superb
Software:80101
Summary Plots with Adjusted Error Bars
Last update: 9 February 2024
Copyright license: GNU General Public License, version 3.0
Software version identifier: 0.95.7, 0.9.4.2, 0.9.5.0, 0.9.7.5, 0.9.7.6, 0.9.7.7, 0.9.7.8, 0.95.0, 0.95.9
Computes standard error and confidence interval of various descriptive statistics under various designs and sampling schemes. The main function, superbPlot(), return a plot. superbData() returns a dataframe with the statistic and its precision interval so that other plotting package can be used. See Cousineau and colleagues (2021) <doi:10.1177/25152459211035109> or Cousineau (2017) <doi:10.5709/acp-0214-z> for a review as well as Cousineau (2005) <doi:10.20982/tqmp.01.1.p042>, Morey (2008) <doi:10.20982/tqmp.04.2.p061>, Baguley (2012) <doi:10.3758/s13428-011-0123-7>, Cousineau & Laurencelle (2016) <doi:10.1037/met0000055>, Cousineau & O'Brien (2014) <doi:10.3758/s13428-013-0441-z>, Calderini & Harding <doi:10.20982/tqmp.15.1.p001> for specific references.
- Summary Plots With Adjusted Error Bars: The superb Framework With an Implementation in R
- Varieties of Confidence Intervals
- Confidence intervals in within-subject designs: A simpler solution to Loftus and Masson's method
- Confidence Intervals from Normalized Data: A correction to Cousineau (2005)
- Calculating and graphing within-subject confidence intervals for ANOVA
- A correction factor for the impact of cluster randomized sampling and its applications.
- Error bars in within-subject designs: a comment on Baguley (2012)
- GRD for R: An intuitive tool for generating random data in R