Uses and limitations of statistical accounting for random error correlations, in the validation of dietary questionnaire assessments

被引:124
作者
Kaaks, R
Ferrari, P
Ciampi, A
Plummer, M
Riboli, E
机构
[1] Int Agcy Res Canc, F-69372 Lyon 08, France
[2] McGill Univ, Dept Epidemiol & Biostat, Montreal, PQ, Canada
关键词
food-frequency questionnaires; validation studies; structural equation models;
D O I
10.1079/PHN2002380
中图分类号
R1 [预防医学、卫生学];
学科分类号
1004 ; 120402 ;
摘要
Objective: To examine statistical models that account for correlation between random errors of different dietary assessment methods, in dietary validation studies. Setting: In nutritional epidemiology, sub-studies on the accuracy of the dietary questionnaire measurements are used to correct for biases in relative risk estimates induced by dietary assessment errors. Generally, such validation studies are based on the comparison of questionnaire measurements (Q) with food consumption records or 24-hour diet recalls (R). In recent years, the statistical analysis of such studies has been formalised more in terms of statistical models. This made the need of crucial model assumptions more explicit. One key assumption is that random errors must be uncorrelated between measurements Q and R, as well as between replicate measurements R-1 and R-2 within the same individual. These assumptions may not hold in practice, however. Therefore, more complex statistical models have been proposed to validate measurements Q by simultaneous comparisons with measurements R plus a biomarker M, accounting for correlations between the random errors of Q and R. Conclusions: The more complex models accounting for random error correlations may work only for validation studies that include markers of diet based on physiological knowledge about the quantitative recovery, e.g. in urine, of specific elements such as nitrogen or potassium, or stable isotopes administered to the study subjects (e.g. the doubly labelled water method for assessment of energy expenditure). This type of marker, however, eliminates the problem of correlation of random errors between Q and R by simply taking the place of R, thus rendering complex statistical models unnecessary.
引用
收藏
页码:969 / 976
页数:8
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