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EXPERIMENT ANALYSIS (DATA DARI HASIL BELAJAR SISWA)

One-Sample Statistics N problem solving score 149 Mean 68.0336 Std. Deviation 12.51832 Std. Error Mean 1.02554

One-Sample Test Test Value = 65 95% Confidence Interval of the Difference t problem solving score 2.958 df 148 Sig. (2-tailed) .004 Mean Difference 3.03356 Lower 1.0070 Upper 5.0602

Bedanya meyakinkan, signifikasinya 0,004 (di bawah 5%) Mean-nya dia atas 65 (test value)yaitu 68 JAWABAN PERTANYAAN: 1. TUNTAS (pake one sample t test) Analyze-compare means- one sample t test

Group Statistics 1. school 1. 2 sek 2 problem solving score 1 2 N 84 65 Mean 68.7262 67.1385 Std. Deviation 11.02828 14.25535 Std. Error Mean 1.20328 1.76816

Independent Samples Test Levene's Test for Equality of Variances t-test for Equality of Means 95% Confidence Interval of the Sig. (2F problem solving Equal variances score assumed Equal variances not assumed 4.432 Sig. .037 t .767 df 147 tailed) .444 Mean Std. Error Difference Lower -2.50475 Upper 5.68021

Difference Difference 1.58773 2.07085

.742 117.563

.459

1.58773

2.13876

-2.64775

5.82321

2. Bedanya kedua sekolah itu tdk signifikan dilihat dari meannya: 67 dan 68 Pake rumus compare means- independent t test KURANG DARI 5 % VARIANNYA BEDA LEBIH DARI 5 % VARIANNYA TIDAK BEDA (SIG)

Group Statistics 1. exp. 2. control problem solving score 1 2 N 75 74 Mean 72.8667 63.1351 Std. Deviation 10.84203 12.25676 Std. Error Mean 1.25193 1.42482

Independent Samples Test Levene's Test for Equality of Variances t-test for Equality of Means 95% Confidence Interval of the Sig. (2F problem solving Equal variances score assumed Equal variances not assumed 2.741 Sig. .100 t 5.135 df 147 tailed) .000 Mean Std. Error Difference Lower 5.98632 Upper 13.47675

Difference Difference 9.73153 1.89513

5.131 144.352

.000

9.73153

1.89669

5.98266

13.48041

3. Dari mean-nya bisa kelihatan bahwa kelas experiment lebih baik drpada kelas control Analyze-compare means-independent sample t test F=UJI KESAMAAN VARIAN

ANOVA problem solving score Sum of Squares Between Groups Within Groups Total 1978.416 21214.417 23192.832 df 2 146 148 Mean Square 989.208 145.304 F 6.808 Sig. .001

Multiple Comparisons Dependent Variable:problem solving score (I) 1. (J) 1. 95% Confidence Interval

high. 2. high. 2. middle. middle. Mean Difference 3. low Tukey HSD 1 3. low 2 3 2 1 3 3 1 2 Scheffe 1 2 3 2 1 3 3 1 2 (I-J) 5.18230 9.35556
*

Std. Error 2.38574 2.54125 2.38574 2.38574 2.54125 2.38574 2.38574 2.54125 2.38574 2.38574 2.54125 2.38574

Sig. .079 .001 .079 .191 .001 .191 .098 .002 .098 .220 .002 .220

Lower Bound -.4668 3.3382 -10.8314 -1.4758 -15.3729 -9.8224 -.7178 3.0708 -11.0824 -1.7269 -15.6403 -10.0734

Upper Bound 10.8314 15.3729 .4668 9.8224 -3.3382 1.4758 11.0824 15.6403 .7178 10.0734 -3.0708 1.7269

-5.18230 4.17326 -9.35556


*

-4.17326 5.18230 9.35556


*

-5.18230 4.17326 -9.35556


*

-4.17326

LSD

2 3

5.18230 9.35556 -5.18230

* * *

2.38574 2.54125 2.38574 2.38574 2.54125 2.38574

.031 .000 .031 .082 .000 .082

.4672 4.3332 -9.8973 -.5418 -14.3779 -8.8883

9.8973 14.3779 -.4672 8.8883 -4.3332 .5418

1 3

4.17326 -9.35556
*

1 2

-4.17326

*. The mean difference is significant at the 0.05 level.

problem solving score 1. high. 2. middle. 3. low Tukey HSD


a

Subset for alpha = 0.05

N 45 59 45

1 63.5556 67.7288

3 2 1 Sig.

