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Congeneric reliability

From Wikipedia, the free encyclopedia

In statistical models applied to psychometrics, congeneric reliability ("rho C")[1] a single-administration test score reliability (i.e., the reliability of persons over items holding occasion fixed) coefficient, commonly referred to as composite reliability, construct reliability, and coefficient omega. is a structural equation model (SEM)-based reliability coefficients and is obtained from on a unidimensional model. is the second most commonly used reliability factor after tau-equivalent reliability(; also known as Cronbach's alpha), and is often recommended as its alternative.

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History and names

A quantity similar (but not mathematically equivalent) to congeneric reliability first appears in the appendix to McDonald's 1970 paper on factor analysis, labeled .[2] In McDonald's work, the new quantity is primarily a mathematical convenience: a well-behaved intermediate that separates two values.[3][4] Seemingly unaware of McDonald's work, Jöreskog first analyzed a quantity equivalent to congeneric reliability in a paper the following year.[4][5] Jöreskog defined congeneric reliability (now labeled ρ) with coordinate-free notation,[5] and three years later, Werts gave the modern, coordinatized formula for the same.[6] Both of the latter two papers named the new quantity simply "reliability".[5][6] The modern name originates with Jöreskog's name for the model whence he derived : a "congeneric model".[1][7][8]

Applied statisticians have subsequently coined many names for . "Composite reliability" emphasizes that measures the statistical reliability of composite scores.[1][9] As psychology calls "constructs" any latent characteristics only measurable through composite scores,[10] has also been called "construct reliability".[11] Following McDonald's more recent expository work on testing theory, some SEM-based reliability coefficients, including congeneric reliability, are referred to as "reliability coefficient ", often without a definition.[1][12][13]

Formula and calculation

Congeneric measurement model

Congeneric reliability applies to datasets of vectors: each row X in the dataset is a list Xi of numerical scores corresponding to one individual. The congeneric model supposes that there is a single underlying property ("factor") of the individual F, such that each numerical score Xi is a noisy measurement of F. Moreover, that the relationship between X and F is approximately linear: there exist (non-random) vectors λ and μ such that

where Ei is a statistically independent noise term.[5]

In this context, λi is often referred to as the factor loading on item i.

Because λ and μ are free parameters, the model exhibits affine invariance, and F may be normalized to mean 0 and variance 1 without loss of generality. The fraction of variance explained in item Xi by F is then simply

More generally, given any covector w, the proportion of variance in wX explained by F is
which is maximized when w ∝ 𝔼[EE*.[5]

ρC is this proportion of explained variance in the case where w ∝ [1 1 ... 1] (all components of X equally important):

Example

Fitted/implied covariance matrix

These are the estimates of the factor loadings and errors:

Factor loadings and errors

Compare this value with the value of applying tau-equivalent reliability to the same data.

Related coefficients

Tau-equivalent reliability (), which has traditionally been called "Cronbach's ", assumes that all factor loadings are equal (i.e. ). In reality, this is rarely the case and, thus, it systematically underestimates the reliability. In contrast, congeneric reliability () explicitly acknowledges the existence of different factor loadings. According to Bagozzi & Yi (1988), should have a value of at least around 0.6.[14] Often, higher values are desirable. However, such values should not be misunderstood as strict cutoff boundaries between "good" and "bad".[15] Moreover, values close to 1 might indicate that items are too similar. Another property of a "good" measurement model besides reliability is construct validity.

A related coefficient is average variance extracted.

References

  1. ^ a b c d Cho, E. (2016). Making reliability reliable: A systematic approach to reliability coefficients. Organizational Research Methods, 19(4), 651–682. https://doi.org/10.1177/1094428116656239
  2. ^ Although McDonald, R. P. (1985). Factor analysis and related methods. Hillsdale, NJ: Lawrence Erlbaum and (1999). Test theory. Mahwah, NJ: Lawrence Erlbaum claim that McDonald 1970 invented congeneric reliability, there is a subtle difference between the formula given there and the modern one. As discussed in Cho & Chun 2018, McDonald's denominator totals observed covariances, but the modern definition divides by the sum of fitted covariances.
  3. ^ McDonald, R. P. (1970). Theoretical canonical foundations of principal factor analysis, canonical factor analysis, and alpha factor analysis. British Journal of Mathematical and Statistical Psychology, 23, 1-21. doi:10.1111/j.2044-8317.1970.tb00432.x.
  4. ^ a b Cho, E. and Chun, S. (2018), Fixing a broken clock: A historical review of the originators of reliability coefficients including Cronbach’s alpha. Survey Research, 19(2), 23–54.
  5. ^ a b c d e Jöreskog, K. G. (1971). Statistical analysis of sets of congeneric tests. Psychometrika, 36(2), 109–133. https://doi.org/10.1007/BF02291393
  6. ^ a b Werts, C. E., Linn, R. L., & Jöreskog, K. G. (1974). Intraclass reliability estimates: Testing structural assumptions. Educational and Psychological Measurement, 34, 25–33. doi:10.1177/001316447403400104
  7. ^ Graham, J. M. (2006). Congeneric and (Essentially) Tau-Equivalent Estimates of Score Reliability What They Are and How to Use Them. Educational and Psychological Measurement, 66(6), 930–944. https://doi.org/10.1177/0013164406288165
  8. ^ Lucke, J. F. (2005). “Rassling the Hog”: The Influence of Correlated Item Error on Internal Consistency, Classical Reliability, and Congeneric Reliability. Applied Psychological Measurement, 29(2), 106–125. https://doi.org/10.1177/0146621604272739
  9. ^ Werts, C. E., Rock, D. R., Linn, R. L., & Jöreskog, K. G. (1978). A general method of estimating the reliability of a composite. Educational and Psychological Measurement, 38(4), 933–938. https://doi.org/10.1177/001316447803800412
  10. ^ Cronbach, L. J., & Meehl, P. E. (1955). Construct validity in psychological tests. Psychological Bulletin, 52(4), 281–302. https://doi.org/10.1037/h0040957
  11. ^ Hair, J. F., Babin, B. J., Anderson, R. E., & Black, W. C. (2018). Multivariate data analysis (8th ed.). Cengage.
  12. ^ Padilla, M. (2019). A Primer on Reliability via Coefficient Alpha and Omega. Archives of Psychology, 3(8), Article 8. https://doi.org/10.31296/aop.v3i8.125
  13. ^ Revelle, W., & Zinbarg, R. E. (2009). Coefficients alpha, beta, omega, and the glb: Comments on Sijtsma. Psychometrika, 74(1), 145–154. https://doi.org/10.1007/s11336-008-9102-z
  14. ^ Bagozzi & Yi (1988), https://dx.doi.org/10.1177/009207038801600107
  15. ^ Guide & Ketokivi (2015), https://dx.doi.org/10.1016/S0272-6963(15)00056-X

External links

  • RelCalc, tools to calculate congeneric reliability and other coefficients.
  • Handbook of Management Scales, Wikibook that contains management related measurement models, their indicators and often congeneric reliability.
This page was last edited on 28 April 2024, at 18:54
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