Hi Phill,I appreciate your time to help us all.I am trying to decide if I fit a 2PL or a 3PL model. The test is a two-choice item. I have used a prior to the g parameteras I was having convergence problems.model <- 'F = 1-40PRIOR = (1-40, g, norm, 0, 3)'Does the prior seem ok?
My main question, how could I compare the 2PL with the 3PL model?
I apologize if you have answered to this question before. I have spent a while looking for the answer, but I haven't found it.Thank you again.Juliane
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Hi Phil,Thank you for your quick answer (as always).My choice to center the prior around 0.5 is because my items are only two-choices. Do you still think it isnot a good idea?
Also, is there a very practical IRT book you recommend? Quite often I get lost with thepractical aspect of all this.
Hi everyone!I would like to understand more about the g prior distribution. If I use PRIOR = (1-40, g, beta, 7, 28) I will center the distribution around .2. Is it possible to have this same result using PRIOR = (1-40, g, expbeta, xxx, xxxx) or PRIOR = (1-40, g, norm, xxx, xxx)?
In the BILOG-MG manual, they talk about the weight of n observations. They sayalpha = np + 1beta = n(1-p) + 1where p = 1/(number of choices)By default, they use n = 20. For a five-choice item (p=0.2), alpha=5 and beta=17. But in this case, the center of the distribution is 0.23 rather than 0.20, which is strange for me. What do you think?
If I wanted to replicate BILOG-MG results in mirt, would I have to use PRIOR = (1-40, g, beta, 5, 17)?
What is the default in mirt, in respect to g prior distribution?
About the d prior. I am more familiar with the b parameter. So, if I want a normal prior distribution for b, let's say mean=0 and sd=1, do I simply use this information for d prior ( PRIOR = (1-40, d, norm, 0, 1) )?
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