Generating correlation matrices with model error for simulation studies in factor analysis: A combination of the Tucker-Koopman-Linn model and Wijs']jsman's algorithm

被引:17
作者
Hong, SH [1 ]
机构
[1] Univ Calif Santa Barbara, Dept Educ, Santa Barbara, CA 93106 USA
来源
BEHAVIOR RESEARCH METHODS INSTRUMENTS & COMPUTERS | 1999年 / 31卷 / 04期
关键词
D O I
10.3758/BF03200754
中图分类号
B841 [心理学研究方法];
学科分类号
040201 ;
摘要
Most simulation studies in factor analysis follow a process of constructing population correlation matrices from the common-factor model and generating sample correlation matrices from the population matrices. In the common-factor model, the population correlation matrix is perfectly fit by the model's containing common and unique factors. However, since no mathematical model accounts exactly for the real-world phenomena that it is intended to represent, the Tucker-Koopman-Linn model (1969) is more realistic for generating correlation matrices than the conventional common-factor model because the former incorporates model error. In this paper, a procedure for generating population and sample correlation matrices with model error by combining the Tucker-Koopman-Linn model and Wijsman's algorithm (1959) is presented. The SRS/IML program for generating com-elation matrices is described, and an example is also provided.
引用
收藏
页码:727 / 730
页数:4
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