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. 2024 Jul 26;13:839. [Version 1] doi: 10.12688/f1000research.144803.1

Table 1. Means, standard deviations, and correlations with confidence intervals.

Variable M SD 1 2 3 4 5
1. Autonomy support 42.29 9.21
2. Satisfaction with autonomy 15.75 5.05 .44 **
[.35, .52]
3. Satisfaction with competence 15.53 5.09 .31 **
[.21, .40]
.37 **
[.27, .45]
4. Satisfaction with relationships with others 28.44 7.42 .45 **
[.36, .53]
.57 **
[.50, .64]
.29 **
[.19, .38]
5. Autonomous motivation 83.57 21.75 .42 **
[.33, .50]
.67 **
[.61, .72]
.52 **
[.44, .59]
.47 **
[.39, .55]
6. Depressive symptoms 1.83 1.57 -.08
[-.18, .03]
-.10 *
[-.21, -.00]
-.10 *
[-.21, -.00]
-.16 **
[-.26, -.06]
-.09
[-.19, .01]

Note. M and SD represent the mean and standard deviation, respectively. Values in brackets indicate the 95% confidence interval for each correlation. The confidence interval is a plausible range of population correlations that could have caused the sample correlation ( Cumming, 2014).

*

p < .05.

**

p < .01.