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1.1.

Korelasi dan Regresi Linier Sederhana


1.1.1. Koefisien Korelasi Pearson
a. SPSS

Correlations

Skala_Konformit Prokrastinasi_Ak
as ademik

Skala_Konformitas Pearson Correlation 1 ,723**

Sig. (2-tailed) ,000

N 30 30
Prokrastinasi_Akademik Pearson Correlation ,723** 1

Sig. (2-tailed) ,000

N 30 30

**. Correlation is significant at the 0.01 level (2-tailed).

b. Minitab

Correlation: Skala_konformitas; Prokrastinasi_Akademik


Pearson correlation of Skala_konformitas and Prokrastinasi_Akademik =
0,723
P-Value = 0,000

c. Excel

Column Column
  1 2
Column
1 1
Column
2 0,722712 1

1.1.2. Regresi Linier Sederhana


1.1.2.1. Slop
a. SPSS

Coefficientsa
Standardized
Unstandardized Coefficients Coefficients

Model B Std. Error Beta t Sig.

1 (Constant) 15,422 7,572 2,037 ,051

Skala_Konformitas ,734 ,133 ,723 5,533 ,000

a. Dependent Variable: Prokrastinasi_Akademik

b. Minitab
Coefficients

Term Coef SE Coef T-Value P-Value VIF


Constant 15,42 7,57 2,04 0,051
Skala_konformitas 0,734 0,133 5,53 0,000 1,00

c. Excel

Standard
  Coefficients Error t Stat P-value
Intercept 15,42222363 7,572108439 2,03671458 0,05123404
X Variable 1 0,733962982 0,132648181 5,53315528 6,4731E-06

1.1.2.2. Intersep
a. SPSS

Coefficientsa

Standardized
Unstandardized Coefficients Coefficients

Model B Std. Error Beta t Sig.

1 (Constant) 15,422 7,572 2,037 ,051

Skala_Konformitas ,734 ,133 ,723 5,533 ,000

a. Dependent Variable: Prokrastinasi_Akademik

b. Minitab
Coefficients

Term Coef SE Coef T-Value P-Value VIF


Constant 15,42 7,57 2,04 0,051
Skala_konformitas 0,734 0,133 5,53 0,000 1,00
c. Excel

Standard
  Coefficients Error t Stat P-value
Intercept 15,42222363 7,572108439 2,03671458 0,05123404
X Variable 1 0,733962982 0,132648181 5,53315528 6,4731E-06

1.1.2.3. Persamaan Garis Regresi


a. SPSS
y = 15,422 + 0,734

Coefficientsa

Standardized
Unstandardized Coefficients Coefficients

Model B Std. Error Beta t Sig.

1 (Constant) 15,422 7,572 2,037 ,051

Skala_Konformitas ,734 ,133 ,723 5,533 ,000

a. Dependent Variable: Prokrastinasi_Akademik

b. Minitab

y = 15,42 + 0,734
Coefficients

Term Coef SE Coef T-Value P-Value VIF


Constant 15,42 7,57 2,04 0,051
Skala_konformitas 0,734 0,133 5,53 0,000 1,00

c. Excel

y = 15,42222363 + 0,733962982

Standard
  Coefficients Error t Stat P-value
Intercept 15,42222363 7,572108439 2,03671458 0,05123404
X Variable 1 0,733962982 0,132648181 5,53315528 6,4731E-06

1.1.3. Kesalahan Baku


1.1.3.1. Taksiran Kesalahan Baku dari Regresi Linier Sederhana
a. SPSS

ANOVAa

Model Sum of Squares df Mean Square F Sig.

1 Regression 1133,141 1 1133,141 30,616 ,000b

Residual 1036,326 28 37,012

Total 2169,467 29

a. Dependent Variable: Prokrastinasi_Akademik


b. Predictors: (Constant), Skala_Konformitas

b. Minitab
Analysis of Variance

Source DF Adj SS Adj MS F-Value P-Value


Regression 1 1133,1 1133,14 30,62 0,000
Skala_konformitas 1 1133,1 1133,14 30,62 0,000
Error 28 1036,3 37,01
Lack-of-Fit 14 640,8 45,77 1,62 0,189
Pure Error 14 395,5 28,25
Total 29 2169,5

c. Excel

ANOVA
  df SS MS F Significance F
Regressio
n 1 1133,140982 1133,140982 30,6158073 6,47313E-06
Residual 28 1036,325685 37,01163159
Total 29 2169,466667      

1.1.3.2. Taksiran Kesalahan Baku dari Regresi Linier Slop


a. SPSS

Coefficientsa

Standardized
Unstandardized Coefficients Coefficients

Model B Std. Error Beta t Sig.


1 (Constant) 15,422 7,572 2,037 ,051

Skala_Konformitas ,734 ,133 ,723 5,533 ,000

a. Dependent Variable: Prokrastinasi_Akademik

b. Minitab
Coefficients

Term Coef SE Coef T-Value P-Value VIF


Constant 15,42 7,57 2,04 0,051
Skala_konformitas 0,734 0,133 5,53 0,000 1,00

c. Excel

Standard
  Coefficients Error
Intercept 15,42222363 7,572108439
X Variable 1 0,733962982 0,132648181

1.1.3.3. Taksiran Kesalahan Baku dari Regresi Linier Intersep


a. SPSS

Coefficientsa

Standardized
Unstandardized Coefficients Coefficients

Model B Std. Error Beta t Sig.

