summary.manova {stats} | R Documentation |
Summary Method for Multivariate Analysis of Variance
Description
A summary
method for class "manova"
.
Usage
## S3 method for class 'manova'
summary(object,
test = c("Pillai", "Wilks", "Hotelling-Lawley", "Roy"),
intercept = FALSE, tol = 1e-7, ...)
Arguments
object |
An object of class |
test |
The name of the test statistic to be used. Partial matching is used so the name can be abbreviated. |
intercept |
logical. If |
tol |
tolerance to be used in deciding if the residuals are
rank-deficient: see |
... |
further arguments passed to or from other methods. |
Details
The summary.manova
method uses a multivariate test statistic
for the summary table. Wilks' statistic is most popular in the
literature, but the default Pillai–Bartlett statistic is recommended
by Hand and Taylor (1987).
The table gives a transformation of the test statistic which has approximately an F distribution. The approximations used follow S-PLUS and SAS (the latter apart from some cases of the Hotelling–Lawley statistic), but many other distributional approximations exist: see Anderson (1984) and Krzanowski and Marriott (1994) for further references. All four approximate F statistics are the same when the term being tested has one degree of freedom, but in other cases that for the Roy statistic is an upper bound.
The tolerance tol
is applied to the QR decomposition of the
residual correlation matrix (unless some response has essentially zero
residuals, when it is unscaled). Thus the default value guards
against very highly correlated responses: it can be reduced but doing
so will allow rather inaccurate results and it will normally be better
to transform the responses to remove the high correlation.
Value
An object of class "summary.manova"
. If there is a positive
residual degrees of freedom, this is a list with components
row.names |
The names of the terms, the row names of the
|
SS |
A named list of sums of squares and product matrices. |
Eigenvalues |
A matrix of eigenvalues. |
stats |
A matrix of the statistics, approximate F value, degrees of freedom and P value. |
otherwise components row.names
, SS
and Df
(degrees of freedom) for the terms (and not the residuals).
References
Anderson, T. W. (1994) An Introduction to Multivariate Statistical Analysis. Wiley.
Hand, D. J. and Taylor, C. C. (1987) Multivariate Analysis of Variance and Repeated Measures. Chapman and Hall.
Krzanowski, W. J. (1988) Principles of Multivariate Analysis. A User's Perspective. Oxford.
Krzanowski, W. J. and Marriott, F. H. C. (1994) Multivariate Analysis. Part I: Distributions, Ordination and Inference. Edward Arnold.
See Also
Examples
## Example on producing plastic film from Krzanowski (1998, p. 381)
tear <- c(6.5, 6.2, 5.8, 6.5, 6.5, 6.9, 7.2, 6.9, 6.1, 6.3,
6.7, 6.6, 7.2, 7.1, 6.8, 7.1, 7.0, 7.2, 7.5, 7.6)
gloss <- c(9.5, 9.9, 9.6, 9.6, 9.2, 9.1, 10.0, 9.9, 9.5, 9.4,
9.1, 9.3, 8.3, 8.4, 8.5, 9.2, 8.8, 9.7, 10.1, 9.2)
opacity <- c(4.4, 6.4, 3.0, 4.1, 0.8, 5.7, 2.0, 3.9, 1.9, 5.7,
2.8, 4.1, 3.8, 1.6, 3.4, 8.4, 5.2, 6.9, 2.7, 1.9)
Y <- cbind(tear, gloss, opacity)
rate <- gl(2,10, labels = c("Low", "High"))
additive <- gl(2, 5, length = 20, labels = c("Low", "High"))
fit <- manova(Y ~ rate * additive)
summary.aov(fit) # univariate ANOVA tables
summary(fit, test = "Wilks") # ANOVA table of Wilks' lambda
summary(fit) # same F statistics as single-df terms