Dua Sampel (E.H)
Dua Sampel (E.H)
Dua Sampel (E.H)
Adi 75 80 80
Budi 60 50 65
Cici 85 70 90
Dedi 70 80 75
Eka 80 50 85
Fani 65 70 70
Gita 90 70 95
Hani 55 60 60
Ika 95 50 100
Joko 50 80 70
Jumlah 725 660 790
=(∑▒𝑋_1
M1 )/𝑛_1 =725/10=72,5
Keterangan :
M1 = rata-rata skor kelompok 1
M2 = rata-rata skor kelompok 2
SS1 = sum of square kelompok 1
SS2 = sum of square kelompok 2
n1 = jumlah subjek/sample kelompok 1
n2 = jumlah subjek/sample kelompok 2
Siswa Perbaikan 1(X1) Perbaikan 2(X2) X12 X22
Adi 80 90 6400 8100
Budi 65 75 4225 5625
Cici 90 100 8100 10000
Dedi 75 80 5625 6400
Eka 85 90 7225 8100
Fani 70 80 4900 6400
Gita 95 90 9025 8100
Hani 60 80 3600 6400
Ika 100 90 10000 8100
Joko 70 80 4900 6400
Jumlah 790 855 64000 73625
=(∑▒𝑋_1
M1 )/𝑛_1 =790/10=79
/81,14+(60−57,58)^2/57,58+(85−81,14)^2/81,14+(70−78,52)^2/78,52+(80−68,05)^2/68,05+(65−70,67)^2/70,67+(90−83
(50−52,42)^2/52,42+(70−73,86)^2/73,86+(80−71,48)^2/71,48+(50−61,95)^2/61,95+(70−64,33)^2/64,33+(70−76,2
𝑋^2=0,46+0,10+0,18+O,92+2,10+0,45+0,47+0,45+4,81+4,79+0,51+0,11+0,20+1,02+2,31+0,50+0,51
𝑋^2=30,92
Hipotesis:
H0 Tidak ada hubungan yang signifikan antara Ulangan 1 dan Ulangan 2
Ha Ada hubungan yang signifikan antara Ulangan 1 dan Ulangan 2
Jadi, kesimpulannya adalah nilai ChiSquare hitung 30,92 > nilai ChiSquare tabel 16,919 maka itu
artinya H0 ditolak yang berarti ada hubungan yang signifikan antara Ulangan 1 dan Ulangan 2
Siswa Ulangan 1 Ulangan 2 d d2
Adi 75 80 5 25
Budi 60 50 -10 100
Cici 85 70 -15 225
Dedi 70 80 10 100
Eka 80 50 -30 900
Fani 65 70 5 25
Gita 90 70 -20 400
Hani 55 60 5 25
Ika 95 50 -45 2025
Joko 50 80 30 900
Jumlah 725 660 -65 4725
5−73102,5=522,5
Perbaikan 1 Perbaikan 2
Mean 79 85.5
Variance 176.66666666667 58.05555556
Observations 10 10
Pooled Variance 117.36111111111
Hypothesized Mean 0
df 18
t Stat -1.34
P(T<=t) one-tail 0.0981972361417
t Critical one-tail 1.7340636066175
P(T<=t) two-tail 0.1963944722834
t Critical two-tail 2.100922040241
Y2
6400
2500 Persamaan Regresi = 𝑌=𝑎+𝑏𝑋
4900
6400 a ?
2500 b ?
4900
𝑋^2 〗 )−(∑▒ 〖𝑋 )4900
〗 (∑▒𝑋𝑌))/(𝑛∑▒𝑋^2 −(∑▒ 〖𝑋 ) 〗 ^2 )=((660)(54625)−(725)(47450))/(10(54625)−( 〖 725) 〗 ^2 )=(360525
3600
2500
6400 〖𝑋 ^2−( 〖∑▒𝑋 ) 〗 ^2 〗 )=(10(47450)−(725)(660))/(10(54625)−( 〖 725) 〗 ^2 )=(474500−478500)/(546
∑▒𝑋)(∑▒𝑌) 〗 )/(𝑛∑▒
45000
Keterangan:
Y = Variabel dependen (variabel ketergantungan)
X = Variabel bebas (variabel bebas)
a = Konstanta (nilai dari Y apabila X = 0)
b = Koefisien regresi (pengaruh positif atau negatif)
Y2
8100
5625 Persamaan Regresi = 𝑌=𝑎+𝑏𝑋
10000
6400 a ?
