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Statistik

The document contains data from a research study with 12 observations and 4 variables: X1, X2, X3, and Y. SPSS was used to conduct descriptive statistics, tests for homogeneity, normality, and linearity. The results showed: 1) The data was homogeneous based on a significance value above 0.05. 2) The data was normally distributed based on a Kolmogorov-Smirnov significance value above 0.05. 3) A regression analysis showed the variables were linearly related to the dependent variable Y based on a significance value below 0.05.

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0% found this document useful (0 votes)
31 views7 pages

Statistik

The document contains data from a research study with 12 observations and 4 variables: X1, X2, X3, and Y. SPSS was used to conduct descriptive statistics, tests for homogeneity, normality, and linearity. The results showed: 1) The data was homogeneous based on a significance value above 0.05. 2) The data was normally distributed based on a Kolmogorov-Smirnov significance value above 0.05. 3) A regression analysis showed the variables were linearly related to the dependent variable Y based on a significance value below 0.05.

Uploaded by

mas zuher
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© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
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Download as DOCX, PDF, TXT or read online on Scribd
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Jawablah pertanyaan-pertanyaan dibawah ini!

Berikut merupakan data hasil penelitian:


No X1 X2 X3 Y
1 75 75 75 80
2 60 65 60 75
3 65 65 65 75
4 75 75 75 90
5 65 65 65 85
6 80 80 80 85
7 75 75 75 95
8 80 80 75 95
9 65 65 70 80
10 80 75 80 90
11 60 65 60 75
12 65 65 60 75

Dengan menggunakan data diatas dan aplikasi SPSS:


a. Menentukan Statistic Descriptive variable
Descriptive Statistics
N Minimum Maximum Mean Std. Deviation
X1 12 60 80 70,42 7,821
X2 12 65 80 70,83 6,337
X3 12 60 80 70,00 7,687
Y 12 75 95 83,33 7,785
Valid N (listwise) 12

b. Menentukan Uji persyaratan analisis: Homogenitas, Normalitas dan Linearitas


1) Homogenitas
Oneway
Test of Homogeneity of Variances
Levene Statistic df1 df2 Sig.
Hasil Based on Mean ,410 3 44 ,747
Based on Median ,324 3 44 ,808
Based on Median and with ,324 3 34,560 ,808
adjusted df
Based on trimmed mean ,409 3 44 ,747

ANOVA
Hasil
Sum of Squares df Mean Square F Sig.
Between Groups 1505,729 3 501,910 9,083 ,000
Within Groups 2431,250 44 55,256
Total 3936,979 47

Berdasarkan data hasil tersebut terlihat bahwa nilai signifikansi untuk data hasil
penelitian adalah sebesar 0.747 atau lebih dari 0,05 sehingga dapat disimpulkan
bahwa data tersebut adalah homogen.

2) Normalitas
Regression

Variables Entered/Removeda
Variables Variables
Model Entered Removed Method
1 X3, X2, X1 b
. Enter
a. Dependent Variable: Y
b. All requested variables entered.

Model Summaryb
Adjusted R Std. Error of the
Model R R Square Square Estimate
1 ,797 a
,635 ,499 5,513
a. Predictors: (Constant), X3, X2, X1
b. Dependent Variable: Y

ANOVAa

Model Sum of Squares df Mean Square F Sig.


1 Regression 423,544 3 141,181 4,646 ,037b

Residual 243,123 8 30,390

Total 666,667 11

a. Dependent Variable: Y

b. Predictors: (Constant), X3, X2, X1


Coefficientsa
Standardized
Unstandardized Coefficients Coefficients
Model B Std. Error Beta t Sig.
1 (Constant) 25,204 21,628 1,165 ,277
X1 ,625 1,033 ,627 ,605 ,562
X2 ,119 ,901 ,097 ,132 ,898
X3 ,082 ,671 ,081 ,122 ,906
a. Dependent Variable: Y

Residuals Statisticsa
Minimum Maximum Mean Std. Deviation N
Predicted Value 75,32 91,23 83,33 6,205 12
Residual -7,100 7,900 ,000 4,701 12
Std. Predicted Value -1,292 1,272 ,000 1,000 12
Std. Residual -1,288 1,433 ,000 ,853 12
a. Dependent Variable: Y

NPar Tests
One-Sample Kolmogorov-Smirnov
Test
Unstandardized
Residual
N 12
Normal Parametersa,b Mean ,0000000
Std. Deviation 4,70128296
Most Extreme Differences Absolute ,113
Positive ,110
Negative -,113
Test Statistic ,113
Asymp. Sig. (2-tailed) ,200c,d
a. Test distribution is Normal.
b. Calculated from data.
c. Lilliefors Significance Correction.
d. This is a lower bound of the true significance.
Berdasarkan hasil uji normalitas diketahui nilai signifikansi adalah sebesar 0,200 atau
lebih dari 0,05 sehingga dapat disimpulkan bahwa nilai tersebut berdistribusi normal.

