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Tahun 2007

The document provides descriptive statistics and correlation analyses for variables related to product damage and costs. It shows the mean, standard deviation, and correlations for variables measuring the average product damage (Y), prevention costs (X1), assessment costs (X2), internal failure costs (X3), and external failure costs (X4) based on data from 12 cases. A regression model was tested using these four cost variables to predict product damage but was not statistically significant, with an adjusted R square of -0.360.

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Dhian D'Christ
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0% found this document useful (0 votes)
137 views3 pages

Tahun 2007

The document provides descriptive statistics and correlation analyses for variables related to product damage and costs. It shows the mean, standard deviation, and correlations for variables measuring the average product damage (Y), prevention costs (X1), assessment costs (X2), internal failure costs (X3), and external failure costs (X4) based on data from 12 cases. A regression model was tested using these four cost variables to predict product damage but was not statistically significant, with an adjusted R square of -0.360.

Uploaded by

Dhian D'Christ
Copyright
© Attribution Non-Commercial (BY-NC)
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as DOCX, PDF, TXT or read online on Scribd
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Descriptive Statistics Mean Kerusakan Produk (Y) Biaya Pencegahan (X1) Biaya Penilaian (X2) Biaya Kegagalan Internal

(X3) Biaya Kegagalan Eksternal (X4) 4.30E6 2.35E7 3.13E7 2.99E7 Std. Deviation 488128.039 1112456.542 969294.174 990277.737 N 12 12 12 12

3.00E7

720499.559

12

Correlations Kerusakan Produk (Y) Kerusakan Produk (Y) Pearson Correlation Sig. (2-tailed) N Biaya Pencegahan (X1) Pearson Correlation Sig. (2-tailed) N Biaya Penilaian (X2) Pearson Correlation Sig. (2-tailed) N Biaya Kegagalan Internal (X3) Pearson Correlation Sig. (2-tailed) N Biaya Kegagalan Eksternal (X4) Pearson Correlation Sig. (2-tailed) N 12 -.008 .981 12 -.312 .323 12 -.193 .547 12 -.075 .817 12 12 .342 .277 12 -.075 .816 12 .134 .678 12 12 .160 .619 12 .010 .976 12 12 -.072 .824 12 1 Biaya Pencegahan (X1) -.008 .981 12 1 Biaya Penilaian (X2) -.312 .323 12 .342 .277 12 1

Biaya Kegagalan Biaya Kega Internal (X3) -.193 .547 12 -.075 .816 12 .160 .619 12 1

Eksterna

Variables Entered/Removed Variables Model Entered Variables Removed

Method

Biaya Kegagalan Eksternal (X4), Biaya Penilaian (X2), Biaya Kegagalan Internal (X3), Biaya Pencegahan (X1)
a

. Enter

a. All requested variables entered. b. Dependent Variable: Kerusakan Produk (Y)

Model Summary Adjusted R Model 1 R .367


a

Std. Error of the Estimate R Square Change .135

Change Statistics F Change .273 df1 4 df2 7

R Square .135

Square -.360

Sig. F C

569166.925

a. Predictors: (Constant), Biaya Kegagalan Eksternal (X4), Biaya Penilaian (X2), Biaya Kegagalan Internal (X3), Biaya Pencegahan (X1)

ANOVA Model 1 Regression Residual Total Sum of Squares 3.533E11 2.268E12 2.621E12 df

Mean Square 4 7 11 8.833E10 3.240E11

F .273

Sig. .887
a

a. Predictors: (Constant), Biaya Kegagalan Eksternal (X4), Biaya Penilaian (X2), Biaya Kegagalan Internal (X3), Biaya Pencegahan (X1) b. Dependent Variable: Kerusakan Produk (Y)

Coefficients

Standardized Unstandardized Coefficients Model 1 (Constant) Biaya Pencegahan (X1) Biaya Penilaian (X2) Biaya Kegagalan Internal (X3) Biaya Kegagalan Eksternal (X4) a. Dependent Variable: Kerusakan Produk (Y) B 1.235E7 .046 -.164 -.069 -.065 Std. Error 1.036E7 .167 .192 .178 .241 .106 -.325 -.140 -.096 Coefficients Beta t 1.192 .277 -.850 -.389 -.270 Sig. .272 .790 .423 .709 .795 -.008 -.312 -.193 -.075 Zero-order

Correla

Par

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