The statistical analysis software is SPSS 26, and the measurement data are expressed as mean ± standard deviation (). Normally distributed data are compared through single-factor analysis of variance and postmultiple test procedures; the rank sum test method is selected for nonnormal statistical analysis of distribution data. Single correlation data use Pearson linear correlation analysis to determine the correlation between variables. The r value not only indicates the correlation but also reflects the direction of the correlation. P value <0.05 means that there is statistical significance between the two.
Do you have any questions about this protocol?
Post your question to gather feedback from the community. We will also invite the authors of this article to respond.