Mixture modeling of transcript abundance classes in natural populations
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Populations diverge in genotype and phenotype under the influence of such evolutionary processes as genetic drift, mutation accumulation, and natural selection. Because genotype maps onto phenotype by way of transcription, it is of interest to evaluate how these evolutionary factors influence the structure of variation at the level of transcription. Here, we explore the distributions of cis-acting and trans-acting factors and their relative contributions to expression of transcripts that exhibit two or more classes of abundance among individuals within populations.
Expression profiling using cDNA microarrays was conducted in Drosophila melanogaster adult female heads for 58 nearly isogenic lines from a North Carolina population and 50 from a California population. Using a mixture modeling approach, transcripts were identified that exhibit more than one mode of transcript abundance across the samples. Power studies indicate that sample sizes of 50 individuals will generally be sufficient to detect divergent transcript abundance classes. The distribution of transcript abundance classes is skewed toward low frequency minor classes, which is reminiscent of the typical skew in genotype frequencies. Similar results are observed in reported data on gene expression in human lymphoblast cell lines, in which analysis of association with linked polymorphisms implies that cis-acting single nucleotide polymorphisms make only a modest contribution to bimodal distributions of transcript abundance.
Population surveys of gene expression may complement genetical genomics as a general approach to quantifying sources of transcriptional variation. Differential expression of transcripts among individuals is due to a complex interplay of cis-acting and trans-acting factors.
KeywordsTranscript Abundance Additional Data File CEPH North Carolinian Transcriptional Variation
It is well known that the structure of genetic and phenotypic variation within and between populations is affected in a complex manner by drift, migration, mutation, and selection. Because the genotype is connected to the phenotype via transcript abundance, it behooves us to attempt to ascertain the population structure of transcriptional variation as well. Although robust theory exists describing the expected distribution of genotypic variation under a variety of evolutionary scenarios [1, 2, 3], there is no theory describing the expected distribution of transcriptional variation, and neither are there many empirical data in this regard.
Numerous studies conducted in a range of species have demonstrated that transcript abundance typically exhibits moderate to high heritability [4, 5, 6]. Differential expression in the range of 1.5-fold to 2-fold between any two individuals is often seen for at least 10% of transcripts, whereas as many as one half of all transcripts may be variable in a large sample of individuals. Expression quantitative trait locus (QTL) studies demonstrate a genetic component to much of this variation that is due both to cis-acting and trans-acting factors, and frequently more than 25% of the transcriptional variance can be attributed to single regulatory QTLs (for review [7, 8]). Because it is now believed that regulatory polymorphism is prevalent in eukaryotic genomes , it follows that there is ample opportunity for the distribution of transcript abundance to diverge between populations within a species [10, 11]. The rate of divergence should be proportional to the level of variation within populations, and this observation motivates the development of quantitative measures of transcriptional variation among individuals.
Transcriptional population structure can be described using parameters that capture the mean, range, variance, and skewness of the frequency distribution of each transcript measured by microarray analysis of individuals or inbred lines. Whereas allele frequencies involve discrete entities, namely single nucleotide polymorphisms (SNPs) or indels, that can be counted and compared, transcript abundance is continuous. It is therefore subject to measurement error, and robust statistical approaches are needed to compare distributions, preferably using likelihood-based measures. It turns out that measurement of the descriptive parameters is strongly affected by experimental methods as well as analytical approaches such as normalization methods, and consequently epistemologic issues must be confronted in the description of transcriptional population structure.
To the extent that transcript abundance is strongly affected by major regulatory factors, it may also be possible to observe bimodal or even multimodal distributions. The relative weight of these modes should vary among populations as a result of divergence in allele frequency of the regulatory factors. Thus, if a promoter polymorphism that reduces transcription measurably in homozygotes is at a frequency of 0.2 in one population and 0.5 in another, then the relative abundance of the low transcript abundance class will be expected to be less than 5% in the first and as much as 25% in the second population. Depending on the degree of dominance of the effect, two or three 'transcript abundance classes' (TACs) will be detected. If the regulatory polymorphism affects the abundance or activity of a trans-acting factor, then the abundance of numerous target genes should be affected in parallel, resulting in 'transcriptional cliques' that exhibit correlated patterns of gene expression across a sample of individuals .
