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How do these three species of Iris differ in terms of flower size and shape?
What sort of graph should Edgar produce to visualise how species differ in flower size and shape?
He has more than two response variables so I guess as well as plotting each response one-at-a-time he could try plotting them simultaneously using ordination (factor analysis, for example). In either plot he would want to label different species differently to see variation across species.
Is there evidence of a change in invertebrate communities due to bush regeneration efforts?
What sort of graph should Anthony produce to visualise the effects of bush regeneration on invertebrate communities?
Anthony has a bunch of response variables so I guess as well as plotting each response one-at-a-time he could try plotting them simultaneously using ordination. He has counts so will need something that works for non-Gaussian responses like generalised latent variable models. In either plot he would want to label different species differently to see variation between revegetated and control plots.
mvabund
.library(mvabund)
library(ecostats)
data(reveg)
reveg$abundMV=mvabund(reveg$abund) #to treat data as multivariate
plot(abundMV~treatment, data=reveg)
#> Overlapping points were shifted along the y-axis to make them visible.
#>
#> PIPING TO 2nd MVFACTOR
#> Only the variables Collembola, Acarina, Formicidae, Coleoptera, Diptera, Amphipoda, Isopoda, Larvae, Hemiptera, Soleolifera, Hymenoptera, Araneae were included in the plot
#> (the variables with highest total abundance).
Can you see any taxa that seem to be associated with bush regeneration?
There seem to be less invertebrates in control plots for Collembola, Acarina, Coloeptera, Amphipoda and maybe a few Orders.
data("iris")
pc = princomp(iris[,1:4],cor=TRUE)
pc
#> Call:
#> princomp(x = iris[, 1:4], cor = TRUE)
#>
#> Standard deviations:
#> Comp.1 Comp.2 Comp.3 Comp.4
#> 1.7083611 0.9560494 0.3830886 0.1439265
#>
#> 4 variables and 150 observations.
loadings(pc)
#>
#> Loadings:
#> Comp.1 Comp.2 Comp.3 Comp.4
#> Sepal.Length 0.521 0.377 0.720 0.261
#> Sepal.Width -0.269 0.923 -0.244 -0.124
#> Petal.Length 0.580 -0.142 -0.801
#> Petal.Width 0.565 -0.634 0.524
#>
#> Comp.1 Comp.2 Comp.3 Comp.4
#> SS loadings 1.00 1.00 1.00 1.00
#> Proportion Var 0.25 0.25 0.25 0.25
#> Cumulative Var 0.25 0.50 0.75 1.00
biplot( pc, xlabs=rep("\u00B0",dim(iris)[1]) )
library(psych)
fa_iris <- fa(iris[,1:4], nfactors=2, fm="ml", rotate="varimax")
loadings(fa_iris)
#>
#> Loadings:
#> ML1 ML2
#> Sepal.Length 0.997
#> Sepal.Width -0.115 -0.665
#> Petal.Length 0.871 0.486
#> Petal.Width 0.818 0.514
#>
#> ML1 ML2
#> SS loadings 2.436 0.942
#> Proportion Var 0.609 0.236
#> Cumulative Var 0.609 0.844
How do results compare to the principal components analysis?
They look awfully similar. The second factor looks a little different, and is flipped around the other way (so big vlues mean narrow sepals), but it also has postive loadings for petal variables. So this could be interpreted as a measure of how large petals are relative to sepal width: big scores for large petals with narrow sepals, low scores for small petals with wide sepals. Recall that previously, the second PC was pretty much just a measure of how wide sepals were, now it is relative to petal size.
par(mfrow=c(2,2),mar=c(3,3,2,1),mgp=c(1.75,0.75,0))
for(iVar in 1:4)
{
irisIvar = iris[,iVar]
plotenvelope(lm(irisIvar~fa_iris$scores), which=1, col=iris$Species, main=print(names(iris)[iVar]), n.sim=99)
}
#> [1] "Sepal.Length"
#> [1] "Sepal.Width"
#> [1] "Petal.Length"
#> [1] "Petal.Width"
(Note that plotenvelope
was run with just
59
iterations, to speed up computation time.)
