Table 2.
Depressed mood | |||
---|---|---|---|
| |||
Model 1a | Model 1b | ||
| |||
Location parameter | M (SD) [90% CI] | Scale parameter | M (SD) [90% CI] |
| |||
Fixed effects estimates | |||
| |||
β0 | −0.09 (0.06) [−0.21, 0.02] | η0 | −0.32 (0.09) [−0.50, −0.14] |
β1 Dayij | 0.00 (0.00) [0.00, 0.01] | η1 Dayij | 0.00 (0.00) [−0.01, 0.00] |
β2 Surveyij | 0.00 (0.01) [−0.01, 0.02] | η2 Surveyij | 0.02 (0.01) [0.01, 0.04] |
β3 DownLag1,ij | 0.08 (0.01) [0.06, 0.11] | η3 DownLag1,ij | 0.03 (0.01) [0.01, 0.04] |
β4 AnxietyLag1,ij | 0.00 (0.01) [−0.02, 0.01] | η4 AnxietyLag1,ij | 0.00 (0.01) [−0.02, 0.02] |
β5 Anxietyi | 0.01 (0.01) [−0.01, 0.03] | η5 Anxietyi | 0.01 (0.02) [−0.02, 0.05] |
β6 Anxietyij | 0.19 (0.01) [0.16, 0.22] | η6 Anxietyij | 0.06 (0.02) [0.03, 0.09] |
| |||
Random effects estimates | |||
| |||
μ0 | 0.02 (0.01) [0.00, 0.05] | μ0 | 0.16 (0.04) [0.09, 0.24] |
μ1 Dayij | 0.00 (0.00) [0.00, 0.00] | μ1 Dayij | 0.01 (0.00) [0.01, 0.02] |
μ2 Surveyij | 0.01 (0.00) [0.00, 0.02] | μ2 Surveyij | 0.02 (0.01) [0.00, 0.04] |
μ3 DownLag1,ij | 0.06 (0.01) [0.04, 0.08] | μ3 DownLag1,ij | 0.04 (0.01) [0.02, 0.06] |
μ4 AnxietyLag1,ij | 0.01 (0.01) [0.00, 0.04] | μ4 AnxietyLag1,ij | 0.04 (0.01) [0.01, 0.06] |
μ5 Anxietyij | 0.08 (0.01) [0.06, 0.11] | μ5 Anxietyij | 0.08 (0.01) [0.06, 0.11] |
| |||
Anxiety | |||
| |||
Model 2a | Model 2b | ||
| |||
Location parameter | M (SD) [90% CI] | Scale parameter | M (SD) [90% CI] |
| |||
Fixed effects estimates | |||
| |||
β0 | 0.08 (0.06) [−0.05, 0.21] | η0 | −0.16 (0.08) [−0.31, −0.01] |
β1 Dayij | 0.00 (0.00) [0.00, 0.00] | η1 Dayij | −0.01 (0.00) [−0.01, 0.00] |
β2 Surveyij | −0.02 (0.01) [−0.04, 0.00] | η2 Surveyij | 0.01 (0.01) [−0.01, 0.04] |
β3 DownLag1,ij | 0.00 (0.01) [−0.02, 0.02] | η3 DownLag1,ij | 0.00 (0.01) [−0.01, 0.02] |
β4 AnxietyLag1,ij | 0.09 (0.01) [0.07, 0.10] | η4 AnxietyLag1,ij | 0.01 (0.01) [0.00, 0.03] |
β5 Downi | 0.00 (0.01) [−0.03, 0.03] | η5 Downi | 0.01 (0.02) [−0.03, 0.05] |
β6 Downij | 0.19 (0.02) [0.16, 0.22] | η6 Downij | 0.00 (0.01) [−0.02, 0.03] |
| |||
Random effects estimates | |||
| |||
μ0 | 0.06 (0.05) [0.00, 0.19] | μ0 | 0.08 (0.05) [0.01, 0.19] |
μ1 Dayij | 0.01 (0.00) [0.00, 0.01] | μ1 Dayij | 0.01 (0.00) [0.01, 0.02] |
μ2 Surveyij | 0.02 (0.01) [0.00, 0.04] | μ2 Surveyij | 0.04 (0.01) [0.02, 0.06] |
μ3 DownLag1,ij | 0.02 (0.01) [0.00, 0.04] | μ3 DownLag1,ij | 0.02 (0.01) [0.00, 0.04] |
μ4 AnxietyLag1,ij | 0.03 (0.01) [0.01, 0.05] | μ4 AnxietyLag1,ij | 0.03 (0.01) [0.01, 0.04] |
μ5 Downij | 0.08 (0.01) [0.06, 0.11] | μ5 Downij | 0.05 (0.01) [0.03, 0.07] |
Note. 90% CI refers to the credible interval (CI) around the posterior distribution. The 90% CI denotes the interval that the associated estimate lies within, with 90% certainty. If the 90% CI does not include 0, the estimate is likely to be non-zero, with 95% certainty; these estimates are bolded. Subscript i refers to a person-mean value; ij refers to a person-mean centered variable.