In this report we document the existence of TACs in a large sample of two North American populations of Drosophila melanogaster, as well as in previously published data on gene expression in lymphoblast cell lines from the Centre d'Etude du Polymorphisme Humain (CEPH) grandparents [12, 13] (also see the CEPH website ). In both cases the distribution of minor TAC frequencies is observed to approximate the expected distribution of allele frequencies under an infinite sites model, because there is an excess of minor TACs with frequencies less than 10%. This observation is consistent with the hypothesis that a considerable proportion of transcriptional variation might be attributed to segregating neutral or nearly neutral alleles, but follow-up association tests in the CEPH data indicate that only a small proportion of the bimodality is actually attributable to cis-acting polymorphisms. Population profiling should be considered a complement to genetical genomics  for dissecting the quantitative genetics of gene expression.
Transcriptional divergence between North Carolina and California populations
Population-based gene expression profiling of adult female Drosophila heads was performed using cDNA microarrays, as part of a study of the quantitative genetic basis for nicotine resistance in Drosophila melanogaster . A total of 216 hybridizations were performed, with each array contrasting RNA from control and nicotine-treated flies derived from two different lines from either a North Carolinian (NC) sample of 58 lines or a Californian (CA) sample of 50 lines. A randomized loop design  was used with just two replicates of each line and drug treatment, one for each of the Cy3 and Cy5 fluorescent dyes. Each array contains 4,385 unique expressed sequence tag amplicons that were initially isolated by the Berkeley Drosophila Genome Project .
The apparent, striking divergence between NC and CA is almost certainly over-estimated by this analysis, because the population of origin of each line was confounded by an experimental batch effect. For reasons unrelated to this study, the NC and CA hybridizations were performed 4 months apart. In an attempt to confirm the differentiation, after the initial analysis was completed a series of hybridizations was performed contrasting lines from each population on the same microarrays. These new samples did not separate the populations cleanly, and cluster as their own group within the NC cluster, when they are analyzed together with the main dataset (data not shown). The reasons for the batch effect are unclear, because two slide printing runs and batches of enzyme were performed with each sample, and the same person (GPG) performed all of the hybridizations. It may pertain to an ozone effect or some other seasonal variable . In any case, the mean differences in inferred transcript abundance across the 58 NC and 50 CA lines are not a reliable indicator of transcriptional divergence between the populations in this dataset.
Number of bimodally expressed genes
Mixed model normalization
Both mixed and loess
Mixed model normalization
Both mixed and loess
Common to both CA and NC
For most individual genes, the range and variance of transcript abundance are very similar between the two populations. Comparison of these parameters does not provide any evidence for divergence in variability between the populations. Although the mean transcript abundance for each population is often significantly different, as described above, this may be attributed to batch and normalization artifacts. A more robust approach to detecting transcriptional divergence is to define first the structure of variation within each population, focusing on the distribution of variation within the NC and CA samples considered separately.
Mixture modeling of bimodal transcript distributions
The distribution of minor TAC proportions is decidedly L-shaped; the majority of minor modes contain fewer than 10% of the transcript abundance measures, but there is a range of values up to equal frequency of the low and high classes. This observation is reminiscent of the distribution of genotype frequency classes known as the Ewens sampling distribution [22, 23]. The most parsimonious explanation for this similarity would be that rare alleles segregating under neutrality act in cis to drive the observed bimodality of transcription. In Figure 4d we have superimposed the expected distribution of SNP frequencies under an infinite sites model for three different values of the population parameter 4Nμ on the observed distributions of minor transcript abundance classes in the CA sample. The lower two curves represent expected values for Drosophila melanogaster , and the histogram of the transcript distribution lies within this range, which is consistent with this simple explanation. Unfortunately, there is no current theory by which to derive an expected distribution of TACs under alternative models of regulation. Trans-acting polymorphisms under some scenarios may produce a similar distribution of TACs.
