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An important advantage of the Kaplan–Meier curve is that the method can take into account some types of censored data, particularly right-censoring, which occurs if a patient withdraws from a study, is lost to follow-up, or is alive without event occurrence at last follow-up. On the plot, small vertical tick-marks state individual patients ...
S(t) is theoretically a smooth curve, but it is usually estimated using the Kaplan–Meier (KM) curve. The graph shows the KM plot for the aml data and can be interpreted as follows: The x axis is time, from zero (when observation began) to the last observed time point. The y axis is the proportion of subjects surviving. At time zero, 100% of ...
As a counterpart of the Kaplan–Meier curve, which is used to describe the time to a terminal event, recurrent event data can be described using the mean cumulative function, which is the average number of cumulative events experienced by an individual in the study at each point in time since the start of follow-up.
The curve represents the odds of an endpoint having occurred at each point in time (the hazard). The hazard ratio is simply the relationship between the instantaneous hazards in the two groups and represents, in a single number, the magnitude of distance between the Kaplan–Meier plots. [7] Hazard ratios do not reflect a time unit of the study.
Paul Meier (July 24, 1924 – August 7, 2011) [1] was a statistician who promoted the use of randomized trials in medicine. [2] [3]Meier is known for introducing, with Edward L. Kaplan, the Kaplan–Meier estimator, [4] [5] a method for measuring how many patients survive a medical treatment from one duration to another, taking into account that the sampled population changes over time.
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Epi Info has been in development for over 20 years. The first version, Epi Info 1, was originally developed by Jeff Dean while he was in high school. [3] [4] It was an MS-DOS batch file on 5.25" floppy disks and released in 1985. [5]
Confidence bands can be constructed around estimates of the empirical distribution function.Simple theory allows the construction of point-wise confidence intervals, but it is also possible to construct a simultaneous confidence band for the cumulative distribution function as a whole by inverting the Kolmogorov-Smirnov test, or by using non-parametric likelihood methods.