1 Loading Libraries

#install.packages("apaTables")
#install.packages("kableExtra")

library(psych) # for the describe() command and the corr.test() command
library(apaTables) # to create our correlation table
library(kableExtra) # to create our correlation table

2 Importing Data

d <- read.csv(file="Data/projectdata.csv", header=T)

# For HW, import the your project dataset you cleaned previously; this will be the dataset you'll use throughout the rest of the semester

3 State Your Hypothesis

There will be a significant relationship between Self Efficacy, life satisfaction, and Narcissistic Personality. Specifically, Self Efficacy will be positively related to Life Satisfaction but negatively related to Narcissistic Personality; and Life Satisfaction will be negatively related to Narcissistic Personality.

4 Check Your Variables

# We're going to create a fake variable for this lab, so that we have four variables. 

# you only need to check the variables you're using in the current analysis
# it's always a good idea to look them to be sure that everything is correct
str(d)
## 'data.frame':    3078 obs. of  7 variables:
##  $ ResponseID      : chr  "R_BJN3bQqi1zUMid3" "R_2TGbiBXmAtxywsD" "R_12G7bIqN2wB2N65" "R_39pldNoon8CePfP" ...
##  $ npi             : num  0.6923 0.1538 0.0769 0.0769 0.7692 ...
##  $ efficacy        : num  3.4 3.4 2.2 2.8 3 2.4 2.3 3 3 3.7 ...
##  $ swb             : num  4.33 4.17 1.83 5.17 3.67 ...
##  $ moa_independence: num  3.67 3.67 3.5 3 3.83 ...
##  $ usdream         : chr  "american dream is important and achievable for me" "american dream is important and achievable for me" "american dream is not important and maybe not achievable for me" "american dream is not important and maybe not achievable for me" ...
##  $ edu             : chr  "2 Currently in college" "5 Completed Bachelors Degree" "2 Currently in college" "2 Currently in college" ...
# Since we're focusing only on our continuous variables, we're going to subset them into their own dataframe. This will make some stuff we're doing later on easier.

d2 <- subset(d, select=c(efficacy, swb, npi))

# You can use the describe() command on an entire dataframe (d) or just on a single variable (d$pss)

describe(d2)
##          vars    n mean   sd median trimmed  mad min max range  skew kurtosis
## efficacy    1 3078 3.13 0.45   3.10    3.13 0.44 1.1   4   2.9 -0.26     0.48
## swb         2 3078 4.47 1.32   4.67    4.53 1.48 1.0   7   6.0 -0.37    -0.46
## npi         3 3078 0.28 0.31   0.15    0.24 0.23 0.0   1   1.0  0.94    -0.70
##            se
## efficacy 0.01
## swb      0.02
## npi      0.01
# NOTE: Our fake variable has high kurtosis, which we'll ignore for the lab because we created it to be problematic. If you have high skew or kurtosis for any of your project variables, you will need to discuss it below in the Issues with My Data and Write up Results sections, as well as in your final project manuscript if your data does not meet the normality assumption.


# also use histograms to examine your continuous variables
# Because we are looking at 3 variables, we will have 3 histograms.

hist(d$efficacy)

hist(d$swb)

hist(d$npi)

# last, use scatterplots to examine your continuous variables together, for each pairing
# because we are looking at 3 variables, we will have 3 pairings/plots. 

plot(d$efficacy, d$swb)

plot(d$efficacy, d$npi)

plot(d$swb, d$npi)

5 Check Your Assumptions

5.1 Pearson’s Correlation Coefficient Assumptions

  • Should have 2 measurements for each participant.
  • Variables should be continuous and normally distributed.
  • Outliers should be identified and removed.
  • Relationship between the variables should be linear .

5.1.1 Checking for Outliers

Note: For correlations, you will NOT screen out outliers or take any action based on what you see here. This is something you will simply check and then discuss in your write-up.We will learn how to removed outliers in later analyses.