In evaluating the relationship between the TAC and SNP frequency distributions, there are numerous issues of ascertainment bias that remain to be addressed. There appears to be a slight excess of minor TACs in the range of 0.05 to 0.1 in both populations, but this may be a result of a strong tendency to underestimate the number of rare TACs observed in just one or two lines, as well as failure to detect TACs with only small mean differences. We used simulations to estimate the false-negative rate for each of these two classes of error, and used those estimates to infer more realistic true distributions of TACs (see Figure 2c for the NC sample). The precise shape of these distributions is heavily influenced by error in the detection of rare TACs, and so there is little point in performing tests of goodness-of-fit between TAC and SNP distributions, but it is clear that there is a heavy skew toward an excess of rare or intermediate frequency TACs.
In Drosophila, the high level of polymorphism combined with a low level of linkage disequilibrium, and hence haplotype block structure, impedes association mapping using tagging SNPs [25, 26, 27]. To test whether cis-acting SNPs might account for TACs, we sequenced, from 43 of the NC lines, a short 1.8 kilobase (kb) gene (CG31231) that is sandwiched tightly between two other genes and that exhibits transcriptional bimodality in both populations. Three out of 16 common, independently segregating SNPs were observed to correlate with transcript abundance, one being a synonymous substitution with a rare allele frequency of 0.23 that explains 9% of the transcript abundance at P = 0.03 (t-test) on both control and nicotine diets. This SNP accounts for less than half of the bimodality of CG31231 expression and would not be detected in a genome scan for association with expression.
Power to detect transcriptional abundance classes
Sample sizes of at least 50 lines appear to be quite adequate for detection of bimodality across a range of minor TAC frequencies (Figure 5a). Whereas 30 lines is insufficient for a minor proportion of 0.05, 80% detection rate is achieved for a twofold difference in magnitude between the minor and major TAC means so long as at least 50 lines are surveyed. This threshold reduces to 1.7-fold for surveys of 100 lines. For equal proportions of the two TACs, a similar power is observed irrespective of the sample size. Consequently, if at least three out of a sample of 50 or more lines are 1.7-fold differentially expressed relative to the remainder of the sample whose standard deviation is less than 1.2-fold, there is good power to detect differential expression. Clearly, satisfaction of these criteria is more likely as the quality of the microarrays improves and more replication is performed.
Furthermore, detection rates are only strongly affected when the frequency of the minor TAC drops below 10% (Figure 5b). For a 1.5-fold difference in abundance (that is, 0.6 log base-2 units), the detection rate ranges from 30% to 70% as sample size increases from 30 to 100 lines and the proportion of the minor TAC is greater than 0.1. Subsets of fewer than five lines are only assigned to a separate mode if they are at least twofold divergent from the major mode. Because about half of the observed bimodal transcript distributions have a minor TAC less than 10%, whereas two-thirds of them have a difference greater than twofold, it follows that most of the more divergent TACs are due to relatively rare alleles. Conversely, rare alleles of small effect are likely to go undetected in population surveys of expression.
Such rare alleles may still contribute to skew of normal distributions; therefore, we also examined the effect of skewness on power to detect bimodality. Samples were drawn from gamma distributions with increasing skewness, and the false-positive rate was found to be highly sensitive to skewness. A gamma distribution with shape parameter 7 and scale parameter 1 resulted in as many as 36% of datasets exhibiting evidence for bimodality, whereas a more skewed gamma(2,1) distribution produces nearly 90% false positives. That is to say, skewed distributions are much more likely to provide evidence for bimodal transcript abundance than are symmetric ones. If the reason for the skew is biologic, then false positives are not a great concern because they still identify potential departures from uniformity that may be due to allelic differences.
