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st: estimating a correlation matrix after using MI


From   Alan Acock <acock@mac.com>
To   statalist@hsphsun2.harvard.edu
Subject   st: estimating a correlation matrix after using MI
Date   Fri, 07 May 2010 20:28:43 -0700

If we use mi to generate, say, 20 imputed datasets and do our analysis, how can we obtain a correlation matrix of our variables. The American Psychological Association often expects an appendix that reports the correlations of all variables in an analysis plus a vector of means and a vector of standard deviations. How do we best estimate this matrix when using mi?

Alan Acock
acock@mac.com

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