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日本原子弹幸存者白血病死亡率分析中的模型平均法

Model averaging in the analysis of leukemia mortality among Japanese A-bomb survivors.

作者信息

Richardson David B, Cole Stephen R

机构信息

Department of Epidemiology, School of Public Health, University of North Carolina at Chapel Hill, Chapel Hill, NC 27599, USA.

出版信息

Radiat Environ Biophys. 2012 Mar;51(1):93-5; discussion 97-100. doi: 10.1007/s00411-011-0395-4. Epub 2012 Jan 7.

Abstract

Epidemiological studies often include numerous covariates, with a variety of possible approaches to control for confounding of the association of primary interest, as well as a variety of possible models for the exposure-response association of interest. Walsh and Kaiser (Radiat Environ Biophys 50:21-35, 2011) advocate a weighted averaging of the models, where the weights are a function of overall model goodness of fit and degrees of freedom. They apply this method to analyses of radiation-leukemia mortality associations among Japanese A-bomb survivors. We caution against such an approach, noting that the proposed model averaging approach prioritizes the inclusion of covariates that are strong predictors of the outcome, but which may be irrelevant as confounders of the association of interest, and penalizes adjustment for covariates that are confounders of the association of interest, but may contribute little to overall model goodness of fit. We offer a simple illustration of how this approach can lead to biased results. The proposed model averaging approach may also be suboptimal as way to handle competing model forms for an exposure-response association of interest, given adjustment for the same set of confounders; alternative approaches, such as hierarchical regression, may provide a more useful way to stabilize risk estimates in this setting.

摘要

流行病学研究通常包含众多协变量,对于控制主要研究关联的混杂因素有多种可能的方法,对于感兴趣的暴露-反应关联也有多种可能的模型。沃尔什和凯泽(《辐射环境生物物理学》50:21 - 35,2011年)主张对模型进行加权平均,权重是整体模型拟合优度和自由度的函数。他们将此方法应用于日本原子弹幸存者中辐射与白血病死亡率关联的分析。我们对这种方法提出警示,指出所提出的模型平均方法优先纳入那些是结局强预测因子但可能与感兴趣关联的混杂因素无关的协变量,却惩罚对那些是感兴趣关联的混杂因素但可能对整体模型拟合优度贡献不大的协变量的调整。我们给出一个简单示例说明这种方法如何导致有偏差的结果。在所调整的混杂因素相同的情况下,对于感兴趣的暴露-反应关联,所提出的模型平均方法作为处理竞争模型形式的方式可能也不是最优的;其他方法,如分层回归,可能在这种情况下为稳定风险估计提供更有用的途径。

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