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HASIL ANALISIS DATA

1. Statistik Deskriptif
Statistics

X1 X2 Y

Valid 50 50 50
N
Missing 0 0 0
Mean 16,2400 15,1000 15,4200
Std. Error of Mean ,26428 ,29032 ,25409
Median 16,0000 15,0000 15,0000
Mode 15,00 15,00 15,00
Std. Deviation 1,86875 2,05287 1,79671
Variance 3,492 4,214 3,228
Skewness ,163 -,243 ,015
Std. Error of Skewness ,337 ,337 ,337
Kurtosis ,224 2,208 1,383
Std. Error of Kurtosis ,662 ,662 ,662
Range 9,00 11,00 10,00
Minimum 11,00 9,00 10,00
Maximum 20,00 20,00 20,00
Sum 812,00 755,00 771,00

OUTLAYERS
2. Uji Kualitas Data
 Validitas
1) Persepsi Kenyamanan (X1)
Correlations

X11 X12 X13 X14 X15 X1


** **
Pearson Correlation 1 ,720 ,364 ,120 ,216 ,701**

X11 Sig. (2-tailed) ,000 ,009 ,408 ,132 ,000

N 50 50 50 50 50 50
** ** *
Pearson Correlation ,720 1 ,468 ,264 ,297 ,801**
X12 Sig. (2-tailed) ,000 ,001 ,063 ,036 ,000
N 50 50 50 50 50 50
** ** **
Pearson Correlation ,364 ,468 1 ,176 ,503 ,728**
X13 Sig. (2-tailed) ,009 ,001 ,220 ,000 ,000
N 50 50 50 50 50 50
Pearson Correlation ,120 ,264 ,176 1 ,145 ,528**
X14 Sig. (2-tailed) ,408 ,063 ,220 ,315 ,000
N 50 50 50 50 50 50
* **
Pearson Correlation ,216 ,297 ,503 ,145 1 ,638**
X15 Sig. (2-tailed) ,132 ,036 ,000 ,315 ,000
N 50 50 50 50 50 50
** ** ** ** **
Pearson Correlation ,701 ,801 ,728 ,528 ,638 1

X1 Sig. (2-tailed) ,000 ,000 ,000 ,000 ,000

N 50 50 50 50 50 50

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


*. Correlation is significant at the 0.05 level (2-tailed).
2) Persepsi Kepercayaan (X2)
Correlations

X21 X22 X23 X24 X25 X2


** ** ** **
Pearson Correlation 1 ,454 ,656 ,638 ,638 ,842**

X21 Sig. (2-tailed) ,001 ,000 ,000 ,000 ,000

N 50 50 50 50 50 50
** * ** **
Pearson Correlation ,454 1 ,340 ,404 ,560 ,686**
X22 Sig. (2-tailed) ,001 ,016 ,004 ,000 ,000
N 50 50 50 50 50 50
** * ** **
Pearson Correlation ,656 ,340 1 ,687 ,608 ,817**
X23 Sig. (2-tailed) ,000 ,016 ,000 ,000 ,000
N 50 50 50 50 50 50
** ** ** **
Pearson Correlation ,638 ,404 ,687 1 ,610 ,830**
X24 Sig. (2-tailed) ,000 ,004 ,000 ,000 ,000
N 50 50 50 50 50 50
** ** ** **
Pearson Correlation ,638 ,560 ,608 ,610 1 ,849**
X25 Sig. (2-tailed) ,000 ,000 ,000 ,000 ,000
N 50 50 50 50 50 50
** ** ** ** **
Pearson Correlation ,842 ,686 ,817 ,830 ,849 1

X2 Sig. (2-tailed) ,000 ,000 ,000 ,000 ,000

N 50 50 50 50 50 50

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


*. Correlation is significant at the 0.05 level (2-tailed).
3) Minat (Y)
Correlations

Y1 Y2 Y3 Y4 Y5 Y
** ** **
Pearson Correlation 1 ,566 ,513 ,539 ,035 ,762**

Y1 Sig. (2-tailed) ,000 ,000 ,000 ,808 ,000

N 50 50 50 50 50 50
** ** *
Pearson Correlation ,566 1 ,438 ,359 -,034 ,676**
Y2 Sig. (2-tailed) ,000 ,001 ,010 ,812 ,000
N 50 50 50 50 50 50
** ** **
Pearson Correlation ,513 ,438 1 ,520 ,088 ,744**
Y3 Sig. (2-tailed) ,000 ,001 ,000 ,545 ,000
N 50 50 50 50 50 50
** * **
Pearson Correlation ,539 ,359 ,520 1 ,106 ,722**
Y4 Sig. (2-tailed) ,000 ,010 ,000 ,463 ,000
N 50 50 50 50 50 50
Pearson Correlation ,035 -,034 ,088 ,106 1 ,437**
Y5 Sig. (2-tailed) ,808 ,812 ,545 ,463 ,002
N 50 50 50 50 50 50
** ** ** ** **
Pearson Correlation ,762 ,676 ,744 ,722 ,437 1