8100 b ?
6400
𝑋^2 〗 )−(∑▒ 〖𝑋 )8100
〗 (∑▒𝑋𝑌))/(𝑛∑▒𝑋^2 −(∑▒ 〖𝑋 ) 〗 ^2 )=((855)(64000)−(790)(68275))/(10(64000)−( 〖 790) 〗 ^2 )=(547200
6400
8100
6400〖∑▒〖𝑋 ^2−(∑▒𝑋 〗 ) 〗 ^2 )=(10(68275)−(790)(855))/(10(64000)−( 〖 790) 〗 ^2 )=(682750−675450)/(640
− (∑▒𝑋)(∑▒𝑌) 〗 )/(𝑛
73625
Nilai Harapan (expected)
Hasil Ulangan
Siswa Ulangan 1 (fe1) Ulangan 2 (fe2) 𝑓𝑒=((𝑡𝑜𝑡𝑎𝑙𝑏𝑎𝑟𝑖𝑠)(𝑡𝑜𝑡𝑎𝑙 𝑘𝑜𝑙𝑜𝑚))/(𝑇𝑜𝑡𝑎𝑙 𝐾𝑒𝑠𝑒𝑙𝑢𝑟𝑢ℎ𝑎𝑛)
Total
Adi 81.14 73.86 155
Budi 57.58 52.42 110
Cici 81.14 73.86 155
Dedi 78.52 71.48 150
Eka 68.05 61.95 130
Fani 70.67 64.33 135
Gita 83.75 76.25 160
Hani 60.20 54.80 115
Ika 75.90 69.10 145
Joko 68.05 61.95 130
Jumlah 725 660 1385
5+(65−70,67)^2/70,67+(90−83,75)^2/83,75+(55−60,20)^2/60,20+(95−75,90)^2/75,90+(50−68,05)^2/68,05+(80−73,86)^
𝑋^2=(80−81,64)^
+(70−64,33)^2/64,33+(70−76,25)^2/76,25+(60−54,80)^2/54,80+((50−69,10)²)/69,10 (80−61,95)^2/61,95
11+0,20+1,02+2,31+0,50+0,51+0,49+5,28+5,26
𝑋^2=[∑▒(𝑓𝑜−𝑓𝑒) ^2/𝑓𝑒]
Keterangan:
X2 = Nilai ChiSquare
fo = Frekuensi hasil yang diamati (Observed Value)
fe = Frekuensi yang di harapkan (Expected Value)
𝑆_𝑑^2 √((𝑛∑▒𝑑^2 −(∑▒𝑑)^2)/(𝑛(𝑛−1)))=√((10(4725)−(−65)^2)/(10(10−1))=) √((47250−4225)/
d̅ Sd
-6.5 21.86
X22
Uji T Dua Sampel
6400
2500
4900
6400
2500
4900
4900
3600
2500
6400
45000
Ulangan 1 Ulangan 2
Mean 72.5 66
Variance 229.166666666667 160
Observations 10 10
Pooled Variance 194.583333333333
Hypothesized Mean 0
df 18
t Stat 1.04
P(T<=t) one-tail 0.155614826717135
t Critical one-tail 1.73406360661754
P(T<=t) two-tail 0.311229653434271
t Critical two-tail 2.10092204024104
SUMMARY OUTPUT
Regression Statistics
Multiple R 0.23210354127426
R Square 0.05387205387205
Adjusted R Square -0.0643939393939
5)−( 〖 725) 〗 ^2 )=(36052500−34401250)/(546250−525625)=1651250/20625=80,06060606
Standard Error 13.0500203181079
Observations 10
)=(474500−478500)/(546250−525625)=(−4000)/20625=−0,193939394
ANOVA
df
Regression 1
Residual 8
Total 9
Coefficients
Intercept 80.0606060606061
Ulangan 1 (X) -0.1939393939394
SUMMARY OUTPUT
Regression Statistics
Multiple R 0.80090526855242
R Square 0.64144924919503
Adjusted R Square 0.59663040534441
0)−( 〖 790) 〗 ^2 )=(54720000−53937250)/(640000−624100)=782750/15900=49,22955975
Standard Error 4.839198891547
Observations 10
)=(682750−675450)/(640000−624100)=7300/15900=0,459119497
ANOVA
df
Regression 1
Residual 8
Total 9
Coefficients
Intercept 49.2295597484277