1 (Constant) 15,422 7,572 2,037 ,051

Skala_Konformitas ,734 ,133 ,723 5,533 ,000

a. Dependent Variable: Prokrastinasi_Akademik

b. Minitab
Term Coef SE Coef T-Value P-Value VIF
Constant 15,42 7,57 2,04 0,051
Skala_konformitas 0,734 0,133 5,53 0,000 1,00

c. Excel

Standard
  Coefficients Error
Intercept 15,42222363 7,572108439
X Variable 1 0,733962982 0,132648181

1.1.4. Selang Kepercayaan


1.1.4.1 Selang Kepercayaan Slop
a. SPSS

Coefficientsa

Unstandardized Standardized 95,0% Confidence


Coefficients Coefficients Interval for B

Lower Upper
Model B Std. Error Beta t Sig. Bound Bound

1 (Constant) 15,422 7,572 2,037 ,051 -,089 30,933

skala_konformitas ,734 ,133 ,723 5,533 ,000 ,462 1,006

a. Dependent Variable: prokrastinasi_akademik

b. Excel

Lower Upper
  95.0% 95.0%
-
0.08853737 30.9329846
Intercept 4 4
0.46224550 1.00568046
X Variable 1 1 3

1.1.4.2 Selang Kepercayaan Intersep


a. SPSS

Coefficientsa

Unstandardized Standardized 95,0% Confidence


Coefficients Coefficients Interval for B

Lower Upper
Model B Std. Error Beta T Sig. Bound Bound

1 (Constant) 15,422 7,572 2,037 ,051 -,089 30,933

skala_konformitas ,734 ,133 ,723 5,533 ,000 ,462 1,006

a. Dependent Variable: prokrastinasi_akademik


b. Excel

Lower Upper
  95.0% 95.0%
-
0.08853737 30.9329846
Intercept 4 4
0.46224550 1.00568046
X Variable 1 1 3

1.1.5. Validasi
1.1.5.1. Koefisien Determinasi
a. SPSS

Model Summaryb

Std. Error Change Statistics

R Adjusted R of the R Square F Sig. F


Model R Square Square Estimate Change Change df1 df2 Change

1 ,723a ,522 ,505 6,08372 ,522 30,616 1 28 ,000

a. Predictors: (Constant), skala_konformitas


b. Dependent Variable: prokrastinasi_akademik

b. Minitab
Model Summary

S R-sq R-sq(adj) R-sq(pred)


6,08372 52,23% 50,53% 43,38%

c. Excel

Regression Statistics
0.72271236
Multiple R 1
0.52231315
R Square 6
Adjusted R 0.50525291
Square 2
6.08371856
Standard Error 6
Observations 30

1.1.5.2. Uji Asumsi Klasik


 Uji Linearitas
Hipotesis
1. H0 : Data linear
2. H1 : Data tidak linear
3. Nilai α =0,05
4. Daerah kritis : Nilai Sig < 0,05
5. Perhitungan :
SPSS
ANOVA Table

Sum of Mean
Squares df Square F Sig.

y*x Between (Combined) 1773.943 15 118.263 4.186 .005


Groups Linearity 1133.141 1 1133.141 40.109 .000

Deviation from
640.802 14 45.772 1.620 .189
Linearity

Within Groups 395.524 14 28.252

Total 2169.467 29

6. Keputusan : Karena nilai sig > 0,05 maka jangan tolak H0.
7. Kesimpulan : Data model bersifat regresi linier.

 Uji Normalitas
- Hipotesis :
1. H0 : Data berdistribusi normal
2. H1 : Data tidakberdistribusi normal
3. Nilai α =0,05
4. Daerah kritis : Nilai KS > 0,241
5. Perhitungan :
a. SPSS
b. Minitab
Probability Plot of C2
Normal
99
Mean 56.87
StDev 8.649
95 N 30
KS 0.181
90
P-Value 0.016
80
70
Percent

60
50
40
30
20

10

1
40 50 60 70 80
C2

6. Keputusan: Karena nilai KS sebesar 0,181 sehingga KS < 0,181 maka


jangan tolak H0.
7. Kesimpulan : Data model regresi berdistribusi normal.

 Uji Autokorelasi
Hipotesis
1. H0 : Model regresi tidak terjadi autokorelasi
2. H1 : Model regresi terjadi autokorelasi
3. α: 0,05
4. Daerah Kritis: 1,49 < D-W< 2,51
5. Perhitungan :
a. SPSS

Model Summaryb

Adjusted R Std. Error of the


Model R R Square Square Estimate Durbin-Watson
1 .723a .522 .505 6.084 1.719

a. Predictors: (Constant), x
b. Dependent Variable: y

b. Minitab
Durbin-Watson Statistic

Durbin-Watson Statistic = 1.71881

6. Keputusan : Karena D-W > 1,49 dan D-W < 2,51 maka jangan tolak H0.
7. Kesimpulan : Model regresi tidak terjadi autokorelasi

 Uji Heterokesdastisitas

SPSS

Data menyebar dan tidak membuat pola.


 Uji Multikolinieritas

Coefficientsa

Collinearity Statistics

Model Tolerance VIF

1 X 1.000 1.000

a. Dependent Variable: Y

1.1.6. Pengujian Garis Regresi


a. SPSS

ANOVAa

Model Sum of Squares df Mean Square F Sig.