However, statistical analysis of microarray data is based on the assumption of underlying normal distributions, and investigators typically take steps to remove skewness . Logarithmic transformation is one such step, but more aggressive procedures such as Box-Cox transformations  and quantile normalization  explicitly transform the data to approximate a standard normal distribution as far as possible. The implications are discussed below.
Another common data transformation is use of the loess procedure to reduce the tendency for ratios of measurements of two dyes on a single array to be correlated with their intensity, due to differential labeling or degradation of the two dyes . This procedure is particularly important for reference sample designs in which the treatments and references are labeled with different dyes. In dye-flip experiments dye effects will tend to cancel out, but the loess transformation should reduce the within-sample variance, often increasing power. It may not improve the accuracy of estimation of sample means, and under some circumstances loess transformation markedly reduces the detection rate of differential expression . This is the case here, because the right-hand side of Table 1 shows a 20% decrease in the rate of detection of multimodal transcription, after loess transformation. Only 50% of the NC multiple mode assignments (and just 32% of the CA) agreed between the raw and loess analyses. Although these cases allow some confidence in the interpretation, they also highlight sensitivity to data analysis approaches.
Transcriptional bimodality in CEPH lymphoblast cell lines
The availability of a dense SNP map for the CEPH samples  allowed us to scan for association between SNPs and transcript abundance in the bimodally expressed genes. Surprisingly, there is little overlap between our list of bimodally expressed genes and the transcripts associated with strong cis-regulatory polymorphisms reported by others [13, 34]. This clearly indicates that only a fraction of cis-regulatory polymorphisms result in bimodal distributions of transcript abundance.
Evidence for involvement of trans-acting factors in regulating gene expression would be found in a higher than expected incidence of sharing of TACs across lines. Because it is not trivial to estimate the expected proportion of sharing for abundance classes of hundreds of transcripts at different frequencies, we focused on rare TACs (those observed in just two or three lines). As described in Additional data file 1, in general these rare TACs are dispersed randomly across most of the lines. However, in all three datasets (the NC and CA samples of flies and the CEPH cell lines) a handful of individuals exhibit an excess of rare TACs, as well as a significant tendency for such rare abundance classes to be shared. This may be indicative of co-regulation by a trans-acting factor, although the phenomenon might also be due to an uncharacterized technical artifact.
What is the distribution of transcriptional variance within and among populations, and why does it matter? The short answers are that we have very little idea, but that because transcription provides a link between genotype and phenotype, an understanding of the complex mapping of these two attributes requires knowledge of the relationship between genetic and gene expression variation. We have good tools for quantifying genotypic variation, and an established population genetic theory describing the expected distribution of polymorphism. No such tools or theory yet exist to help us to evaluate the contributions of drift, mutation, selection, and admixture to shaping variation in gene expression. Consequently, there is a large gap in our appreciation of the molecular basis of phenotypic evolution and the population structure of disease susceptibility.
Mixture modeling appears to be a useful tool for detecting transcripts that are variable in abundance within populations, although its utility for comparing distributions between populations is yet to be established. Unfortunately, a large batch effect confounded the comparison of the two populations, and this limited our ability to apply an alternative analytical approach, namely QST analysis [6, 35]. QST is a quantitative analog of the inbreeding coefficient, FST, which is commonly used to quantify divergence between populations based on allele frequencies . Simultaneous measurement of QST and FST with genotypic markers at the same locus has the potential to facilitate tests of selection. Two recent studies of mutation accumulation in nematodes and Drosophila [37, 38] both imply that stabilizing selection is pervasive at the transcriptional level, because natural isolates appear to harbor less variation than would be predicted based on the rate of genetic divergence of laboratory lines. Consequently, simultaneously high QST and FST values may indicate adaptive divergence caused by linked regulatory polymorphism. Discordance between the parameters could have numerous causes, including the role played by trans-acting polymorphism in transcriptional variation and the possibility that major effect haplotypes accentuate population differences in transcript abundance.
