Psychological Science ›› 2013, Vol. 36 ›› Issue (6): 1464-1469.

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Meta-Analytic Method for Composite Reliability of A Unidimensional Test

1,Zhong-Lin WEN   

  • Received:2012-11-09 Revised:2013-08-17 Online:2013-11-20 Published:2013-12-11
  • Contact: Zhong-Lin WEN

单维测验合成信度元分析

叶宝娟1,温忠粦2,胡竹菁3   

  1. 1. 江西师范大学
    2. 华南师范大学
    3. 江西师范大学心理学院
  • 通讯作者: 温忠粦

Abstract: Meta-analysis has become an indispensable tool for reaching accurate and representative conclusions about topics of interest within a body of literature. Meta-analysis can also play a very important role in designing new researches. Meta-analysis is one way to obtain more narrow confidence intervals. The confidence interval for the average parameter value will often be considerably narrower, and hence more informative, than the parameter confidence interval obtained from a single study. An increase in external validity is an added benefit of averaging parameter estimates from multiple studies (Bonett, 2009). Test reliability is often used to reflect measurement consistency and stability. Haase (1998) referred to meta-analysis methods of reliability estimates as reliability generalization. Meta-analysis of reliability estimates may be used to obtain more accurate reliability estimates (narrower confidence intervals). Composite reliability can better estimate reliability by using confirmatory factor analysis (Bentler, 2009; Green & Yang, 2009; Wen & Ye, 2011). Meta-analysis of composite reliability can better evaluate test quality. There are three statistical models to do meta-analysis: the constant coefficient model, the random coefficient model, and the varying coefficient model. In general, compared to constant coefficient or random coefficient models, varying coefficient model is recommended to do meta-analysis, which can be used in a much wider range of problems. Under varying coefficient model, we proposed a method to compute point estimate and confidence interval for the average composite reliability coefficient of a unidimensional test. To evaluate the confidence interval for the average composite reliability coefficient obtained by our proposed method, a simulation study was conducted to assess the performance of our proposed method under a wide range of conditions. Four factors were considered in the simulation design: (a) the number of study (m=5, 10, and 20); (b) the number of items on each test (k=3, 6, 10, and 15); (c) factor loading (.5–.7,.7–.9, .5–.9); (d) sample size (N=200–500, 500–1000 and 200–1000). In total, 108 treatment conditions were generated in terms of the above 4-factor simulation design (i.e., 108=3×4×3×3). The simulation results indicated that the performance of our proposed method was remarkable in that its true 95% coverage probability was very close to 95% for all of the 108 conditions. In no case did the coverage probability drop below 94.9%. We recommended that our proposed method could be adopted to estimate the confidence interval of composite reliability for meta-analysis. We used an example of a unidimensional test to illustrate the use of our proposed method to obtain a narrow confidence interval for the average composite reliability across the six study populations.

Key words: reliability, composite reliability, meta-analysis, confidence interval

摘要: 元分析是根据现有研究对感兴趣的主题得出比较准确和有代表性结论的一种重要方法,在心理、教育、管理、医学等社会科学研究中得到广泛应用。信度是衡量测验质量的重要指标,用合成信度能比较准确的估计测验信度。未见有文献提供合成信度元分析方法。本研究在比较对参数进行元分析的三种模型优劣的基础上,在变化系数模型下推出合成信度元分析点估计及区间估计的方法;以区间覆盖率为衡量指标,模拟研究表明本研究提出的合成信度元分析区间估计的方法得当;举例说明如何对单维测验的合成信度进行元分析。

关键词: 信度, 合成信度, 元分析, 置信区间