Semiparametric estimation of marginal hazard function from case-control family studies

被引:22
|
作者
Li, S [1 ]
Lu, C
Gorfine, M
Malone, K
机构
[1] Fred Hutchinson Canc Res Ctr, Div Publ Hlth Sci, Seattle, WA 98109 USA
[2] Univ Washington, Dept Biostat, Seattle, WA 98195 USA
[3] Bar Ilan Univ, Dept Math & Stat, IL-52900 Ramat Gan, Israel
关键词
case-control family data; correlated failure times; cross-ratio function; frailty model; hazard function; semiparametric;
D O I
10.1111/j.0006-341X.2004.00249.x
中图分类号
Q [生物科学];
学科分类号
07 ; 0710 ; 09 ;
摘要
Estimating marginal hazard function from the correlated failure time data arising from case-control family studies is complicated by noncohort study design and risk heterogeneity due to unmeasured, shared risk factors among the family members. Accounting for both factors in this article, we propose a two-stage estimation procedure. At the first stage, we estimate the dependence parameter in the distribution for the risk heterogeneity without obtaining the marginal distribution first or simultaneously. Assuming that the dependence parameter is known, at the second stage we estimate the marginal hazard function by iterating between estimation of the risk heterogeneity (frailty) for each family and maximization of the partial likelihood function with an offset to account for the risk heterogeneity. We also propose an iterative procedure to improve the efficiency of the dependence parameter estimate. The simulation study shows that both methods perform well under finite sample sizes. We illustrate the method with a case-control family study of early onset breast cancer.
引用
收藏
页码:936 / 944
页数:9
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