Load Anthony’s revegetation data (stored as reveg
in
the ecostats
package) and do a factor analysis (with two
factors).
data(reveg)
library(psych)
fa_reveg <- try(fa(reveg$abund, nfactors=2, fm="ml", rotate="varimax"))
#> Warning in cor.smooth(R): Matrix was not positive definite, smoothing was done
#> In smc, smcs < 0 were set to .0
#> Warning in cor.smooth(R): Matrix was not positive definite, smoothing was done
#> In smc, smcs < 0 were set to .0
#> Warning in log(e): NaNs produced
#> Error in optim(start, FAfn, FAgr, method = "L-BFGS-B", lower = 0.005, :
#> L-BFGS-B needs finite values of 'fn'
You might not be able to get a solution when using maximum likelihood estimation (fm=“ml”), in which case, try fitting using without specifying the fm argument (which tries to minimise residuals).
fa_reveg <- fa(reveg$abund, nfactors=2)
#> Warning in cor.smooth(R): Matrix was not positive definite, smoothing was done
#> In smc, smcs < 0 were set to .0
#> Warning in cor.smooth(R): Matrix was not positive definite, smoothing was done
#> In smc, smcs < 0 were set to .0
#> Warning in cor.smooth(R): Matrix was not positive definite, smoothing was done
#> In smc, smcs < 0 were set to .0
#> Loading required namespace: GPArotation
#> Warning in cor.smooth(r): Matrix was not positive definite, smoothing was done
#> Warning in fa.stats(r = r, f = f, phi = phi, n.obs = n.obs, np.obs = np.obs, : The estimated
#> weights for the factor scores are probably incorrect. Try a different factor score estimation
#> method.
#> In factor.scores, the correlation matrix is singular, an approximation is used
#> Warning in cor.smooth(r): Matrix was not positive definite, smoothing was done
This returned some concerning warnings but did fit the model :)
Check some assumptions, by fitting a linear model to some of the response variables, as a function of factor scores.
par(mfrow=c(3,3),mar=c(3,3,2,1),mgp=c(1.75,0.75,0))
for(iVar in 1:9)
{
y=reveg$abund[,iVar]
plotenvelope(lm(y~fa_reveg$scores), which=1,main=names(reveg$abund)[iVar], n.sim=99)
}
par(mfrow=c(3,3),mar=c(3,3,2,1),mgp=c(1.75,0.75,0))
for(iVar in 1:9)
{
y=reveg$abund[,iVar]
plotenvelope(lm(y~fa_reveg$scores), which=2,main=names(reveg$abund)[iVar], n.sim=99)
}
Can you see any issues with factor analysis assumptions?
With only ten observations it is always hard to see issues, and residual plots have huge error bars on them! But we have points outside their normal quantile simulation envelopes in several of these plots, and most have a suggestion of right-skew (the occasional large value). Note also that fitted values go below zero for many species which is most concerning considering we are modelling counts!
nFactors=3 # to compare models with up to 3 factors
BICs = rep(NA,nFactors) # define the vector that BIC values go in
names(BICs) = 1:nFactors # name its values according to #factors
for(iFactors in 1:nFactors) {
fa_iris <- fa(iris[,1:4], nfactors=iFactors, fm="ml", rotate="varimax")
BICs[iFactors] = fa_iris$objective - log(fa_iris$nh) * fa_iris$dof
}
BICs
#> 1 2 3
#> -9.436629 5.171006 15.031906
How many factors are supported by the data?
One, this has the smallest BIC.
data(reveg)
library(gllvm)
#>
#> Attaching package: 'gllvm'
#> The following objects are masked from 'package:VGAM':
#>
#> AICc, nobs, predict, vcov
#> The following objects are masked from 'package:stats4':
#>
#> nobs, vcov
#> The following object is masked from 'package:vegan':
#>
#> ordiplot
#> The following object is masked from 'package:mvabund':
#>
#> coefplot
#> The following objects are masked from 'package:stats':
#>
#> nobs, predict, simulate, vcov
reveg_LVM = gllvm(reveg$abund, num.lv=2, family="negative.binomial", trace=TRUE, jitter.var=0.2)
logLik(reveg_LVM)
#> 'log Lik.' -675.5768 (df=95)
Repeating this several times usually returns an answer of
-689.3
, so we can be confident this is (close to) the
maximum likelihood solution. To get a biplot of this solution:
In Code Box 12.6, a negative binomial model was fitted, using two latent variables. Are two latent variables needed, or should we use more, or less? Fit a few models varying the number of latent variables. Which model fits the data best, according to BIC?
reveg_LVM1 = gllvm(reveg$abund, num.lv=1, family="negative.binomial", trace=TRUE, jitter.var=0.2)
reveg_LVM2 = gllvm(reveg$abund, num.lv=2, family="negative.binomial", trace=TRUE, jitter.var=0.2)
reveg_LVM3 = gllvm(reveg$abund, num.lv=3, family="negative.binomial", trace=TRUE, jitter.var=0.2)
reveg_LVM4 = gllvm(reveg$abund, num.lv=4, family="negative.binomial", trace=TRUE, jitter.var=0.2)
reveg_LVM5 = gllvm(reveg$abund, num.lv=5, family="negative.binomial", trace=TRUE, jitter.var=0.2)
BIC(reveg_LVM1,reveg_LVM2,reveg_LVM3,reveg_LVM4,reveg_LVM5)
#> df BIC
#> reveg_LVM1 72 1557.821
#> reveg_LVM2 95 1578.730
#> reveg_LVM3 117 1575.276
#> reveg_LVM4 138 1587.444
#> reveg_LVM5 158 1633.496
For me two latent variable models was the winner!