67.7288 72.9111

.204 45 59 45 .235 63.5556 67.7288

.088

Scheffe

3 2 1 Sig.

67.7288 72.9111 .108

Means for groups in homogeneous subsets are displayed. a. Uses Harmonic Mean Sample Size = 48.865.

4. Ada perbedaan. Pake one way anova-post hoc-pke LSD

2 November 2012 ANALISIS

Univariate Analysis of Variance


RUMUS: ANALYZE GENERAL LINEAR MODEL-UNIVARIATE-DEPENDENT VARIABEL DIISI NILAIFIXED FACTOR DIISI VARIABELNYA-PLOT DIISI KELOMPOK HORIZONTAL, KELAS SEPARATE LINES, DAN SEBALIKNYA ADD- CONTINUE-OK

Between-Subjects Factors N 1. exp. 2. control 1 2 1. high. 2. middle. 3. low 1 2 3 75 74 45 59 45

Tests of Between-Subjects Effects Dependent Variable:problem solving score Type III Sum of Source Corrected Model Intercept kelas kelompok kelas * kelompok Error Total Corrected Total Squares 5607.341
a

df 5 1 1 2 2 143 149 148

Mean Square 1121.468 677621.782 3049.565 918.674 141.299 122.975

F 9.119 5.510E3 24.798 7.470 1.149

Sig. .000 .000 .000 .001 .320

677621.782 3049.565 1837.348 282.599 17585.491 712849.000 23192.832

a. R Squared = .242 (Adjusted R Squared = .215)

Jadi metode ini lebih cocok untuk kelompok tengah (middle) Jadi perbedaan kedua kelas eksperimen dan control pada ketiga kelopok tidak signifikan (32%) Kelas cross kelompok tidak signifikan Kelompok (30-40-30)

ANALISIS ANOVA 2 JALUR


TAHAP: ANALISIS GLM- UNIVARIATE HASIL BELAJAR (DEPENDENT)- FACTOR (YG LAIN)-PLOT KELAS (HORIZONTAL)-POST HOC (KELOMPOK)- LSD-CONTINUE-

Post Hoc Tests 1. high. 2. middle. 3. Low

Multiple Comparisons problem solving score LSD (I) 1. (J) 1. 95% Confidence Interval

high. 2. high. 2. middle. middle. Mean Difference 3. low 1 3. low 2 3 2 1 3 3 1 2 Based on observed means. The error term is Mean Square(Error) = 122.975. *. The mean difference is significant at the 0.05 level. (I-J) 5.1823 9.3556 -5.1823
*

Std. Error 2.19479 2.33786 2.19479 2.19479 2.33786 2.19479

Sig. .020 .000 .020 .059 .000 .059

Lower Bound .8439 4.7343 -9.5207 -.1652 -13.9768 -8.5117

Upper Bound 9.5207 13.9768 -.8439 8.5117 -4.7343 .1652

* *

4.1733 -9.3556
*

-4.1733

TUGAS CARI DATA UNTUK MENGANALISA EKSPERIMEN (ANOVA 2 JALUR) ADA 2 VARIABEL YANG MEMPENGARUHI EKSPERIMEN

REGRESI GANDA

CONTOH:
PENGARUH BUDAYA ORGANISASI THD KINERJA (REGRESI SEDERHANA)

LANGKAH: ANALYZE-REGRESSION-LINEAR-DEPENDENT (KINERJA)-INDEPENDENT (BUDAYA)OK

Regression
[DataSet2]

Variables Entered/Removed Variables Model 1 Variables Entered budaya


a

Removed

Method . Enter

a. All requested variables entered. b. Dependent Variable: kinerja

Model Summary Adjusted R Model 1 a. R .627


a

Std. Error of the Estimate

R Square .393

Square .389

8.38604

Predictors: (Constant), budaya

KEYAKINAN BAHWA BUDAYA MEMPENGARUHI KINERJA ADALAH 39, 3 PERSEN (R. SQUARE)

