses and in a series of simulation studies that examine their properties in individual studies and in meta-analyses. These simulations show that the methods for expressing meta-analysis results from continuous outcomes are sensitive to underlying distributions, sample sizes and cut points but are remarkably robust to the presence of heterogeneity across studies. We offer suggestions of situations in which the various methods may safely be applied. In particular, if the underlying distribution is approximately normal, then estimation of risks for a specific cut point may be used for large sample sizes; direct transformations may be preferable otherwise. However, if the standard deviations in the two groups are notably different, then none of the methods have good properties. Furthermore, absolute risks are safely estimated after direct transformation only if they are in the region of 20% to 80%.

摘要

对具有连续结局数据的临床试验进行的荟萃分析通常报告干预的效果为均数差或标准化均数差。这些结果可能难以解释,以风险来重新表达效应大小可能有助于理解和适用性。我们描述了在这种情况下获得风险的三种方法。其中两种方法涉及将标准化均数差直接转换为优势比。第三种方法需要为特定的切点估计两组的风险。我们通过以单个“荟萃研究”的形式表达发现,将这种第三种方法扩展到完成的荟萃分析中。我们在两个荟萃分析示例和一系列模拟研究中比较了这些方法,这些模拟研究在单个研究和荟萃分析中检查了它们的特性。这些模拟表明,表达连续结局荟萃分析结果的方法对基础分布、样本量和切点敏感,但对研究之间的异质性存在非常稳健。我们提供了各种方法可以安全应用的情况的建议。特别是,如果基础分布近似正态分布,则可以在大样本量下使用特定切点的风险估计;否则,直接转换可能更可取。然而,如果两组的标准差明显不同,则没有一种方法具有良好的特性。此外,只有在直接转换后风险处于 20%至 80%的范围内,才可以安全地估计绝对风险。

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