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. 2014 Aug 19;369(1649):20130252. doi: 10.1098/rstb.2013.0252

Figure 7.

Figure 7.

Posterior means and 95% credible intervals for the four measures used to characterize G matrices expressed as correlations (see Methods section): (a) ‘relative eigenvalue variance’ (varrel(λ)), (b) ‘eigenvalue variance’ (var(λ)) and (c) ‘eigenvalue evenness’ (Eλ). Trait labels and taxon symbols are as in figure 6.