1989 | 1990 | 1991 | 1992 | 1994 | 1995 | 1997 | 1999 | 2005 | 2007 | |
---|---|---|---|---|---|---|---|---|---|---|
1989 | - | .031 | −.015 | −.020 | .038 | .038 | .070 | .061 | −.049 | .006 |
1990 | - | −.100 | −.025 | −.047 | −.004 | −.030 | −.041 | −.059 | −.015 | |
1991 | - | −.107 | .041 | .015 | −.015 | .036 | −.004 | .013 | ||
1992 | - | .043 | .019 | .066 | .013 | .001 | .001 | |||
1994 | - | .050 | .118 | .039 | −.055 | −.010 | ||||
1995 | - | .064 | .031 | −.061 | −.024 | |||||
1997 | - | .117 | −.039 | −.053 | ||||||
1999 | - | −.064 | .026 | |||||||
2005 | - | −.056 | ||||||||
2007 | - |
Note: Coefficients are the differences between the latent variable correlations from Model 1 (Table 2) and the model implied values from Model 5 (Table 5). Positive numbers indicate the model implied value from Model 5 was larger than latent variable correlation. Differences were calculated by first r-to-z transforming the correlations, taking the difference, and then back transforming to the difference to the r metric. Discrepancies ≥ |.10| are bolded.