1 Regression 1133,141 1 1133,141 30,616 ,000b

Residual 1036,326 28 37,012

Total 2169,467 29

a. Dependent Variable: Prokrastinasi_akademik


b. Predictors: (Constant), Skala_konformitas

b. Minitab
Analysis of Variance

Source DF Adj SS Adj MS F-Value P-Value


Regression 1 1133,1 1133,14 30,62 0,000
Skala_konformitas 1 1133,1 1133,14 30,62 0,000
Error 28 1036,3 37,01
Lack-of-Fit 14 640,8 45,77 1,62 0,189
Pure Error 14 395,5 28,25
Total 29 2169,5

c. Excel

ANOVA
Significan
  df SS MS F ce F
Regressi 1133,1 1133,1 30,615
on 1 41 41 81 6,47E-06
1036,3 37,011
Residual 28 26 63
2169,4
Total 29 67      
1.1.7. Pengujian Hasil Regresi
1.1.7.1. Uji t
a. SPSS

Paired Samples Test

Paired Differences

95% Confidence

Std. Interval of the Sig. (2-

Std. Error Difference t df tailed)

Mean Deviation Mean Lower Upper

Pair Prokrastinasi_akademik
,40000 6,39288 1,16718 -1,98714 2,78714 ,343 29 ,734
1 - Skala_konformitas

b. Minitab
Paired T for Prokrastinasi_akademik - Skala_konformitas

N Mean StDev SE Mean


Prokrastinasi_akademik 30 56,87 8,65 1,58
Skala_konformitas 30 56,47 8,52 1,55
Difference 30 0,40 6,39 1,17

95% CI for mean difference: (-1,99; 2,79)


T-Test of mean difference = 0 (vs ≠ 0): T-Value = 0,34 P-Value =
0,734

c. Excel

t-Test: Paired Two Sample for Means

  Variable 1 Variable 2
56.8666666 56.4666666
Mean 7 7
72.5333333
Variance 74.8091954 3
Observations 30 30
0.72271236
Pearson Correlation 1
Hypothesized Mean Difference 0
df 29
0.34270764
t Stat 8
P(T<=t) one-tail 0.36714506
1.69912702
t Critical one-tail 7
0.73429011
P(T<=t) two-tail 9
2.04522964
t Critical two-tail 2  

1.1.7.2. Uji F
a. Minitab

Ratio of standard deviations = 1,016


Ratio of variances = 1,031

b. Excel

F-Test Two-Sample for


Variances

  Variable 1 Variable 2
56.8666666 56.4666666
Mean 7 7
72.5333333
Variance 74.8091954 3
Observations 30 30
Df 29 29
1.03137677
F 5
0.46713621
P(F<=f) one-tail 3
1.86081143
F Critical one-tail 5  

1.2. Korelasi dan Regresi


1.2.1. Koefisien Korelasi Pearson
a. SPSS

Correlations

X1 X2 X3 X4 Y

X1 Pearson Correlation 1 -.122 -.010 .105 .181

Sig. (2-tailed) .520 .958 .582 .337

N 30 30 30 30 30
** **
X2 Pearson Correlation -.122 1 .547 .680 .561**
Sig. (2-tailed) .520 .002 .000 .001
N 30 30 30 30 30
** **
X3 Pearson Correlation -.010 .547 1 .815 .818**
Sig. (2-tailed) .958 .002 .000 .000
N 30 30 30 30 30
** **
X4 Pearson Correlation .105 .680 .815 1 .815**
Sig. (2-tailed) .582 .000 .000 .000
N 30 30 30 30 30
Y Pearson Correlation .181 .561** .818** .815** 1

Sig. (2-tailed) .337 .001 .000 .000

N 30 30 30 30 30

**. Correlation is significant at the 0.01 level (2-tailed).

b. Minitab

Correlation: C1, C2, C3, C4, C5

C1 C2 C3 C4
C2 -0.122
0.520

C3 -0.010 0.547
0.958 0.002

C4 0.105 0.680 0.815


0.582 0.000 0.000

C5 0.181 0.561 0.818 0.815


0.337 0.001 0.000 0.000

Cell Contents: Pearson correlation


P-Value
c. Excel

Column Column Column Column Colum


  1 2 3 4 n5
Colum
n1 1
Colum -
n2 0.12219 1
Colum - 0.54726
n3 0.01015 8 1
Colum 0.10465 0.67969 0.81486
n4 4 8 1 1
Colum 0.18145 0.56061 0.81513
n5 2 7 0.81833 5 1

1.2.2. Regresi Linier Majemuk


1.2.2.1. Slop
a. SPSS

Coefficientsa

Standardized
Unstandardized Coefficients Coefficients

Model B Std. Error Beta t Sig.

1 (Constant) -9.798 14.725 -.665 .512

X1 .295 .191 .161 1.545 .135

X2 .181 .331 .076 .547 .589

X3 12.998 4.427 .506 2.936 .007

X4 9.020 5.477 .334 1.647 .112

a. Dependent Variable: Y

b. Minitab
Model Summary

S R-sq R-sq(adj) R-sq(pred)


10.9776 75.84% 71.97% 63.80%

Coefficients

Term Coef SE Coef T-Value P-Value VIF


Constant -9.8 14.7 -0.67 0.512
X1 0.295 0.191 1.55 0.135 1.12
X2 0.181 0.331 0.55 0.589 2.01
X3 13.00 4.43 2.94 0.007 3.07
X4 9.02 5.48 1.65 0.112 4.26

Regression Equation

Y = -9.8 + 0.295 X1 + 0.181 X2 + 13.00 X3 + 9.02 X4

Fits and Diagnostics for Unusual Observations

Std
Obs Y Fit Resid Resid
28 97.72 74.76 22.96 2.32 R

R Large residual

c. Excel

Coefficie Standar Lower Upper Lower Upper


  nts d Error t Stat P-value 95% 95% 95.0% 95.0%
-
Intercept -9.8053 14.7250 0.6659 0.5116 -40.1319 20.5214 -40.1319 20.5214
X
Variable 1 0.2947 0.1907 1.5451 0.1349 -0.0981 0.6874 -0.0981 0.6874
X
Variable 2 0.1813 0.3311 0.5474 0.5890 -0.5007 0.8632 -0.5007 0.8632
X
Variable 3 12.9971 4.4273 2.9357 0.0070 3.8790 22.1153 3.8790 22.1153
X
Variable 4 9.0176 5.4768 1.6465 0.1122 -2.2621 20.2972 -2.2621 20.2972

1.2.2.2. Intersep
a. SPSS

Coefficientsa

Standardized
Unstandardized Coefficients Coefficients

Model B Std. Error Beta t Sig.

