For example, when we test a CFA measurement invariance and compare a model assuming configural (no constraints except these necessary for model identification) against a model assuming week invariance (add equal loadings), the week MI model has more degrees of freedom than the model assuming configural MI.

I know how to determine the df, but I want to understand it conceptually, why adding contraints increases the df, even though the freedom of the loadings is restricted.

Many thanks in advance!

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