This function calculates the estimated variances, standard deviations, and correlations between the random-effects terms in a linear mixed-effects model, of class "lme", or a nonlinear mixed-effects model, of class "nlme". The within-group error variance and standard deviation are also calculated.
VarCorr(x, sigma =1,...)## S3 method for class 'lme'VarCorr(x, sigma = x$sigma, rdig =3,...)## S3 method for class 'pdMat'VarCorr(x, sigma =1, rdig =3,...)## S3 method for class 'pdBlocked'VarCorr(x, sigma =1, rdig =3,...)
Arguments
x: a fitted model object, usually an object inheriting from class "lme".
sigma: an optional numeric value used as a multiplier for the standard deviations. The default is x$sigma or 1
depending on class(x).
rdig: an optional integer value specifying the number of digits used to represent correlation estimates. Default is 3.
...: further optional arguments passed to other methods (none for the methods documented here).
Returns
a matrix with the estimated variances, standard deviations, and correlations for the random effects. The first two columns, named Variance and StdDev, give, respectively, the variance and the standard deviations. If there are correlation components in the random effects model, the third column, named Corr, and the remaining unnamed columns give the estimated correlations among random effects within the same level of grouping. The within-group error variance and standard deviation are included as the last row in the matrix.
References
Pinheiro, J.C., and Bates, D.M. (2000) Mixed-Effects Models in S and S-PLUS, Springer, esp. pp. 100, 461.