ANOVA

Model 1 Regression Residual Total

Sum of Squares 7462.580 11533.396 18995.976

df 1 164 165

Mean Square 7462.580 70.326

F 106.115

Sig. .000
a

a. Predictors: (Constant), budaya b. Dependent Variable: kinerja

REGRESSION+RESIDUAL=TOTAL DF: DERAJAT KEBEBASAN ADA 165 VARIABEL 1 REGRESINYA 164 F ADALAH PERBANDINGAN 7462.580: 70.326 F: MENGGAMBARKAN PREDIKSI REGRESI BENAR/TIDAK ATAU DATA LINEAR ATAU TIDAK F SEMAKIN BESAR MAKA DATA SEMAKIN LINEAR

Coefficients

Standardized Unstandardized Coefficients Model 1 (Constant) budaya a. Dependent Variable: kinerja B 35.406 .664 Std. Error 5.823 .065 .627 Coefficients Beta t 6.080 10.301 Sig. .000 .000

Y: 35,4 + 0,664X Y-KINERJA X-BUDAYA

KALAU BUDAYA ORGANISASI NAIK 1 SKOR, MAKA KINERJA NAIK 0,664

Analisis Regresi Ganda


regresi pendapatan dengan tabungan

Regression
Notes Output Created Comments Input Data D:\sari file\MAGISTER\statistik\Latihan Regresi\Kekayaan.sav Active Dataset Filter Weight Split File N of Rows in Working Data File Missing Value Handling Definition of Missing DataSet1 <none> <none> <none> 10 User-defined missing values are treated as missing. Cases Used Statistics are based on cases with no missing values for any variable used. Syntax REGRESSION /MISSING LISTWISE /STATISTICS COEFF OUTS R ANOVA /CRITERIA=PIN(.05) POUT(.10) /NOORIGIN /DEPENDENT y /METHOD=ENTER x1. 30-Nov-2012 10:11:08

Resources

Processor Time Elapsed Time Memory Required Additional Memory Required for Residual Plots

00:00:00.031 00:00:00.079 1372 bytes 0 bytes

[DataSet1] D:\sari file\MAGISTER\statistik\Latihan Regresi\Kekayaan.sav

Variables Entered/Removed Variables Model 1 Variables Entered Pendapatan


a

Removed

Method . Enter

a. All requested variables entered. b. Dependent Variable: Tabungan

Model Summary Adjusted R Model 1 R .942


a

Std. Error of the Estimate

R Square .887

Square .872

.12314

a. Predictors: (Constant), Pendapatan

ANOVA Model 1 Regression Residual Total a. Predictors: (Constant), Pendapatan b. Dependent Variable: Tabungan Sum of Squares .949 .121 1.070 df

Mean Square 1 8 9 .949 .015

F 62.578

Sig. .000
a

Coefficients

Standardized Unstandardized Coefficients Model 1 (Constant) Pendapatan a. Dependent Variable: Tabungan B -.271 .380 Std. Error .161 .048 .942 Coefficients Beta t -1.683 7.911 Sig. .131 .000

Artinya pendapatan sangat berpengaruh pada tabungan

Regression
Notes Output Created Comments Input Data D:\sari file\MAGISTER\statistik\Latihan Regresi\Kekayaan.sav Active Dataset Filter Weight Split File N of Rows in Working Data File Missing Value Handling Definition of Missing DataSet1 <none> <none> <none> 10 User-defined missing values are treated as missing. Cases Used Statistics are based on cases with no missing values for any variable used. Syntax REGRESSION /MISSING LISTWISE /STATISTICS COEFF OUTS R ANOVA /CRITERIA=PIN(.05) POUT(.10) /NOORIGIN /DEPENDENT y /METHOD=ENTER x2. 30-Nov-2012 10:13:34

Resources

Processor Time Elapsed Time Memory Required Additional Memory Required for Residual Plots

00:00:00.063 00:00:00.031 1372 bytes 0 bytes

[DataSet1] D:\sari file\MAGISTER\statistik\Latihan Regresi\Kekayaan.sav

Variables Entered/Removed

Variables Model 1 Variables Entered Kekayaan


a

Removed

Method . Enter

a. All requested variables entered. b. Dependent Variable: Tabungan

Model Summary Adjusted R Model 1 R .933


a

Std. Error of the Estimate

R Square .870

Square .854

.13188

a. Predictors: (Constant), Kekayaan

ANOVA Model 1 Regression Residual Total a. Predictors: (Constant), Kekayaan b. Dependent Variable: Tabungan Sum of Squares .931 .139 1.070 df