3) Linearitas
Regression
Variables Entered/Removeda
Variables Variables
Model Entered Removed Method
1 X3, X2, X1 b
. Enter
a. Dependent Variable: Y
b. All requested variables entered.

Model Summaryb
Adjusted R Std. Error of the
Model R R Square Square Estimate
1 ,797a ,635 ,499 5,513
a. Predictors: (Constant), X3, X2, X1
b. Dependent Variable: Y

ANOVAa
Model Sum of Squares df Mean Square F Sig.
1 Regression 423,544 3 141,181 4,646 ,037b
Residual 243,123 8 30,390
Total 666,667 11
a. Dependent Variable: Y
b. Predictors: (Constant), X3, X2, X1

Coefficientsa
Standardized
Unstandardized Coefficients Coefficients
Model B Std. Error Beta t Sig.
1 (Constant) 25,204 21,628 1,165 ,277
X1 ,625 1,033 ,627 ,605 ,562
X2 ,119 ,901 ,097 ,132 ,898
X3 ,082 ,671 ,081 ,122 ,906
a. Dependent Variable: Y

Residuals Statisticsa
Minimum Maximum Mean Std. Deviation N
Predicted Value 75,32 91,23 83,33 6,205 12
Residual -7,100 7,900 ,000 4,701 12
Std. Predicted Value -1,292 1,272 ,000 1,000 12
Std. Residual -1,288 1,433 ,000 ,853 12
a. Dependent Variable: Y
Means

Case Processing Summary


Cases
Included Excluded Total
N Percent N Percent N Percent
Unstandardized Residual * 12 100,0% 0 0,0% 12 100,0%
Unstandardized Predicted
Value

Report
Unstandardized Residual
Unstandardized Predicted
Value Mean N Std. Deviation
75,31599 -,3159851 2 ,00000000
78,43866 -3,4386617 1 .
78,84758 1,1524164 2 7,07106781
79,25651 ,7434944 1 .
87,10037 1,2329616 3 7,63762616
90,63197 -,6319703 1 .
90,81784 4,1821561 1 .
91,22677 -6,2267658 1 .
Total ,0000000 12 4,70128296

ANOVA Table
Sum of Mean
Squares df Square F Sig.
Unstandardized Between (Combined) 76,456 7 10,922 ,262 ,941
Residual * Groups Linearity ,000 1 ,000 ,000 1,000
Unstandardized Deviation 76,456 6 12,743 ,306 ,905
Predicted Value from Linearity
Within Groups 166,667 4 41,667
Total 243,123 11
Measures of Association
R R Squared Eta Eta Squared
Unstandardized Residual * ,000 ,000 ,561 ,314
Unstandardized Predicted
Value

Berdasarkan hasil olah data tersebut terlihat bahwa nilai signifikansi lienearity yang
tertera pada anova tabel di atas adalah sebesar 1,000 atau lebih dari 0,05 sehingga
dapat disimpulkan bahwa terdapat hubungan linear antara variabel independent
dengan dependent. Hasil ini juga menunjukkan bahwa untuk uji linearitas sudah dapat
terpenuhi.

c. Uji korelasi
1) Uji korelasi sederhana variabel X1 dengan variabel Y
Correlations

Correlations
X1 Y
X1 Pearson Correlation 1 ,796**
Sig. (2-tailed) ,002
N 12 12
Y Pearson Correlation ,796** 1
Sig. (2-tailed) ,002
N 12 12
**. Correlation is significant at the 0.01 level (2-tailed).

Berdasarkan hasil olah data diketahui bahwa nilai signifikansi sebesar 0,002 atau
kurang dari 0,05 dan nilai pearson correlation adalah sebesar 0.796 yang berarti
adanya korelasi yang kuat antar variabel X1 dengan variabel Y.

2) Uji korelasi sederhana variabel X2 dengan variabel Y


Correlations
Correlations
X2 Y
X2 Pearson Correlation 1 ,768**
Sig. (2-tailed) ,004
N 12 12
Y Pearson Correlation ,768** 1
Sig. (2-tailed) ,004
N 12 12
**. Correlation is significant at the 0.01 level (2-tailed).

Berdasarkan hasil olah data diketahui bahwa nilai signifikansi sebesar 0,004 atau
kurang dari 0,05 dan nilai pearson correlation adalah sebesar 0.768 yang berarti
adanya korelasi yang kuat antar variabel X1 dengan variabel Y.

3) Uji korelasi sederhana variabel X3 dengan variabel Y


Correlations
Correlations
X3 Y
X3 Pearson Correlation 1 ,760**
Sig. (2-tailed) ,004
N 12 12
Y Pearson Correlation ,760 **
1
Sig. (2-tailed) ,004
N 12 12
**. Correlation is significant at the 0.01 level (2-tailed).

Berdasarkan hasil olah data diketahui bahwa nilai signifikansi sebesar 0,004 atau
kurang dari 0,05 dan nilai pearson correlation adalah sebesar 0.760 yang berarti
adanya korelasi yang kuat antar variabel X1 dengan variabel Y.

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