Perbikan 1 (X) 0.459119497
05)^2/68,05+(80−73,86)^2/73,86+
𝑋^2=(80−81,64)^2/81,64+(65−67,23)^2/67,23+(90−91,25)^2/91,25+(75−74,44)^2/74,44+(85−84,04)^2/84,04+ 〖
5)^2/61,95 (75−72,77)^2/72,77+(100−98,75)^2/98,75+(80−80,56)^2/80,56+(90−90,96)^2/90,96+
𝑋^2=0,033+0,074+0,017+O,004+0,011+0,058+0,427+0,778+0,839+0,0
𝑋^2=4,421
Hipotesis:
H0 Tidak ada hubungan yang signifikan antara Perbaikan 1 dan Perbaikan
Ha Ada hubungan yang signifikan antara Perbaikan 1 dan Perbaikan 2
Jadi, kesimpulannya adalah nilai ChiSquare hitung 4,421 < nilai ChiSquare tabel 16,919 ma
diterima yang berarti tidak ada hubungan yang signifikan antara Perbaikan 1 dan Pe
0−1))=) √((47250−4225)/(10(9)))=√(43025/90)=√478,0555556=21,86
Siswa
Adi
Budi
Cici
Dedi
Eka
Fani
Gita
Hani
Ika
Joko
Jumlah
Cohen's d
0.2
0.5
0.8
SS MS F Significance F
335.157232704403 335.157232704 14.31204364247 0.0053641646018613
187.342767295597 23.4178459119
522.5
2.04
4.1616
0.053
6)^2/80,56+(90−90,96)^2/90,96+(80−77,96)^2/77,96+(90−96,16)^2/96,16+(80−72,77)^2/72,77+((90−98,75)²)/98,75 (80
11+0,058+0,427+0,778+0,839+0,058+0,030+0,068+0,016+0,004+0,010+0,053+0,395+0,718+0,775+0,053
putusan
abel maka H0 ditolak
bel maka H0 diterima
%=9;0,05=16,919
Effect Size
Kecil
Sedang
Besar
Chi Square
𝑓𝑒=((𝑡𝑜𝑡𝑎𝑙𝑏𝑎𝑟𝑖𝑠)(𝑡𝑜𝑡𝑎𝑙 𝑘𝑜𝑙𝑜𝑚))/(𝑇𝑜𝑡𝑎𝑙 𝐾𝑒𝑠𝑒𝑙𝑢𝑟𝑢ℎ𝑎𝑛)
Total
170.00
140.00
190.00
155.00
175.00
150.00
185.00
140.00
190.00
150.00
1645.00
23+(100−91,25)^2/91,25+(70−72,04)^2/72,04+(90−88,36)^2/88,36+
+((90−98,75)²)/98,75 (80−77,96)^2/77,96
𝑆_𝑑^2 √((𝑛∑▒𝑑^2 −(∑▒𝑑)^2)/(𝑛(𝑛−1)))=√((10(1075)−(65)^2)/(10(10−1))=) √((10750−4225)/(10(9)))=√(6525/9
Sd
8.51
Efek Size
4225)/(10(9)))=√(6525/90)=√72,5=8,51
Siswa Ulangan 1 Ulangan 2 Perbikan 1
Adi 75 80 80
Budi 60 50 65
Cici 85 70 90
Dedi 70 80 75
Eka 80 50 85
Fani 65 70 70
Gita 90 70 95
Hani 55 60 60
Ika 95 50 100
Joko 50 80 70
Jumlah 725 660 790
Ulangan 1 Ulangan 2
Perbikan 1 Perbaikan 2
Descriptive Statistics
t-Test: Two-Sample Assuming Equal Variances
Ulangan 1 Ulangan 2
Mean 72.5 66
Variance 229.166666666667 160
Observations 10 10
Pooled Variance 194.583333333333
Hypothesized Mean Difference 0
df 18
t Stat 1.04194678603327
P(T<=t) one-tail 0.155614826717135
t Critical one-tail 1.73406360661754
P(T<=t) two-tail 0.311229653434271
t Critical two-tail 2.10092204024104
Perbikan 1 Perbaikan 2
Mean 79 85.5
Variance 176.666666666667 58.0555555555556