Mean Square 1 8 9 .931 .017

F 53.536

Sig. .000
a

Coefficients

Standardized Unstandardized Coefficients Model 1 (Constant) Kekayaan a. Dependent Variable: Tabungan B .128 .017 Std. Error .122 .002 .933 Coefficients Beta t 1.050 7.317 Sig. .324 .000

Kekayaan mempengaruhi besarnya tabungan (signifikasinya 0) R square nya besar 87%

Regression
Notes Output Created Comments Input Data D:\sari file\MAGISTER\statistik\Latihan Regresi\Kekayaan.sav Active Dataset Filter Weight Split File N of Rows in Working Data File Missing Value Handling Definition of Missing DataSet1 <none> <none> <none> 10 User-defined missing values are treated as missing. Cases Used Statistics are based on cases with no missing values for any variable used. Syntax REGRESSION /MISSING LISTWISE /STATISTICS COEFF OUTS R ANOVA /CRITERIA=PIN(.05) POUT(.10) /NOORIGIN /DEPENDENT y /METHOD=ENTER x2 x1. 30-Nov-2012 10:16:44

Resources

Processor Time Elapsed Time Memory Required Additional Memory Required for Residual Plots

00:00:00.110 00:00:00.063 1628 bytes 0 bytes

[DataSet1] D:\sari file\MAGISTER\statistik\Latihan Regresi\Kekayaan.sav

Variables Entered/Removed Variables Model Variables Entered Removed

Method

Pendapatan, Kekayaan
a

. Enter

a. All requested variables entered. b. Dependent Variable: Tabungan

Model Summary Adjusted R Model 1 R .943


a

Std. Error of the Estimate

R Square .890

Square .858

.12997

a. Predictors: (Constant), Pendapatan, Kekayaan

ANOVA Model 1 Regression Residual Total Sum of Squares .952 .118 1.070 df

Mean Square 2 7 9 .476 .017

F 28.181

Sig. .000
a

a. Predictors: (Constant), Pendapatan, Kekayaan b. Dependent Variable: Tabungan

Coefficients

Standardized Unstandardized Coefficients Model 1 (Constant) Kekayaan Pendapatan a. Dependent Variable: Tabungan B -.511 -.011 .615 Std. Error .586 .025 .553 -.585 1.524 Coefficients Beta t -.871 -.427 1.112 Sig. .413 .682 .303

Correlations
Notes Output Created Comments Input Data D:\sari file\MAGISTER\statistik\Latihan Regresi\Kekayaan.sav Active Dataset Filter Weight Split File N of Rows in Working Data File Missing Value Handling Definition of Missing DataSet1 <none> <none> <none> 10 User-defined missing values are treated as missing. Cases Used Statistics for each pair of variables are based on all the cases with valid data for that pair. Syntax CORRELATIONS /VARIABLES=x1 x2 /PRINT=TWOTAIL NOSIG /MISSING=PAIRWISE. 30-Nov-2012 10:18:21

Resources

Processor Time Elapsed Time

00:00:00.047 00:00:00.031

[DataSet1] D:\sari file\MAGISTER\statistik\Latihan Regresi\Kekayaan.sav

Correlations Pendapatan Pendapatan Pearson Correlation Sig. (2-tailed) N Kekayaan Pearson Correlation Sig. (2-tailed) N **. Correlation is significant at the 0.01 level (2-tailed). 10 .996
**

Kekayaan 1 .996
**

.000 10 1

.000 10 10

Kalau kita lihat korelasinya, yg lbh tinggi adalah pendapatan daripada kekayaan, kalau 2 variabel bisa dimasukkan bebas lebih baik masukkan variable pendapatan daripada variable kekayaan (dicari yang korelasinya paling tinggi)

14 desember Logaritma natural; jika ingin melihat dalam bentuk persen

Transform-comput-Ln(Y1) ok

lnY: 3,145 + 0,683 lnX2 makna: jika X2 naik 1% maka Y naik 0,683%. Logartima : Logaritma biasa (berbasis 10) Logaritma natural (berbasis e=2,7182

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