1 (Constant) -9.798 14.725 -.665 .512

X1 .295 .191 .161 1.545 .135

X2 .181 .331 .076 .547 .589


X3 12.998 4.427 .506 2.936 .007

X4 9.020 5.477 .334 1.647 .112

a. Dependent Variable: Y

b. Minitab
Model Summary

S R-sq R-sq(adj) R-sq(pred)


10.9776 75.84% 71.97% 63.80%

Coefficients

Term Coef SE Coef T-Value P-Value VIF


Constant -9.8 14.7 -0.67 0.512
X1 0.295 0.191 1.55 0.135 1.12
X2 0.181 0.331 0.55 0.589 2.01
X3 13.00 4.43 2.94 0.007 3.07
X4 9.02 5.48 1.65 0.112 4.26

Regression Equation

Y = -9.8 + 0.295 X1 + 0.181 X2 + 13.00 X3 + 9.02 X4

Fits and Diagnostics for Unusual Observations

Std
Obs Y Fit Resid Resid
28 97.72 74.76 22.96 2.32 R

R Large residual

c. Excel

Coefficie Standar Lower Upper Lower Upper


  nts d Error t Stat P-value 95% 95% 95.0% 95.0%
-
Intercept -9.8053 14.7250 0.6659 0.5116 -40.1319 20.5214 -40.1319 20.5214
X
Variable 1 0.2947 0.1907 1.5451 0.1349 -0.0981 0.6874 -0.0981 0.6874
X
Variable 2 0.1813 0.3311 0.5474 0.5890 -0.5007 0.8632 -0.5007 0.8632
X
Variable 3 12.9971 4.4273 2.9357 0.0070 3.8790 22.1153 3.8790 22.1153
X
Variable 4 9.0176 5.4768 1.6465 0.1122 -2.2621 20.2972 -2.2621 20.2972

1.2.2.3. Persamaan Baris Regresi


a. SPSS

Coefficientsa

Standardized
Unstandardized Coefficients Coefficients

Model B Std. Error Beta t Sig.

1 (Constant) -9.798 14.725 -.665 .512

X1 .295 .191 .161 1.545 .135

X2 .181 .331 .076 .547 .589


X3 12.998 4.427 .506 2.936 .007

X4 9.020 5.477 .334 1.647 .112

a. Dependent Variable: Y

y= -9.798 + 0.295 x1 + 0.181 x2 +12.998 x3 + 9.020 x4

b. Minitab
Model Summary

S R-sq R-sq(adj) R-sq(pred)


10.9776 75.84% 71.97% 63.80%

Coefficients

Term Coef SE Coef T-Value P-Value VIF


Constant -9.8 14.7 -0.67 0.512
X1 0.295 0.191 1.55 0.135 1.12
X2 0.181 0.331 0.55 0.589 2.01
X3 13.00 4.43 2.94 0.007 3.07
X4 9.02 5.48 1.65 0.112 4.26

Regression Equation

Y = -9.8 + 0.295 X1 + 0.181 X2 + 13.00 X3 + 9.02 X4

Fits and Diagnostics for Unusual Observations

Std
Obs Y Fit Resid Resid
28 97.72 74.76 22.96 2.32 R

R Large residual

y = -9.8 + 0.295 x1 + 0.181 x2 + 13.00 x3 + 9.02 x4


c. Excel

Coefficie Standar Lower Upper Lower Upper


  nts d Error t Stat P-value 95% 95% 95.0% 95.0%
-
Intercept -9.8053 14.7250 0.6659 0.5116 -40.1319 20.5214 -40.1319 20.5214
X
Variable 1 0.2947 0.1907 1.5451 0.1349 -0.0981 0.6874 -0.0981 0.6874
X
Variable 2 0.1813 0.3311 0.5474 0.5890 -0.5007 0.8632 -0.5007 0.8632
X
Variable 3 12.9971 4.4273 2.9357 0.0070 3.8790 22.1153 3.8790 22.1153
X
Variable 4 9.0176 5.4768 1.6465 0.1122 -2.2621 20.2972 -2.2621 20.2972

y = -9.8053 + 0.295 x1 + 0.1813 x2 + 12.9971 x3 + 9.0176 x4

1.2.3. Kesalahan Baku


1.2.3.1. Taksiran Kesalahan Baku dari Regresi Linier Majemuk
a. SPSS

ANOVAa

Model Sum of Squares df Mean Square F Sig.

1 Regression 9456.250 4 2364.063 19.616 .000b

Residual 3012.899 25 120.516

Total 12469.149 29

a. Dependent Variable: Y
b. Predictors: (Constant), X4, X1, X2, X3

b. Minitab
Analysis of Variance

Source DF Adj SS Adj MS F-Value P-Value


Regression 4 9455.7 2363.92 19.62 0.000
X1 1 287.7 287.71 2.39 0.135
X2 1 36.1 36.11 0.30 0.589
X3 1 1038.6 1038.57 8.62 0.007
X4 1 326.7 326.69 2.71 0.112
Error 25 3012.7 120.51
Total 29 12468.4

c. Excel
ANOVA
Significance
  df SS MS F F
9455.69239 2363.92309 19.6164150
Regression 4 1 8 2 2.04007E-07
3012.68490 120.507396
Residual 25 6 2
Total 29 12468.3773      

1.2.3.2. Taksiran Kesalahan Baku dari Regresi Linier Slop


a. SPSS

Coefficientsa

Standardized
Unstandardized Coefficients Coefficients

Model B Std. Error Beta t Sig.

