Table 1 Simulated data with three traits and three environments
Posterior Mean of FormulaPosterior SD of Formula
T1T2T3T1T2T3
T10.5910.4580.5300.0940.0780.090
T20.5000.4880.0800.084
T30.6700.109
Posterior Mean of FormulaPosterior SD of Formula
T1T2T3T1T2T3
T10.1510.1150.1190.0030.0020.003
T20.1210.1070.0020.002
T30.1310.003
Posterior Mean of FormulaPosterior SD of Formula
E1E2E3E1E2E3
0.8540.7400.9370.1670.1840.210
Posterior Mean of FormulaPosterior SD of Formula
T1T2T3T1T2T3
E115.0468.0067.0540.4060.3260.365
E212.0045.9807.0030.3070.2540.378
E314.1049.0038.0530.4640.4070.434
  • Posterior mean and standard deviation (SD) of the β coefficients (Formula) of three traits (T1, T2, and T3) in three environments (E1, E2, E3) and the estimated variance–covariance components for the traits (Formula), for the residuals (Formula), and for the environments (Formula).