Covariate and multinomial: Accounting for distance in movement in capture-recapture analyses

被引:1
|
作者
Guery, Lorelei [1 ,2 ]
Rouan, Lauriane [3 ]
Descamps, Sebastien [4 ]
Bety, Joel [1 ,2 ]
Fernandez-Chacon, Albert [5 ]
Gilchrist, Grant [6 ]
Pradel, Roger [7 ]
机构
[1] Univ Quebec Rimouski, Dept Biol Chim & Geog, Rimouski, PQ, Canada
[2] Ctr Etud Nord, Laval, PQ, Canada
[3] CIRAD, Dept Syst Biol, Ameliorat Genet & Adaptat Plantes Mediterraneenne, Montpellier, France
[4] Norwegian Polar Res Inst, Fram Ctr, Tromso, Norway
[5] UO, Res Unit Biodivers, CSIC, PA, Mieres, Spain
[6] Environm Canada, Natl Wildlife Res Ctr, Ottawa, ON, Canada
[7] Univ Paul Valery Montpellier, Univ Montpellier, CNRS, CEFE,UMR 5175, Montpellier, France
来源
ECOLOGY AND EVOLUTION | 2019年 / 9卷 / 02期
基金
加拿大自然科学与工程研究理事会;
关键词
covariate; dependent estimates; link function; multinomial logit; transformations; variance-covariance matrix; SURVIVAL; POPULATIONS; DISPERSAL; VARIANCE; MODELS;
D O I
10.1002/ece3.4827
中图分类号
Q14 [生态学(生物生态学)];
学科分类号
071012 ; 0713 ;
摘要
Many biological quantities cannot be measured directly but rather need to be estimated from models. Estimates from models are statistical objects with variance and, when derived simultaneously, covariance. It is well known that their variance-covariance (VC) matrix must be considered in subsequent analyses. Although it is always preferable to carry out the proposed analyses on the raw data themselves, a two-step approach cannot always be avoided. This situation arises when the parameters of a multinomial must be regressed against a covariate. The Delta method is an appropriate and frequently recommended way of deriving variance approximations of transformed and correlated variables. Implementing the Delta method is not trivial, and there is a lack of a detailed information on the procedure in the literature for complex situations such as those involved in constraining the parameters of a multinomial distribution. This paper proposes a how-to guide for calculating the correct VC matrices of dependant estimates involved in multinomial distributions and how to use them for testing the effects of covariates in post hoc analyses when the integration of these analyses directly into a model is not possible. For illustrative purpose, we focus on variables calculated in capture-recapture models, but the same procedure can be applied to all analyses dealing with correlated estimates with multinomial distribution and their variances and covariances.
引用
收藏
页码:818 / 824
页数:7
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