1 (Constant) -9.798 14.725 -.665 .512

X1 .295 .191 .161 1.545 .135

X2 .181 .331 .076 .547 .589

X3 12.998 4.427 .506 2.936 .007

X4 9.020 5.477 .334 1.647 .112

a. Dependent Variable: Y

b. Minitab
Model Summary

S R-sq R-sq(adj) R-sq(pred)


10.9776 75.84% 71.97% 63.80%

Coefficients

Term Coef SE Coef T-Value P-Value VIF


Constant -9.8 14.7 -0.67 0.512
X1 0.295 0.191 1.55 0.135 1.12
X2 0.181 0.331 0.55 0.589 2.01
X3 13.00 4.43 2.94 0.007 3.07
X4 9.02 5.48 1.65 0.112 4.26

Regression Equation
Y = -9.8 + 0.295 X1 + 0.181 X2 + 13.00 X3 + 9.02 X4

Fits and Diagnostics for Unusual Observations

Std
Obs Y Fit Resid Resid
28 97.72 74.76 22.96 2.32 R

R Large residual

c. Excel

Coefficie Standar Lower Upper Lower Upper


  nts d Error t Stat P-value 95% 95% 95.0% 95.0%
-
Intercept -9.8053 14.7250 0.6659 0.5116 -40.1319 20.5214 -40.1319 20.5214
X
Variable 1 0.2947 0.1907 1.5451 0.1349 -0.0981 0.6874 -0.0981 0.6874
X
Variable 2 0.1813 0.3311 0.5474 0.5890 -0.5007 0.8632 -0.5007 0.8632
X
Variable 3 12.9971 4.4273 2.9357 0.0070 3.8790 22.1153 3.8790 22.1153
X
Variable 4 9.0176 5.4768 1.6465 0.1122 -2.2621 20.2972 -2.2621 20.2972

1.2.3.3. Taksiran Kesalahan Baku dari Regresi Linier Intersep


a. SPSS

Coefficientsa
Standardized
Unstandardized Coefficients Coefficients

Model B Std. Error Beta t Sig.

1 (Constant) -9.798 14.725 -.665 .512

X1 .295 .191 .161 1.545 .135

X2 .181 .331 .076 .547 .589

X3 12.998 4.427 .506 2.936 .007

X4 9.020 5.477 .334 1.647 .112

a. Dependent Variable: Y

b. Minitab
Model Summary

S R-sq R-sq(adj) R-sq(pred)


10.9776 75.84% 71.97% 63.80%

Coefficients

Term Coef SE Coef T-Value P-Value VIF


Constant -9.8 14.7 -0.67 0.512
X1 0.295 0.191 1.55 0.135 1.12
X2 0.181 0.331 0.55 0.589 2.01
X3 13.00 4.43 2.94 0.007 3.07
X4 9.02 5.48 1.65 0.112 4.26

Regression Equation

Y = -9.8 + 0.295 X1 + 0.181 X2 + 13.00 X3 + 9.02 X4

Fits and Diagnostics for Unusual Observations

Std
Obs Y Fit Resid Resid
28 97.72 74.76 22.96 2.32 R

R Large residual

c. Excel

Coefficie Standar Lower Upper Lower Upper


  nts d Error t Stat P-value 95% 95% 95.0% 95.0%
-
Intercept -9.8053 14.7250 0.6659 0.5116 -40.1319 20.5214 -40.1319 20.5214
X
Variable 1 0.2947 0.1907 1.5451 0.1349 -0.0981 0.6874 -0.0981 0.6874
X
Variable 2 0.1813 0.3311 0.5474 0.5890 -0.5007 0.8632 -0.5007 0.8632
X
Variable 3 12.9971 4.4273 2.9357 0.0070 3.8790 22.1153 3.8790 22.1153
X
Variable 4 9.0176 5.4768 1.6465 0.1122 -2.2621 20.2972 -2.2621 20.2972

1.2.4. Selang Kepercayaan


1.2.4.1. Selang Kepercayaan Slop
a. SPSS

Coefficientsa
Unstandardized Standardized 95.0% Confidence Interval
Coefficients Coefficients for B

Lower Upper
Model B Std. Error Beta t Sig. Bound Bound

1 (Constant) -9.798 14.725 -.665 .512 -40.125 20.528

X1 .295 .191 .161 1.545 .135 -.098 .687

X2 .181 .331 .076 .547 .589 -.501 .863

X3 12.998 4.427 .506 2.936 .007 3.879 22.116

X4 9.020 5.477 .334 1.647 .112 -2.260 20.299

a. Dependent Variable: Y

b. Excel

Coefficie Standar Lower Upper Lower Upper


  nts d Error t Stat P-value 95% 95% 95.0% 95.0%
-
Intercept -9.8053 14.7250 0.6659 0.5116 -40.1319 20.5214 -40.1319 20.5214
X
Variable 1 0.2947 0.1907 1.5451 0.1349 -0.0981 0.6874 -0.0981 0.6874
X
Variable 2 0.1813 0.3311 0.5474 0.5890 -0.5007 0.8632 -0.5007 0.8632
X
Variable 3 12.9971 4.4273 2.9357 0.0070 3.8790 22.1153 3.8790 22.1153
X
Variable 4 9.0176 5.4768 1.6465 0.1122 -2.2621 20.2972 -2.2621 20.2972

