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Understanding and misunderstanding group mean centering: a commentary on Kelley et al.’s dangerous practice

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  • Andrew Bell

    (Sheffield Methods Institute, University of Sheffield)

  • Kelvyn Jones

    (University of Bristol)

  • Malcolm Fairbrother

    (Umeå University)

Abstract

Kelley et al. argue that group-mean-centering covariates in multilevel models is dangerous, since—they claim—it generates results that are biased and misleading. We argue instead that what is dangerous is Kelley et al.’s unjustified assault on a simple statistical procedure that is enormously helpful, if not vital, in analyses of multilevel data. Kelley et al.’s arguments appear to be based on a faulty algebraic operation, and on a simplistic argument that parameter estimates from models with mean-centered covariates must be wrong merely because they are different than those from models with uncentered covariates. They also fail to explain why researchers should dispense with mean-centering when it is central to the estimation of fixed effects models—a common alternative approach to the analysis of clustered data, albeit one increasingly incorporated within a random effects framework. Group-mean-centering is, in short, no more dangerous than any other statistical procedure, and should remain a normal part of multilevel data analyses where it can be judiciously employed to good effect.

Suggested Citation

  • Andrew Bell & Kelvyn Jones & Malcolm Fairbrother, 2018. "Understanding and misunderstanding group mean centering: a commentary on Kelley et al.’s dangerous practice," Quality & Quantity: International Journal of Methodology, Springer, vol. 52(5), pages 2031-2036, September.
  • Handle: RePEc:spr:qualqt:v:52:y:2018:i:5:d:10.1007_s11135-017-0593-5
    DOI: 10.1007/s11135-017-0593-5
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    References listed on IDEAS

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    1. Jonathan Kelley & M. D. R. Evans & Jennifer Lowman & Valerie Lykes, 2017. "Group-mean-centering independent variables in multi-level models is dangerous," Quality & Quantity: International Journal of Methodology, Springer, vol. 51(1), pages 261-283, January.
    2. Schurer, S. & Yong, J., 2012. "Personality, well-being and the marginal utility of income: What can we learn from random coefficient models?," Health, Econometrics and Data Group (HEDG) Working Papers 12/01, HEDG, c/o Department of Economics, University of York.
    3. Bell, Andrew & Jones, Kelvyn, 2015. "Explaining Fixed Effects: Random Effects Modeling of Time-Series Cross-Sectional and Panel Data," Political Science Research and Methods, Cambridge University Press, vol. 3(1), pages 133-153, January.
    4. Mundlak, Yair, 1978. "On the Pooling of Time Series and Cross Section Data," Econometrica, Econometric Society, vol. 46(1), pages 69-85, January.
    5. Fairbrother, Malcolm, 2014. "Two Multilevel Modeling Techniques for Analyzing Comparative Longitudinal Survey Datasets," Political Science Research and Methods, Cambridge University Press, vol. 2(1), pages 119-140, April.
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    Cited by:

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