Fit a Poisson model to the data and check assumptions. Are there any signs of overdispersion?
I’ll go with two latent variable models, on account of this looking the best in the above.
reveg_LVM1 = gllvm(reveg$abund, num.lv=2, family="poisson", trace=TRUE, jitter.var=0.2)
par(mfrow=c(1,3))
plot(reveg_LVM1,which=c(1,2,5))
Wow this does not look good! There is a clear fan-shape in the residual vs fits plot, which also shows up as an increasing trend in the scale-location plot. Points on the normal quantile plot are well outside bounds on both sides, frequently falling below -5 or above 5 (when we would expect most values between -3 and 3). These are all strong signs of overdispersion.
library(vegan)
ord_mds=metaMDS(reveg$abund,trace=0)
#> Square root transformation
#> Wisconsin double standardization
plot(ord_mds$points,pch=as.numeric(reveg$treatment),col=reveg$treatment)
library(mvabund)
data(tikus)
tikusAbund = tikus$abund[1:20,] # for 1981 and 1983 data only
tikusAbund = tikusAbund[,apply(tikusAbund,2,sum)>0] # remove zerotons
Construct an MDS plot of the data, using the Bray-Curtis distance (default), and colour-code symbols by year of sampling.
tikus_mds=metaMDS(tikusAbund, trace=0)
#> Square root transformation
#> Wisconsin double standardization
plot(tikus_mds$points,pch=as.numeric(tikus$x$time),col=tikus$x$time)
Does this plot agree with the Warwick et al. (1990) interpretation? [Warwick et al. (1990) used this dataset and MDS ordinations to argue that stress increases dispersion in coral communities]
Yes it does, 1981 (before El Niño disturbance) the points are close together in the middle of the ordination, 1983 (post disturbance) they are spread out around the same point but way further apart, suggesting a change in dispersion.
Construct another MDS plot using the Euclidean distance on
log(y+1)
-transformed data.
tikus_mdsEuc=metaMDS(log(tikusAbund+1), distance="euclidean", trace=0)
plot(tikus_mdsEuc$points,pch=as.numeric(tikus$x$time),col=tikus$x$time)
Does this plot agree with the Warwick et al. (1990) interpretation?
Nope – this says the opposite, with much lower dispersion post disturbance. It is suggestive of a location effect as well, that is, a change in mean abundance not just variability.
Use the plot.mvabund
function to plot each coral
response variable as a function of time. What is the main pattern that
you see?
tikusMV = mvabund(tikusAbund)
plot(tikusMV~tikus$x$time[1:20])
#> Overlapping points were shifted along the y-axis to make them visible.
#>
#> PIPING TO 2nd MVFACTOR
#> Only the variables Heliopora.coerulea, Montipora.digitata, Favites.abdita, Favites.chinensis, Platygyra.daedalea, Montipora.foliosa, Pocillopora.damicornis, Acropora.cytherea, Acropora.hyacinthus, Acropora.formosa, Pocillopora.verrucosa, Acropora.pulchra were included in the plot
#> (the variables with highest total abundance).
Convert the data into presence-absence and use the gllvm package to construct an ordination
tikusPA = tikusAbund
tikusPA[tikusPA>1]=1
tikus_LVM = gllvm(tikusPA, num.lv=2, family="binomial", trace=TRUE, jitter.var=0.2)
ordiplot.gllvm(tikus_LVM, s.col=as.numeric(tikus$x$time), biplot=TRUE, ind.spp=12)
Do assumptions appear reasonable? How would you interpret this plot?
by(iris, iris$Species, function(dat){ apply(dat[,1:4],2,mean) } )
#> iris$Species: setosa
#> Sepal.Length Sepal.Width Petal.Length Petal.Width
#> 5.006 3.428 1.462 0.246
#> ----------------------------------------------------------------------
#> iris$Species: versicolor
#> Sepal.Length Sepal.Width Petal.Length Petal.Width
#> 5.936 2.770 4.260 1.326
#> ----------------------------------------------------------------------
#> iris$Species: virginica
#> Sepal.Length Sepal.Width Petal.Length Petal.Width
#> 6.588 2.974 5.552 2.026
par(mfrow=c(2,2),mar=c(3,3,1,1),mgp=c(1.75,0.75,0))
plot(Sepal.Length~Species,data=iris,xlab="")
plot(Sepal.Width~Species,data=iris,xlab="")
plot(Petal.Length~Species,data=iris,xlab="")
plot(Petal.Width~Species,data=iris,xlab="")
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