Observations 10 10
Pooled Variance 117.361111111111
Hypothesized Mean Difference 0
df 18
t Stat -1.34164078649987
P(T<=t) one-tail 0.098197236141691
t Critical one-tail 1.73406360661754
P(T<=t) two-tail 0.196394472283383
t Critical two-tail 2.10092204024104
t-Test F-Test
F-Test Two-Sample for Variances
Ulangan 1 Ulangan 2
Mean 72.5 66
Variance 229.166666667 160
Observations 10 10
df 9 9
F 1.43229166667
P(F<=f) one-tail 0.30054953242
F Critical one-tail 3.17889310446
Perbikan 1 Perbaikan 2
Mean 79 85.5
Variance 176.666666667 58.055555556
Observations 10 10
df 9 9
F 3.04306220096
P(F<=f) one-tail 0.05641650951
F Critical one-tail 3.17889310446
SUMMARY OUTPUT
Regression Statistics
Multiple R 0.232103541274264
R Square 0.053872053872054
Adjusted R Square -0.064393939393939
Standard Error 13.0500203181079
Observations 10
ANOVA
df SS MS
Regression 1 77.5757575757575 77.5757575757575
Residual 8 1362.42424242424 170.30303030303
Total 9 1440
PROBABILITY OUTPUT
Percentile Ulangan 2
5 50 Normal Probability Plot
15 50
25 50 100
80
35 60 f(x) = 0.4 x + 46
Ulangan 2
60
R² = 0.916666666666667
45 70 40
20
55 70 0
65 70 0 10 20 30 40 50 60 70 80 90 100
Sample Percentile
60 f(x) = 0.4 x + 46
R² = 0.916666666666667
Ulangan
40
20
0
0 10 20 30 40 50 60 70 80 90 100
75 80 Sample Percentile
85 80
95 80
SUMMARY OUTPUT
Regression Statistics
Multiple R 0.800905268552423
R Square 0.641449249195029
Adjusted R Square 0.596630405344407
Standard Error 4.839198891547
Observations 10
ANOVA
df SS MS
Regression 1 335.157232704403 335.157232704403
Residual 8 187.342767295597 23.4178459119497
Total 9 522.5
PROBABILITY OUTPUT
Percentile Perbaikan 2
5 75 Normal Probability Plot
15 80
25 80 150
Perbaikan 2
35 80 100
f(x) = 0.233333333333333 x + 73.8333333333333
45 80 50 R² = 0.859649122807017
55 90 0
65 90 0 10 20 30 40 50 60 70 80 90 100
75 90 Sample Percentile
85 90
95 100
F Significance F
0.455516014234875 0.518752999128933
robability Plot
46
6666666667
0 40 50 60 70 80 90 100
Sample Percentile
46
6666666667
0 40 50 60 70 80 90 100
Sample Percentile
F Significance F
14.3120436424675 0.0053641646018613
Probability Plot
333333333333 x + 73.8333333333333
49122807017
30 40 50 60 70 80 90 100
Sample Percentile
Regression
Upper 95,0%
129.035106643511
0.468695483462664
Upper 95,0%
71.6180587796705
0.738975734745882