Meßniveau und Analyseverfahren – Das Problem „strittiger Intervallskalen”

1978 ◽  
Vol 7 (3) ◽  
Author(s):  
Klaus R. Allerbeck

AbstractMany variables used in social research are measured „by fiat”. The „undermeasurement controversy” focusses on the question whether such variables may be treated as interval scales in the process of data analysis. To resolve this issue, the original prescriptions by STEVENS (1946) are critically examined. From a philosophy of science perspective, the problem of the undermeasurement controversy needs redefinition. The traditional issue „Should ordinal scales be treated as interval” is shown to be strictly nonsensical.A strict comparison of statements about relationships between variables assumed to be „measured” at the ordinal or interval level is not possible. In particular, linearity of relationships is a meaningful concept only if interval scales are assumed. However, statements about 1. existence, 2. direction and 3. comparative strength of relationships are possible at both ordinal and interval levels of measurement. Thus, a meaningful question is whether treatment of an assumed interval scale as merely ordinal yields different or identical statements.It is empirically demonstrated that for typical social survey data of an attitudinal nature, the use of an ordinal measure of association and the use of product-moment correlation coefficients lead to virtually identical statements (to the extent to which their comparison is meaningful).The generalizibility of the result is discussed. An argument for the parametric strategy is made. The coding of variables measured by fiat is discussed. Progress of theory-building in sociology requires that theories state more than just the direction of relationships. Thus ratio scales are needed. It is pointed out that metric concepts are both a condition and consequence of development in theory as well as empirical research. A general adoption of a conservative ordinal strategy would effectively prevent such empirical and theoretical progress.

2015 ◽  
Vol 27 (27) ◽  
pp. 51-65 ◽  
Author(s):  
Zbigniew Głąbiński

Abstract The aim of the article is to discuss the possibilities of applying social research methods in the analysis of seniors' tourism activity. It emphasises the fact that research related to the participation of seniors in tourism is of major signifi-cance in many countries with rapidly changing population. The author mentions the methodological determinants of conducting social research that derive from two basic paradigms: quantitative and qualitative. Based on examples from the literature, the article presents the benefits and limitations of their use in conducting research on seniors' tourism activity. In the final part of the article, the author lists the methodological postulates regarding the implementation of the research among seniors as a specific segment of tourism activity.


1975 ◽  
Vol 41 (1) ◽  
pp. 3-28 ◽  
Author(s):  
Lubomir S. Prytulak

Numerous observations are incongruous with Stevens-tradition theory of scale classification: (a) ratio scales, when available, are not necessarily preferred to interval scales; (b) the same scale changes classification depending on the use to which it is put; (c) a scale considered in isolation cannot be classified; (d) performing an inadmissible transformation on a scale entails no loss of information; and (e) the ratio scales of psychophysics do not qualify as interval scales. These incongruities result from such theorists': (a) belief that they classify scales when they really classify functions between scales; (b) belief that scientists seek new rules for assigning numbers to familiar events when, in fact, they seek new events to assign numbers to using familiar rules; and (c) confusion of function type with judgment type, leading to the erroneous claim that the ratio scales of psychophysics are distinct from other behavioral scales. Implications of the above interpretation of Stevens-tradition theory are that: (a) ranking of scales according to desirability is situation-specific—a situation-free ranking clashes with scientists' frequent preference for “inferior” scales and (b) proscriptions against mathematical manipulations or tests of statistical significance apply not to a single scale but to inferences from one scale to another.


Impact ◽  
2020 ◽  
Vol 2020 (9) ◽  
pp. 46-47
Author(s):  
Lucy Annette

The Japanese Association for Social Research (JASR) works to advance and promote the social sciences, furthering the discipline while also highlighting its importance. It was formed in 2003 as the Japanese Certification Board for Social Researchers with a view to administering accreditation on behalf of its three founding societies: the Japan Sociological Society, the Japan Society of Educational Sociology and the Behaviormetric Society of Japan. Five years later, it was reorganised into its current form and operates independently of its founding societies. JASR's focus on social research involves ensuring continuous improvement in social survey research and instilling public trust in this area. It operates a qualification called the Program of Certified Social Researcher, which is designed to certify social researchers. Further activities for the JASR relate to: granting certification; accreditation of tertiary education courses; seminars; grants; symposia and lecture meetings; awards; consulting; and publications. The ultimate goal of these activities is to support and promote practitioner and researcher professional development, thereby assisting in the development of social research. Its efforts to further the continuation of education for social researchers also involve the JASR hosting relevant seminars, symposia and lecture meetings. As part of these events, leading experts share their knowledge with attendees, helping foster the professional development of practitioners and researchers. The JASR's seminar series covers the Standard Curriculum and primarily targets graduate students. It's completion contributes to the requirements for the Certificate of Advanced Social Research.