Is there evidence for divergence between the NC and CA samples of flies? Batch effects may influence any large-scale microarray experiment, and so it is preferable that two populations be measured at the same time. Reduced costs and increased availability of single channel platforms for model organisms will soon allow parallel measurement of thousands of samples, which should facilitate comparisons based on mean transcript abundance. Here, though, we have focused on measures based on the variance and distribution of abundance among lines. Because only 14% of bimodal NC transcripts are also bimodal in CA, it might be argued that divergence in the frequency of polymorphisms that contribute to the bimodality is common. However, 50 lines per sample is at the lower limit of power, particularly given that half of the cases are due to relatively rare minor TACs. The examples presented in Figure 3 demonstrate that the proportions of the two major TACs are preserved between the populations at least in some cases. Drosophila melanogaster has traditionally been regarded as a panmictic species, with most of the variation shared among populations (for comparison, see ). However, as sequences replace allozyme studies, it has become apparent that, as in humans, a few percent of the variation does exhibit population structure, and that rare private alleles are not uncommon [40, 41]. Although the bulk of the transcriptome is undifferentiated between the two North American populations, it is likely that further studies will confirm subtle divergence for a subset of transcripts.
Statistical analysis is often regarded as an objective enterprise that is guaranteed to arrive at an unambiguous test of a hypothesis. However, philosophical issues have impacts on interpretation of functional genomic studies. Frequentist and Bayesian analyses are not always in agreement [42, 43], whereas disputes also arise over the adoption of false-positive or false-discovery rates as the most appropriate approach to identification of candidate genes [44, 45]. This study highlights another analytical issue, namely the degree of aggressiveness in data normalization, which actually gives rise to an epistemological problem. It is obviously good practice to remove sources of bias and noise in data as much as possible without disrupting the biologic content, before model fitting. A major source of bias in gene expression profiles, whether contrasting population samples or tissues and treatments, is skew away from normality. Recognizing that skewness will tend toward false attribution of multiple mixtures, it could be argued that quantile normalization or some equivalent procedure should be used to force the data toward symmetric normal distributions. The trouble with doing this is that it will tend to 'throw the baby out with the bathwater'; skew is actually an expected property of distributions that arise from mixtures of two or more underlying distributions. We thus arrive at a biologic uncertainty principle, insofar as the process of measurement may destroy the signal.
What is the cause of the bias toward low frequencies of minor transcript abundance classes? For genotypes, it is well known that observed distributions approximate well to expectations under mutation-drift equilibrium, implying that a large proportion of molecular polymorphism segregates at or near neutrality. The loose correspondence between genotype and TAC frequency distributions is consistent with an extension of this principle, namely that a large proportion of bimodal transcriptional variation is due to the effect of nearly neutral cis-acting polymorphisms. However, the error associated with detection and measurement of TACs precludes rigorous testing of this hypothesis, and evidence was presented that cis-acting effects only account for a small proportion of bimodality. Across the 818 genes in the CEPH data, and for the one Drosophila gene examined closely, SNPs linked to the transcripts do not define transcript abundance classes. Consistent with results from expression QTL experiments , these results provide further evidence that expression tends to be regulated by a complex mixture of cis-acting and trans-acting factors. The shape of the TAC distributions in our data could be explained either by combination of the effects of relatively rare alleles or by low frequency combinations of independently segregating common alleles.