1.2.4.2. Selang Kepercayaan Intersep


a. SPSS

Coefficientsa

Unstandardized Standardized 95.0% Confidence Interval


Coefficients Coefficients for B

Lower Upper
Model B Std. Error Beta t Sig. Bound Bound

1 (Constant) -9.798 14.725 -.665 .512 -40.125 20.528

X1 .295 .191 .161 1.545 .135 -.098 .687

X2 .181 .331 .076 .547 .589 -.501 .863

X3 12.998 4.427 .506 2.936 .007 3.879 22.116


X4 9.020 5.477 .334 1.647 .112 -2.260 20.299

a. Dependent Variable: Y

b. Excel

Coefficie Standar Lower Upper Lower Upper


  nts d Error t Stat P-value 95% 95% 95.0% 95.0%
-
Intercept -9.8053 14.7250 0.6659 0.5116 -40.1319 20.5214 -40.1319 20.5214
X
Variable 1 0.2947 0.1907 1.5451 0.1349 -0.0981 0.6874 -0.0981 0.6874
X
Variable 2 0.1813 0.3311 0.5474 0.5890 -0.5007 0.8632 -0.5007 0.8632
X
Variable 3 12.9971 4.4273 2.9357 0.0070 3.8790 22.1153 3.8790 22.1153
X
Variable 4 9.0176 5.4768 1.6465 0.1122 -2.2621 20.2972 -2.2621 20.2972

1.2.5. Validasi
1.2.5.1. Koefisien Determinasi
a. SPSS

Model Summaryb

Std. Error Change Statistics

R Adjusted R of the R Square F Sig. F


Model R Square Square Estimate Change Change df1 df2 Change

1 .871a .758 .720 10.97798 .758 19.616 4 25 .000


a. Predictors: (Constant), X4, X1, X2, X3
b. Dependent Variable: Y

b. Minitab
S = 10.9780 R-Sq = 75.8% R-Sq(adj) = 72.0%

c. Excel

SUMMARY
OUTPUT

Regression Statistics
0.87084
Multiple R 5
0.75837
R Square 2
Adjusted R 0.71971
Square 1
10.9779
Standard Error 8
Observations 30

1.2.5.2. Uji Asumsi Klasik


 Uji Linearitas
Hipotesis
1. H0 : Data linear
2. H1 : Data tidak linear
3. Nilai α =0,05
4. Daerah kritis : Nilai Sig < 0,05
5. Perhitungan :
SPSS

ANOVA Table

Sum of Mean
Squares df Square F Sig.

Y * X1 Between (Combined) 2529.782 6 421.630 .976 .464


Groups Linearity 410.516 1 410.516 .950 .340

Deviation from
2119.266 5 423.853 .981 .451
Linearity

Within Groups 9939.367 23 432.146

Total 12469.149 29

ANOVA Table

Sum of Mean
Squares df Square F Sig.
Y * X2 Between (Combined) 10274.811 16 642.176 3.804 .010
Groups Linearity 3918.071 1 3918.071 23.212 .000

Deviation from
6356.740 15 423.783 2.511 .052
Linearity

Within Groups 2194.338 13 168.795

Total 12469.149 29

ANOVA Table

Sum of Mean
Squares df Square F Sig.

Y * X3 Between (Combined) 11099.957 17 652.939 5.723 .002


Groups Linearity 8350.226 1 8350.226 73.184 .000

Deviation from
2749.730 16 171.858 1.506 .239
Linearity

Within Groups 1369.193 12 114.099

Total 12469.149 29

ANOVA Table

Sum of Mean
Squares df Square F Sig.

Y * X4 Between (Combined) 10433.199 25 417.328 .820 .672


Groups Linearity 8285.117 1 8285.117 16.278 .016

Deviation from
2148.082 24 89.503 .176 .998
Linearity

Within Groups 2035.950 4 508.987

Total 12469.149 29

6. Keputusan : Karena nilai Sig > 0,05, maka jangan tolak H0 untuk semua
perlakuan.
7. Kesimpulan : data pada semua perlakuan adalah linier.

 Uji Normalitas
- Hipotesis :
1. H0 : Data berdistribusi normal
2. H1 : Data tidakberdistribusi normal
3. Nilai α =0,05
4. Daerah kritis : Nilai KS > 0,241
5. Perhitungan :

a. SPSS
b. Minitab
Probability Plot of Y
Normal
99
Mean 46.94
StDev 20.74
95 N 30
KS 0.149
90
P-Value 0.088
80
70
Percent

60
50
40
30
20

10

1
0 20 40 60 80 100
Y

6. Keputusan : Karena KS < 0,241, maka jangan tolak H 0 untuk semua


perlakuan
7. Kesimpulan : Data berdistribusi normal
 Uji Autokorelasi
- Hipotesis
1. Ho : Model regresi tidak terjadi autokorelasi
2. H1 : Model regresi terjadi autokorelasi
3. α = 0,05
4. Daerah kritis: DW < 1,74 atau DW >2,26
5. Perhitungan :

a. SPSS

Model Summaryb

Adjusted R Std. Error of the


Model R R Square Square Estimate Durbin-Watson

1 .871a .758 .720 10.97798 1.914

a. Predictors: (Constant), X4, X1, X2, X3


b. Dependent Variable: Y

b. Minitab
Durbin-Watson statistic = 1.91366

6. Keputusan :Karena D-W > 1,74 dan D-W < 2,26 maka jangan tolak Ho.
7. Kesimpulan : Model regresi tidak terjadi autokorelasi.

 Uji Heteroskesdositas
SPSS

Data menyebar merata dan tidak membentuk pola.

 Uji Multikolinieritas
SPSS
Daerah Kritis : VIF>10

Coefficientsa

Collinearity Statistics

Model Tolerance VIF

1 X1 .891 1.122

X2 .498 2.007

X3 .326 3.072

X4 .234 4.265

a. Dependent Variable: Y

1.2.6. Pengujian Garis Regresi


a. SPSS

ANOVAa

Model Sum of Squares df Mean Square F Sig.

