I have conducted a Generalized Linear Mixed Model. For the output, see below. Normally (when reporting results from an ANOVA), I write something like this: F(1, 116) = 6.09, p = .015, η2 = .04. But which statistical parameters (e.g. ß, ...) do I use when reporting the results below (according to APA).
Thanks in advance :)
747.5 788.7 -364.7 729.5 711
Scaled residuals:
Min 1Q Median 3Q Max
-4.4527 -0.4184 0.2273 0.4934 2.0564
Random effects:
Groups Name Variance Std.Dev.
id (Intercept) 3.006 1.734
Number of obs: 720, groups: id, 120
Fixed effects:
Estimate Std. Error z value Pr(>|z|)
(Intercept) -9.985e-01 5.763e-01 -1.733 0.0832 .
Risikodarstellung 1.351e+00 7.763e-01 1.740 0.0819 .
Icon -7.898e-01 7.961e-01 -0.992 0.3211
Position -8.368e-07 1.183e-01 0.000 1.0000
Risikodarstellung:Icon -9.109e-02 1.141e+00 -0.080 0.9364
Risikodarstellung:Position 3.297e-01 1.659e-01 1.987 0.0469 *
Icon:Position 7.937e-01 1.822e-01 4.357 1.32e-05 ***
Risikodarstellung:Icon:Position -4.527e-01 2.673e-01 -1.694 0.0903 .
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Signif. codes: 0 ‘***’ 0.001 ‘**’ 0.01 ‘*’ 0.05 ‘.’ 0.1 ‘ ’ 1
Correlation of Fixed Effects:
(Intr) Rskdrs Icon Positn Rskd:I Rskd:P Icn:Ps
Rskdrstllng -0.746
Icon -0.712 0.529
Position -0.718 0.533 0.520
Rskdrstll:I 0.502 -0.675 -0.698 -0.363
Rskdrstll:P 0.502 -0.700 -0.371 -0.713 0.480
Icon:Positn 0.446 -0.325 -0.719 -0.649 0.495 0.477
Rskdrst:I:P -0.312 0.435 0.490 0.443 -0.719 -0.620 -0.670 ```
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