Population profiling complements expression QTL analysis [7, 8] as an approach to identification of candidate QTLs, because crosses derived from just two lines will tend to miss rare alleles in a population. Even in a common disease/common variant model of disease susceptibility, differential expression may only be expected in a small percentage of individuals. Mixture modeling appears to lose efficiency for detecting minor TACs that constitute less than 10% of the sample, but it nevertheless provides evidence for distinct abundance classes for between 5% and 10% of transcripts. The enrichment for transcripts regulated in cis is clearly only modest, with just 20 transcripts in the CEPH dataset showing more highly significant associations with linked SNPs than those observed for a random set of genes of the same size. On the other hand, both the bimodal and randomly chosen samples of genes exhibit an excess of significant associations relative to SNPs chosen from unlinked genes, providing further evidence for the pervasive contribution of cis-regulatory polymorphism to regulation of gene expression. The collection of strongly bimodally expressed transcripts from population sampling provides a sample of candidate genes that can be assessed for regulation of quantitative traits in targeted crosses or carefully chosen pedigrees.
Materials and methods
This experiment was conceived initially to evaluate transcriptional variation for response to nicotine in D. melanogaster . Briefly, 58 isofemale lines from NC and 50 from CA were inbred by between 15 and 50 generations of sib-pair mating. These were chosen from a large sample of nearly isogenic lines that were described previously . Residual heterozygosity is typically on the order of 0.1. The flies were reared in vials with standard cornmeal (control). Nicotine treatment was administered by transfer for 8 hours to standard cornmeal supplemented with a trace of nicotine. Because the majority of transcripts are relatively unaffected by the drug treatment, we simply averaged the two control and two nicotine treatments to obtain the line means. Analysis by drug treatment separately yields similar results.
RNA was extracted from flash-frozen heads of 50 adult 3-day to 5-day females for each line. For each population, collection was spread over 2 months, and the collections were performed 6 months apart. Hybridizations were performed with a pool of two separate linear amplification labeling reactions with either dye, Cy5 or Cy3. A randomized loop design ensured that each microarray contrasted a control to a nicotine sample, each drawn from a different line from the NC or CA sample (see Additional data file 2). There are a total of 216 microarrays, such that each of the 108 lines is represented by two control and two nicotine treatments with one dye-flip each.
The cDNA arrays were printed on glass slides at the NC State University Genome Research Laboratory using clones supplied by the Berkeley Drosophila Genome Project. A total of 223 of the 4,608 spots on the array lack polymerase chain reaction products or were missing for other technical reasons. Another group of spots consistently showed low intensity comparable to the empty spots, presumably because they represent genes that are not expressed in adult female heads. They were also excluded from analysis so as not to skew the distribution of effects across the whole array, resulting in 4,212 spots in our final analysis.
The expression level for each transcript was estimated after first transforming the raw intensity measures with a log base-2 function. A global normalization for all arrays was performed using a linear mixed model of the following form:
yijk = μ + Di + Tj + (D × T)ij + Ak + εijk
Where y is the log 2 intensity, μ is the overall mean, Di is the ith dye effect, Tj is the jth treatment effect, and (D × T)ij is their interaction effect. Each of these terms is specified as a fixed effect, whereas Ak is the random effect of the kth array and is assumed to be normally distributed with a mean of zero and variance σa2.
Subsequently, a second gene-specific model was fit to estimate the true line effect for each gene effect, as follows:
rfiijkl = G + (GD)i + (GT)j + (GD × GT)ij + (GA)k + (GL)l + εijkl
where rfi is the relative fluorescence intensity, namely the residual from the global normalization; G is the overall mean; (GD)i is the ith gene-specific dye effect; (GT)j is the jth gene-specific treatment effect; (GD × GT)ij is their interaction term; and (GL)l is the gene-specific line effect for the lth line. All of these main effects are specified as fixed effects, as is the pair-wise interaction term. (GA)k is the gene-specific random effect for array variation. Least squares means of the gene-specific line effect are derived to represent the expression level of each line. It should be noted that use of a randomized loop will tend to reduce the total among line variance, because if two lines with high (or low) abundance happen to be hybridized on the same array, then part of the differential expression will be absorbed into the estimate of the array effect, (GA)k.