1 Regression 9456.250 4 2364.063 19.616 .000b

Residual 3012.899 25 120.516

Total 12469.149 29

a. Dependent Variable: Y
b. Predictors: (Constant), X4, X1, X2, X3

b. Minitab
Analysis of Variance

Source DF Adj SS Adj MS F-Value P-Value


Regression 4 9456.3 2364.06 19.62 0.000
x1 1 287.6 287.64 2.39 0.135
x2 1 36.0 36.03 0.30 0.589
x3 1 1038.6 1038.63 8.62 0.007
x4 1 326.9 326.85 2.71 0.112
Error 25 3012.9 120.52
Total 29 12469.1

Model Summary

S R-sq R-sq(adj) R-sq(pred)


10.9780 75.84% 71.97% 63.80%

Coefficients

Term Coef SE Coef T-Value P-Value VIF


Constant -9.8 14.7 -0.67 0.512
x1 0.295 0.191 1.54 0.135 1.12
x2 0.181 0.331 0.55 0.589 2.01
x3 13.00 4.43 2.94 0.007 3.07
x4 9.02 5.48 1.65 0.112 4.26

Regression Equation

y = -9.8 + 0.295 x1 + 0.181 x2 + 13.00 x3 + 9.02 x4

Fits and Diagnostics for Unusual Observations

Std
Obs y Fit Resid Resid
28 97.72 74.76 22.97 2.32 R
R Large residual

Durbin-Watson Statistic

Durbin-Watson Statistic = 1.91366

1.2.7. Pengujian Hasil Regresi


1.2.7.1. Uji T
a. SPSS

Paired Samples Test

Sig. (2-
Paired Differences t df tailed)

95% Confidence Interval

Std. Std. Error of the Difference

Mean Deviation Mean Lower Upper

Pair X1 –
-5.64467 21.74815 3.97065 -13.76556 2.47623 -1.422 29 .166
1 Y
Pair X2 –
-5.12327 17.41513 3.17955 -11.62618 1.37965 -1.611 29 .118
2 Y
Pair X3 – -
20.08068 3.66621 -52.73292 -37.73642 -12.338 29 .000
3 Y 45.23467
Pair X4 – -
20.11411 3.67232 -52.81707 -37.79560 -12.337 29 .000
4 Y 45.30633

b. Minitab
Paired T for X1 - Y

N Mean StDev SE Mean


X1 30 41.30 11.32 2.07
Y 30 46.94 20.74 3.79
Difference 30 -5.64 21.75 3.97

95% CI for mean difference: (-13.77, 2.48)


T-Test of mean difference = 0 (vs not = 0): T-Value = -1.42 P-Value =
0.166
Paired T-Test and CI: X2, Y

Paired T for X2 - Y

N Mean StDev SE Mean


X2 30 41.82 8.72 1.59
Y 30 46.94 20.74 3.79
Difference 30 -5.12 17.42 3.18

95% CI for mean difference: (-11.63, 1.38)


T-Test of mean difference = 0 (vs not = 0): T-Value = -1.61 P-Value =
0.118

Paired T-Test and CI: X3, Y

Paired T for X3 - Y

N Mean StDev SE Mean


X3 30 1.71 0.81 0.15
Y 30 46.94 20.74 3.79
Difference 30 -45.23 20.08 3.67

95% CI for mean difference: (-52.73, -37.74)


T-Test of mean difference = 0 (vs not = 0): T-Value = -12.34 P-Value =
0.000

Paired T-Test and CI: X4, Y

Paired T for X4 - Y

N Mean StDev SE Mean


X4 30 1.64 0.77 0.14
Y 30 46.94 20.74 3.79
Difference 30 -45.31 20.11 3.67

95% CI for mean difference: (-52.82, -37.80)


T-Test of mean difference = 0 (vs not = 0): T-Value = -12.34 P-Value =
0.000

c. Excel

X1

t-Test: Paired Two Sample for


Means

  Variable Variable
1 2
46.9446
Mean 7 41.3
429.970 128.217
Variance 7 2
Observations 30 30
0.18144
Pearson Correlation 6
Hypothesized Mean Difference 0
Df 29
1.42159
t Stat 7
0.08290
P(T<=t) one-tail 5
1.69912
t Critical one-tail 7
0.16580
P(T<=t) two-tail 9
t Critical two-tail 2.04523  

X2

t-Test: Paired Two Sample for


Means

Variable Variable
  1 2
46.9446
Mean 7 41.8214
429.970 76.0633
Variance 7 5
Observations 30 30
0.56055
Pearson Correlation 4
Hypothesized Mean Difference 0
Df 29
1.61131
t Stat 6
0.05897
P(T<=t) one-tail 1
1.69912
t Critical one-tail 7
0.11794
P(T<=t) two-tail 3
t Critical two-tail 2.04523  

X3

t-Test: Paired Two Sample for


Means

Variable Variable
  1 2
46.9446
Mean 7 1.71
429.970 0.65127
Variance 7 6
Observations 30 30
0.81833
Pearson Correlation 4
Hypothesized Mean Difference 0
Df 29
12.3382
t Stat 5
P(T<=t) one-tail 2.3E-13
1.69912
t Critical one-tail 7
P(T<=t) two-tail 4.6E-13
t Critical two-tail 2.04523  

X4

t-Test: Paired Two Sample for


Means

Variable Variable
  1 2
46.9446 1.63833
Mean 7 3
429.970 0.59081
Variance 7 4
Observations 30 30
0.81513
Pearson Correlation 8
Hypothesized Mean Difference 0
Df 29
12.3372
t Stat 6
P(T<=t) one-tail 2.3E-13
1.69912
t Critical one-tail 7
P(T<=t) two-tail 4.61E-13
t Critical two-tail 2.04523  

1.2.7.2. Uji F
a. Minitab

Test and CI for Two Variances: y, x1

Method

Null hypothesis σ(y) / σ(x1) = 1


Alternative hypothesis σ(y) / σ(x1) ≠ 1
Significance level α = 0.05

F method was used. This method is accurate for normal data only.

