Describing posterior distributions of variance components: Problems and the use of null distributions to aid interpretation

Author:

Pick Joel L.12ORCID,Kasper Claudia3ORCID,Allegue Hassen4ORCID,Dingemanse Niels J.5ORCID,Dochtermann Ned A.6ORCID,Laskowski Kate L.7ORCID,Lima Marcos R.8ORCID,Schielzeth Holger9ORCID,Westneat David F.10ORCID,Wright Jonathan1ORCID,Araya‐Ajoy Yimen G.1ORCID

Affiliation:

1. Department of Biology, Centre for Biodiversity Dynamics (CBD) Norwegian University of Science and Technology (NTNU) Trondheim Norway

2. Institute of Ecology and Evolution University of Edinburgh Edinburgh UK

3. Animal GenoPhenomics Group, Agroscope Posieux Switzerland

4. Département des Sciences Biologiques Université du Québec à Montréal Montréal Quebec Canada

5. Behavioural Ecology, Faculty of Biology Ludwig‐Maximilians University of Munich Planegg‐Martinsried Germany

6. Department of Biological Sciences North Dakota State University Fargo North Dakota USA

7. Department of Evolution and Ecology University of California Davis Davis California USA

8. Departamento de Biologia Animal e Vegetal, Centro de Ciências Biológicas Universidade Estadual de Londrina Londrina Brazil

9. Institute of Ecology and Evolution Friedrich Schiller University Jena Jena Germany

10. Department of Biology University of Kentucky Lexington Kentucky USA

Abstract

Abstract Assessing the biological relevance of variance components estimated using Markov chain Monte Carlo (MCMC)‐based mixed‐effects models is not straightforward. Variance estimates are constrained to be greater than zero and their posterior distributions are often asymmetric. Different measures of central tendency for these distributions can therefore vary widely, and credible intervals cannot overlap zero, making it difficult to assess the size and statistical support for among‐group variance. Statistical support is often assessed through visual inspection of the whole posterior distribution and so relies on subjective decisions for interpretation. We use simulations to demonstrate the difficulties of summarizing the posterior distributions of variance estimates from MCMC‐based models. We then describe different methods for generating the expected null distribution (i.e. a distribution of effect sizes that would be obtained if there was no among‐group variance) that can be used to aid in the interpretation of variance estimates. Through comparing commonly used summary statistics of posterior distributions of variance components, we show that the posterior median is predominantly the least biased. We further show how null distributions can be used to derive a p‐value that provides complementary information to the commonly presented measures of central tendency and uncertainty. Finally, we show how these p‐values facilitate the implementation of power analyses within an MCMC framework. The use of null distributions for variance components can aid study design and the interpretation of results from MCMC‐based models. We hope that this manuscript will make empiricists using mixed models think more carefully about their results, what descriptive statistics they present and what inference they can make.

Funder

Deutsche Forschungsgemeinschaft

National Science Foundation

Natural Sciences and Engineering Research Council of Canada

Norges Forskningsråd

Publisher

Wiley

Subject

Ecological Modeling,Ecology, Evolution, Behavior and Systematics

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