Discusses the relationship between 2 basic models for analysis of variance for repeated measures: the “traditional” model, which involves the assumptions of equal correlations between all variables both within and between S groups, and a less restrictive model based on a multivariate analysis of variance technique which is considered as an alternative to the traditional model. Suggestions are made for efficient computer programing for the traditional model. (PsycINFO Database Record (c) 2006 APA, all rights reserved)
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David D. Poor (1973) studied this question.
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