Statistics

95% CI for
Variable N StDev Variance StDevs
y 30 20.736 429.971 (16.514, 27.875)
x1 30 11.323 128.217 ( 9.018, 15.222)

Ratio of standard deviations = 1.831


Ratio of variances = 3.353

95% Confidence Intervals

CI for
CI for StDev Variance
Method Ratio Ratio
F (1.263, 2.654) (1.596, 7.046)

Tests
Test
Method DF1 DF2 Statistic P-Value
F 29 29 3.35 0.002

Test and CI for Two Variances: y, x2

Method

Null hypothesis σ(y) / σ(x2) = 1


Alternative hypothesis σ(y) / σ(x2) ≠ 1
Significance level α = 0.05

F method was used. This method is accurate for normal data only.

Statistics

95% CI for
Variable N StDev Variance StDevs
y 30 20.736 429.971 (16.514, 27.875)
x2 30 8.721 76.063 ( 6.946, 11.724)

Ratio of standard deviations = 2.378


Ratio of variances = 5.653

95% Confidence Intervals

CI for
CI for StDev Variance
Method Ratio Ratio
F (1.640, 3.446) (2.691, 11.877)

Tests

Test
Method DF1 DF2 Statistic P-Value
F 29 29 5.65 0.000

Test and CI for Two Variances: y, x3

Method

Null hypothesis σ(y) / σ(x3) = 1


Alternative hypothesis σ(y) / σ(x3) ≠ 1
Significance level α = 0.05

F method was used. This method is accurate for normal data only.
Statistics

95% CI for
Variable N StDev Variance StDevs
y 30 20.736 429.971 (16.514, 27.875)
x3 30 0.807 0.651 ( 0.643, 1.085)

Ratio of standard deviations = 25.694


Ratio of variances = 660.197

95% Confidence Intervals

CI for StDev CI for Variance


Method Ratio Ratio
F (17.727, 37.243) (314.231, 1387.072)

Tests

Test
Method DF1 DF2 Statistic P-Value
F 29 29 660.20 0.000

Test and CI for Two Variances: y, x4

Method

Null hypothesis σ(y) / σ(x4) = 1


Alternative hypothesis σ(y) / σ(x4) ≠ 1
Significance level α = 0.05

F method was used. This method is accurate for normal data only.

Statistics

95% CI for
Variable N StDev Variance StDevs
y 30 20.736 429.971 (16.514, 27.875)
x4 30 0.769 0.591 ( 0.612, 1.033)

Ratio of standard deviations = 26.977


Ratio of variances = 727.759

95% Confidence Intervals

CI for StDev CI for Variance


Method Ratio Ratio
F (18.611, 39.103) (346.388, 1529.019)

Tests
Test
Method DF1 DF2 Statistic P-Value
F 29 29 727.76 0.000

Test and CI for Two Variances: y, x4

b. Excel

X1

F-Test Two-Sample for


Variances

Variable Variable
  1 2
46.9446
Mean 7 41.3
429.970 128.217
Variance 7 2
Observations 30 30
Df 29 29
3.35345
F 4
0.00084
P(F<=f) one-tail 6
1.86081
F Critical one-tail 1  

X2

F-Test Two-Sample for


Variances

Variable Variable
  1 2
46.9446
Mean 7 41.8214
429.970 76.0633
Variance 7 5
Observations 30 30
Df 29 29
5.65279
F 7
P(F<=f) one-tail 6E-06
1.86081
F Critical one-tail 1  

X3

F-Test Two-Sample for


Variances

Variable Variable
  1 2
46.9446
Mean 7 41.8214
429.970 76.0633
Variance 7 5
Observations 30 30
Df 29 29
5.65279
F 7
P(F<=f) one-tail 6E-06
1.86081
F Critical one-tail 1  

X4

F-Test Two-Sample for


Variances

Variable Variable
  1 2
46.9446 1.63833
Mean 7 3
429.970 0.59081
Variance 7 4
Observations 30 30
df 29 29
727.759
F 3
P(F<=f) one-tail 1.2E-34
1.86081
F Critical one-tail 1  

1.2.8. Seleksi Variabel


1.2.8.1. Stepward
SPSS

Variables Entered/Removeda
Variables Variables
Model Entered Removed Method

1 Stepwise
(Criteria:
Probability-of-F-
X3 . to-enter <= .050,
Probability-of-F-
to-remove >= .
100).
2 Stepwise
(Criteria:
Probability-of-F-
X4 . to-enter <= .050,
Probability-of-F-
to-remove >= .
100).

a. Dependent Variable: Y

1.2.8.2. Forward
SPSS

Variables Entered/Removeda

Variables Variables
Model Entered Removed Method
1 Forward
(Criterion:
X3 .
Probability-of-F-
to-enter <= .050)
2 Forward
(Criterion:
X4 .
Probability-of-F-
to-enter <= .050)

a. Dependent Variable: Y

1.2.8.3. Backward
SPSS

Variables Entered/Removeda

Variables Variables
Model Entered Removed Method
b
1 X4, X1, X2, X3 . Enter
2 Backward
(criterion:
. X2 Probability of F-
to-remove >= .
100).
3 Backward
(criterion:
. X1 Probability of F-
to-remove >= .
100).

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

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