Table 5.
Multivariate model of effective coverage among those with 12-month major depressive disorder, in all countries (n = 3341)
| Among those with 12-month MDD (n = 3341), received effective coveragea | ||||
|---|---|---|---|---|
| OR | (95% CI) | F test | FDR† | |
| Age | ||||
| Middle Age (30–59) Y/N | 1.6* | (1.2–2.1) | 11.0* | 0.004 |
| Income | ||||
| High Income Y/N | 1.3 | (0.9–1.8) | 1.6 | 0.208 |
| Level of education | ||||
| Average-high to high education, Y/N | 1.6* | (1.2–2.2) | 9.2* | 0.006 |
| Type of insurance | ||||
| Direct private/optional insurance, Y/N | 1.6* | (1.1–2.5) | 5.0* | 0.042 |
| Severity | ||||
| REF: Severe | ||||
| Moderate | 1.3 | (1.0–1.8) | 2.3 | 0.127 |
| Mild | 0.9 | (0.6–1.4) | ||
| Global F test for multivariate model | 5.8* | |||
MDD major depressive disorder; OR odds ratio; CI confidence interval
*Significant at the .05 level, two-sided test
aModel is a multivariate model with all rows in the same model, controlling for country dummies
†FDR: False discovery rate adjustment for multiple testing implementing the Benjamini-Hockberg method