1. The document reports the results of normality, correlation, and regression tests conducted on variables X and Y.
2. The normality tests show that variables X and Y are normally distributed. The correlation test shows a strong positive correlation (0.876) between X and Y.
3. The regression analysis finds that X is a significant predictor of Y, explaining 76.8% of the variance in Y.
1. The document reports the results of normality, correlation, and regression tests conducted on variables X and Y.
2. The normality tests show that variables X and Y are normally distributed. The correlation test shows a strong positive correlation (0.876) between X and Y.
3. The regression analysis finds that X is a significant predictor of Y, explaining 76.8% of the variance in Y.
1. The document reports the results of normality, correlation, and regression tests conducted on variables X and Y.
2. The normality tests show that variables X and Y are normally distributed. The correlation test shows a strong positive correlation (0.876) between X and Y.
3. The regression analysis finds that X is a significant predictor of Y, explaining 76.8% of the variance in Y.
1. The document reports the results of normality, correlation, and regression tests conducted on variables X and Y.
2. The normality tests show that variables X and Y are normally distributed. The correlation test shows a strong positive correlation (0.876) between X and Y.
3. The regression analysis finds that X is a significant predictor of Y, explaining 76.8% of the variance in Y.
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Hasil Uji Normalitas
EXAMINE VARIABLES=X Y /PLOT BOXPLOT STEMLEAF NPPLOT /COMPARE GROUP /STATISTICS DESCRIPTIVES /CINTERVAL 95 /MISSING LISTWISE /NOTOTAL. Explore [DataSet0] Case Processing Summary
Cases Valid Missing Total N Percent N Percent N Percent X 3 100,0% 0 ,0% 3 100,0% Y 3 100,0% 0 ,0% 3 100,0%
Descriptives Statistic Std. Error X Mean 78,1711 2,62189 95% Confidence Interval for Mean Lower Bound 66,8900 Upper Bound 89,4522 5% Trimmed Mean . Median 76,9912 Variance 20,623 Std. Deviation 4,54124 Minimum 74,34 Maximum 83,19 Range 8,85 Interquartile Range . Skewness 1,090 1,225 Kurtosis . . Y Mean 64,5171 1,39593 95% Confidence Interval for Mean Lower Bound 58,5109 Upper Bound 70,5234 5% Trimmed Mean . Median 63,6452 Variance 5,846 Std. Deviation 2,41783 Minimum 62,66 Maximum 67,25 Range 4,59 Interquartile Range . Skewness 1,412 1,225 Kurtosis . .
Tests of Normality
Kolmogorov-Smirnov(a) Shapiro-Wilk Statistic df Sig. Statistic df Sig. X ,269 3 . ,949 3 ,567 Y ,307 3 . ,902 3 ,393 a Lilliefors Significance Correction
Descriptive Statistics Mean Std. Deviation N X 78,1711 4,54124 3 Y 64,5171 2,41783 3
Correlations X Y X Pearson Correlation 1 ,876 Sig. (2-tailed) ,320 N 3 3 Y Pearson Correlation ,876 1 Sig. (2-tailed) ,320 N 3 3
3. Hasil Uji Determinasi REGRESSION /MISSING LISTWISE /STATISTICS COEFF OUTS R ANOVA /CRITERIA=PIN(.05) POUT(.10) /NOORIGIN /DEPENDENT Y /METHOD=ENTER X . Regression [DataSet0]
Variables Entered/Removed(b) Mode l Variables Entered Variables Removed Method 1 X(a) . Enter a All requested variables entered. b Dependent Variable: Y
Model Summary Mode l R R Square Adjusted R Square Std. Error of the Estimate 1 ,876(a) ,768 ,536 1,64709 a Predictors: (Constant), X
ANOVA(b) Mode l Sum of Squares df Mean Square F Sig. 1 Regressio n 8,979 1 8,979 3,310 ,320(a) Residual 2,713 1 2,713 Total 11,692 2 a Predictors: (Constant), X b Dependent Variable: Y
Coefficients(a) Mode l Unstandardized Coefficients Standardized Coefficients t Sig. B Std. Error Beta B Std. Error 1 (Constant ) 28,044 20,071 1,397 ,395 X ,467 ,256 ,876 1,819 ,320 a Dependent Variable: Y