Methodology ◽  
2006 ◽  
Vol 2 (3) ◽  
pp. 86-99 ◽  
Author(s):  
Petra Stein

A central topic of empirical social research is the problem of unobserved heterogeneity. To solve this problem at least partially, a statistical model is presented: the finite mixture of conditional mean and covariance structure models. In this approach, the expected values in each component of a mixture may depend on normally or nonnormally distributed regressor variables. The expected value and the covariance matrix in each component of the mixture are parameterized using conditional mean and covariance structure models. Three different procedures for estimating the parameters of these models are briefly discussed. The model and the estimation procedures are applied to data of the German General Social Survey 1998 to identify heterogenous types of life style. Since different regression models with latent variables may be used for each type, it is not only possible to cover different types of life style, but also different types of relationships between life style dimensions and the influences of sociodemographic variables on life style.


2019 ◽  
Vol 35 (2) ◽  
pp. 227-237 ◽  
Author(s):  
Juan Sebastián Fernández-Prados ◽  
Cristina Cuenca-Piqueras ◽  
María José González-Moreno

AbstractThis article aims to analyse the presence of and relationship between the most relevant comparative social research thorough international surveys and public policies reflected in the different official bulletins or gazettes of the countries of southern Europe, specifically Spain, Portugal and Italy. Following a consideration of the process of globalisation of research through surveys, four surveys were selected (Eurobarometer, World Values Survey, International Social Survey Programme, European Social Survey). The complex relationships between public opinion and public policy were also addressed. Finally, it is concluded that the most prominent international surveys have little or no presence in public policies in the countries analysed.


2020 ◽  
Vol 32 (10) ◽  
pp. 1309-1315
Author(s):  
Stephen J. Cutler ◽  
Corina Ilinca

Objective: This study extends prior findings by looking at the relationship between hearing acuity and cognitive difficulties in 51 nations. Methods: We draw on data from the Integrated Public Use Microdata International Series available at the Institute for Social Research and Data Innovation at the University of Minnesota. For all countries where data are available, bivariate relationships between hearing and cognitive problems are examined using correlation coefficients ( Rs) and multivariate relationships using linear regression techniques (betas), controlling for age, gender, marital status, and education. Results: For all 51 countries, the R between hearing problems and cognitive problems is 0.334 ( p < .001); the multivariate beta is 0.316 ( p < .001). Regional results are also statistically significant. Discussion: The relationship between hearing and memory appears to be universal, and practitioners must carefully assess and treat their client’s hearing disabilities before they can expect them to remember any information.


2021 ◽  
Vol 22 (1) ◽  
Author(s):  
Mohammad Tabatabai ◽  
Stephanie Bailey ◽  
Zoran Bursac ◽  
Habib Tabatabai ◽  
Derek Wilus ◽  
...  

Abstract Background The most common measure of association between two continuous variables is the Pearson correlation (Maronna et al. in Safari an OMC. Robust statistics, 2019. https://login.proxy.bib.uottawa.ca/login?url=https://learning.oreilly.com/library/view/-/9781119214687/?ar&orpq&email=^u). When outliers are present, Pearson does not accurately measure association and robust measures are needed. This article introduces three new robust measures of correlation: Taba (T), TabWil (TW), and TabWil rank (TWR). The correlation estimators T and TW measure a linear association between two continuous or ordinal variables; whereas TWR measures a monotonic association. The robustness of these proposed measures in comparison with Pearson (P), Spearman (S), Quadrant (Q), Median (M), and Minimum Covariance Determinant (MCD) are examined through simulation. Taba distance is used to analyze genes, and statistical tests were used to identify those genes most significantly associated with Williams Syndrome (WS). Results Based on the root mean square error (RMSE) and bias, the three proposed correlation measures are highly competitive when compared to classical measures such as P and S as well as robust measures such as Q, M, and MCD. Our findings indicate TBL2 was the most significant gene among patients diagnosed with WS and had the most significant reduction in gene expression level when compared with control (P value = 6.37E-05). Conclusions Overall, when the distribution is bivariate Log-Normal or bivariate Weibull, TWR performs best in terms of bias and T performs best with respect to RMSE. Under the Normal distribution, MCD performs well with respect to bias and RMSE; but TW, TWR, T, S, and P correlations were in close proximity. The identification of TBL2 may serve as a diagnostic tool for WS patients. A Taba R package has been developed and is available for use to perform all necessary computations for the proposed methods.


Sign in / Sign up

Export Citation Format

Share Document