Where f(l) is the distribution of least squares mean line effects, and w is the weighting of each normal distribution, namely the proportion of samples classified into that component. The sum of the wis should be equal to 1. The μi and σi2 are the mean and variance of the normal distribution, and m is the number of mixtures fitted. We used the EMclust EM algorithm within a package in R called Mclust for the modeling . This package also allows choice of the number of mixtures that provides the optimal fit to the data, based on a Bayesian Information Criterion that accounts for the difference in degrees of freedom associated with each model. The maximum number of mixtures was restricted to 5.
The allelic frequency spectrum in Figure 4 was derived as described in Ewens' 1972 paper  as following: f(x) = θ x-1(1 - x)θ-1, where θ = 4Nμ. In other words, f(x)δ × is the probability that an allele in the population will be in the frequency range (x, x + δ) for small δ. Based on the generally accepted range θ for Drosophila, we choose 0.05, 0.1, and 0.2 for demonstration. For θ → 0, f(x) is approximately a symmetric function with respect to 0.5, so the minor allele frequency can be formulated as twice the function f with the range of (0,0.5).
Genes were classified as bimodally expressed when the optimal number of mixtures fitted by Mclust was m = 2. For each such gene, the frequency of the minor TAC was defined as the smaller of the weights w1 and w2 in the estimated two-component mixture model w1 × N(μ1,σ12) + w2 × N(μ2, σ22). Because we expected that the parameters of the underlying mixture distribution would influence the resolution of bimodality, we anticipated an ascertainment bias in the empirical distribution of TAC frequencies; to recover the latent TAC frequency distribution, we sought a simulation-based estimate of this bias. For each gene classified as bimodally expressed, we used the estimated two-component mixture model to generate 10,000 samples of 58 observations. We then used Mclust on each of the 10,000 samples, recording the proportion of successful mixture resolutions. This approach, reminiscent of the parametric bootstrap, yielded a gene-specific estimate β of the power to detect bimodality; we attributed the false-negative rate 1 - β to a latent class of bimodally expressed genes that went undetected by Mclust. In other words, a bimodally expressed gene with a power estimate of β stands a probability of 1 - β of going undetected, and to correct for this ascertainment bias we counted the gene 1/β times. In particular, by weighting the minor TAC frequency of each gene by the reciprocal of its simulated power, we obtained a TAC frequency distribution that has been disentangled from the discovery process.
Tests of association in the CEPH data
In order to evaluate the level of association between cis-SNPs and bimodality, we extracted from the HapMap database all SNPs within 100 kb of each of the 881 multimodal transcripts from the mixture modeling. Sixty-three of these transcripts either had more than two modes or are not annotated sufficiently well to identify linked SNPs, resulting in a final set of 818 genes. A random sample of 881 other genes resulted in 838 genes with well annotated linked SNPs within 100 kb. We then performed a t-test of the difference in estimated transcript abundance between the major homozygote class and the joint set of heterozygotes and minor homozygotes, and simply report the distribution of strongest associations for each SNP and transcript. Neither a tagging strategy nor a minor allele frequency cutoff was employed, and nor was a multiple correction factor used. Either of these would certainly be important were we to make any claims about a specific association, but Figure 7 deals only with the distribution of all the statistics obtained as described, and the conclusions would not be affected greatly by alternate analyses.
Additional data files
The following additional data are available with the online version of this paper. Additional data file 1 summarizes the analysis of the distribution of rare TACs among lines within each of the three experimental datasets. Additional data file 2 illustrates the experimental design.
All expression data are available from the MIAME compliant public repository at ArrayExpress , expression profile number E-TABM-109, and from our laboratory supplementary information site , which provides various other support files including SAS scripts, data analysis summaries, and array annotation files.
We thank Philip Awadalla, Russ Wolfinger, Dennis Boos, Dahlia Nielsen, and Bruce Weir for discussions; Priscilla Hunt for sequencing of Drosophila lines; and Sergey Nuzhdin for the CA sample of inbred lines. This work was supported by NIH award P01-GM45344 to GG.
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