# We are going to standardize (z-score) all of our 3 variables, and check them for outliers.

d2$efficacy <- scale(d2$efficacy, center=T, scale=T)
hist(d2$efficacy)

sum(d2$efficacy < -3 | d2$efficacy > 3)
## [1] 16
d2$swb <- scale(d2$swb, center=T, scale=T)
hist(d2$swb)

sum(d2$swb < -3 | d2$swb > 3)
## [1] 0
d2$npi <- scale(d2$npi, center=T, scale=T)
hist(d2$npi)

sum(d2$npi < -3 | d2$npi > 3)
## [1] 0

5.2 Issues with My Data

Two of my variables meet all of the assumptions of Pearson’s correlation coefficient. One variable, Self Efficacy had 16 outliers. Outliers can distort the relationship between two variables and sway the correlation in their direction.

6 Run a Single Correlation

corr_output <- corr.test(d2$efficacy, d2$swb)

7 View Single Correlation

corr_output
## Call:corr.test(x = d2$efficacy, y = d2$swb)
## Correlation matrix 
##      [,1]
## [1,]  0.4
## Sample Size 
## [1] 3078
## These are the unadjusted probability values.
##   The probability values  adjusted for multiple tests are in the p.adj object. 
##      [,1]
## [1,]    0
## 
##  To see confidence intervals of the correlations, print with the short=FALSE option

8 Create a Correlation Matrix

corr_output_m <- corr.test(d2)

9 View Test Output

corr_output_m
## Call:corr.test(x = d2)
## Correlation matrix 
##          efficacy  swb  npi
## efficacy     1.00 0.40 0.16
## swb          0.40 1.00 0.04
## npi          0.16 0.04 1.00
## Sample Size 
## [1] 3078
## Probability values (Entries above the diagonal are adjusted for multiple tests.) 
##          efficacy  swb  npi
## efficacy        0 0.00 0.00
## swb             0 0.00 0.04
## npi             0 0.04 0.00
## 
##  To see confidence intervals of the correlations, print with the short=FALSE option
# Remember to report the p-values from the matrix that are ABOVE the diagonal!

Remember, Pearson’s r is also an effect size! We don’t report effect sizes for non-sig correlations.

  • Strong: Between |0.50| and |1|
  • Moderate: Between |0.30| and |0.49|
  • Weak: Between |0.10| and |0.29|
  • Trivial: Less than |0.09|

10 Write Up Results

To test our hypothesis that Self Efficacy, Life Satisfaction, and Narcissistic Personality would be correlated with one another, we calculated a series of Pearson’s correlation coefficients. Two of the variables (Narcissistic Personality and life satisfaction) met the required assumptions of the test, with both meeting the standards of normality and containing no outliers . One variable, Self Efficacy, had 16 outliers.

As predicted, we found that all three variables were significantly correlated (all ps < .05). The effect sizes of all correlations were different. Self Efficacy and Life Satisfaction were moderately related(rs <.49 and > .3; Cohen, 1988). Self Efficacy and Narcissistic Personality Inventory were weakly related(rs <.29 and >.10; Cohen, 1988). Lastly, Life Satisfaction and Narcissistic Personality Inventory were trivially related (rs < .09; Cohen, 1988) We found a positive relationship between Narcissistic Personality and Self Efficacy, and Narcissistic Personality and Life Satisfaction. These findings are in contrast to our Hypothesis.Please refer to the correlation coefficients reported in Table 1.

Table 1: Means, standard deviations, and correlations with confidence intervals
Variable M SD 1 2
Self Efficacy 3.13 0.45
Life satisfaction 4.47 1.32 .40**
[.37, .43]
Narcissistic Personality Inventory 0.28 0.31 .16** .04*
[.13, .20] [.00, .07]
Note:
M and SD are used to represent mean and standard deviation, respectively. Values in square brackets indicate the 95% confidence interval. The confidence interval is a plausible range of population correlations that could have caused the sample correlation.
* indicates p < .05
** indicates p < .01.

References

Cohen J. (1988). Statistical Power Analysis for the Behavioral Sciences. New York, NY: Routledge Academic.