Y Sig. (2-tailed) ,000 ,000 ,000 ,000 ,002

N 50 50 50 50 50 50

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


*. Correlation is significant at the 0.05 level (2-tailed).
 Reliabilitas
1) Persepsi Kenyamanan (X1)
Case Processing Summary

N %

Valid 50 100,0

Cases Excludeda 0 ,0

Total 50 100,0

a. Listwise deletion based on all variables in the


procedure.

Reliability Statistics

Cronbach's N of Items
Alpha

,699 5
2) Persepsi Kepercayaan (X2)

Case Processing Summary

N %

Valid 50 100,0

Cases Excludeda 0 ,0

Total 50 100,0

a. Listwise deletion based on all variables in the


procedure.

Reliability Statistics

Cronbach's N of Items
Alpha
,864 5
3) Minat (Y)

Case Processing Summary

N %

Valid 50 100,0

Cases Excludeda 0 ,0

Total 50 100,0

a. Listwise deletion based on all variables in the


procedure.

Reliability Statistics

Cronbach's N of Items
Alpha

,653 5

3. Uji Asumsi Klasik

Variables Entered/Removeda

Model Variables Variables Method


Entered Removed

1 X2, X1b . Enter

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

Model Summaryb

Model R R Square Adjusted R Std. Error of the


Square Estimate

1 ,679a ,461 ,438 1,34724

a. Predictors: (Constant), X2, X1


b. Dependent Variable: Y

ANOVAa

Model Sum of Squares df Mean Square F Sig.

Regression 72,872 2 36,436 20,074 ,000b

1 Residual 85,308 47 1,815

Total 158,180 49

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

Model Unstandardized Coefficients Standardized t Sig. Collinearity Statistics


Coefficients

B Std. Error Beta Tolerance VIF


(Constant) 4,423 1,824 2,425 ,019

1 X1 ,276 ,117 ,287 2,353 ,023 ,772 1,296

X2 ,432 ,107 ,493 4,045 ,000 ,772 1,296

a. Dependent Variable: Y

Coefficient Correlationsa

Model X2 X1

X2 1,000 -,478
Correlations
X1 -,478 1,000
1
X2 ,011 -,006
Covariances
X1 -,006 ,014

a. Dependent Variable: Y

Collinearity Diagnosticsa

Model Dimension Eigenvalue Condition Index Variance Proportions

(Constant) X1 X2

1 2,984 1,000 ,00 ,00 ,00

1 2 ,009 17,921 ,32 ,09 ,96

3 ,006 21,691 ,68 ,91 ,04

a. Dependent Variable: Y

Residuals Statisticsa

Minimum Maximum Mean Std. Deviation N

Predicted Value 11,7734 18,1405 15,4200 1,21950 50


Std. Predicted Value -2,990 2,231 ,000 1,000 50
Standard Error of Predicted
,192 ,666 ,308 ,120 50
Value
Adjusted Predicted Value 12,2594 18,0770 15,4176 1,22230 50
Residual -2,86230 3,68936 ,00000 1,31946 50
Std. Residual -2,125 2,738 ,000 ,979 50
Stud. Residual -2,174 2,767 ,001 1,014 50
Deleted Residual -2,99616 3,76596 ,00237 1,41831 50
Stud. Deleted Residual -2,267 2,992 ,004 1,038 50
Mahal. Distance ,017 10,989 1,960 2,586 50
Cook's Distance ,000 ,202 ,026 ,046 50
Centered Leverage Value ,000 ,224 ,040 ,053 50

a. Dependent Variable: Y
4. Hasil Uji Statistik Inferensia
REGRESI LINEAR BERGANDA

Variables Entered/Removeda

Model Variables Variables Method


Entered Removed
b
1 X2, X1 . Enter

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

Model R R Square Adjusted R Std. Error of the


Square Estimate
a
1 ,679 ,461 ,438 1,34724

a. Predictors: (Constant), X2, X1

ANOVAa

Model Sum of Squares df Mean Square F Sig.

Regression 72,872 2 36,436 20,074 ,000b

1 Residual 85,308 47 1,815

Total 158,180 49

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

Coefficientsa

Model Unstandardized Coefficients Standardized t Sig.


Coefficients

B Std. Error Beta

(Constant) 4,423 1,824 2,425 ,019

1 X1 ,276 ,117 ,287 2,353 ,023

X2 ,432 ,107 ,493 4,045 ,000

a. Dependent Variable: Y

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