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Lampiran 1 Rekapitulasi Data Penelitian

Tahu
n Y X1 X2 X3 X4 X5 X6 X7
2001 5223 90566 990551 1351 5542 570,4 1,62 9164225
2002 5542 93456 991781 1438 5669 585,7 2,54 10084894
2003 5669 99877 1102331 1558 5873 609,83 2,67 11228087
2004 5873 100991 1102554 1604 6945 610,56 2,52 12380400
2005 6945 110559 1100980 1562 7787 611,36 1,51 13344897
2006 7787 111758 1101871 1784 7859 612,62 0,98 14120851
2007 7859 102542 1105761 2377 8357 617,34 0,98 15882697
2008 8357 112043 1109571 2650 8396 621,9 0,07 14402719
2009 8396 107341 1120680 2811 8099 626,6 1,39 16418069
2010 8099 109771 801452 2987 8099 630,48 1,09 10668879
2011 8099 112344 864442 3547 8920 634,48 0,35 3444189
2012 8920 110455 1149167 4046 9014 638,75 0,69 17907074
2013 9014 110033 1298493 4463 9134 642,29 1,82 36846594
1017
108345 1201648 657,21 0,54
2014 9134 4592 4 22327491
1045
109860 1249109 667,91 0,78
2015 10174 4766 0 24421103
1042
113112 1239699 682,32 0,92
2016 10450 5303 9 25304585
1112
106830 1378884 692,12 2,64
2017 10429 5455 4 41828150
1221
112850 1487753 699,81 0,39
2018 11124 5552 4 45787462
Lampiran 2 Statistik Deskriptif

Descriptive Statistics

N Minimum Maximum Mean Std. Deviation

X1 18 90566 113112 106818.50 6683.892


X2 18 801452 1487753 1133151.50 166472.494
X3 18 1351 5552 3213.67 1524.099
X4 18 5542 12214 8560.28 1865.125
X5 18 570.40 699.81 633.9822 34.97569
X6 18 .07 2.67 1.3056 .83946
X7 18 3444189 45787462 19197909.22 11689690.418
Y 18 5223 11124 8171.89 1785.732
Valid N (listwise) 18
Lampiran 3 Analisis Regresi Linier Berganda

Model Summaryb

Adjusted R Std. Error of the


Model R R Square Square Estimate

1 .988a .976 .960 .046

a. Predictors: (Constant), X7, X6, X1, X3, X2, X5, X4


b. Dependent Variable: Y

ANOVAa

Model Sum of Squares df Mean Square F Sig.

1 Regression .886 7 .127 58.779 .000b

Residual .022 10 .002

Total .908 17

a. Dependent Variable: Y
b. Predictors: (Constant), X7, X6, X1, X3, X2, X5, X4

Coefficientsa

Standardized
Unstandardized Coefficients Coefficients

Model B Std. Error Beta t Sig.

1 (Constant) 1.337 4.955 .270 .793

X1 .631 .344 .178 1.836 .096

X2 -.166 .185 -.108 -.896 .391

X3 .152 .073 .336 2.069 .065

X4 .495 .228 .485 2.177 .055

X5 -.270 .833 -.064 -.324 .752

X6 -.011 .018 -.043 -.616 .552

X7 .083 .047 .223 1.788 .104

a. Dependent Variable: Y
Lampiran 4 Uji Asumsi Klasik

a. Uji Multikolinearitas

Coefficientsa

Unstandardized Standardized Collinearity


Coefficients Coefficients Statistics

Model B Std. Error Beta t Sig. Tolerance VIF


1 (Constant) -1.337 4.955 -.270 .793

X1 .631 .344 .178 1.836 .096 .252 3.975

X2 -.166 .185 -.108 -.896 .391 .164 6.081

X3 .152 .073 .336 2.069 .065 .090 9.131

X4 .495 .228 .485 2.177 .055 .048 9.925

X5 -.270 .833 -.064 -.324 .752 .061 9.500

X6 -.011 .018 -.043 -.616 .552 .493 2.030

X7 .083 .047 .223 1.788 .104 .152 6.560

a. Dependent Variable: Y

b. Uji Heteroskesdastisitas
c. Uji Autokorelasi

Model Summaryb

Adjusted R Std. Error of the


Model R R Square Square Estimate Durbin-Watson

1 .988a .976 .960 .046 1.667

a. Predictors: (Constant), X7, X6, X1, X3, X2, X5, X4


b. Dependent Variable: Y
Lampiran 5 Uji Hipotesis

a. Uji t

Coefficientsa

Standardized
Unstandardized Coefficients Coefficients

Model B Std. Error Beta t Sig.

1 (Constant) -1.337 4.955 -.270 .793

X1 .631 .344 .178 1.836 .096

X2 -.166 .185 -.108 -.896 .391

X3 .152 .073 .336 2.069 .065

X4 .495 .228 .485 2.177 .055

X5 -.270 .833 -.064 -.324 .752

X6 -.011 .018 -.043 -.616 .552

X7 .083 .047 .223 1.788 .104

a. Dependent Variable: Y

b. Uji F
ANOVAa

Model Sum of Squares df Mean Square F Sig.

1 Regression .886 7 .127 58.779 .000b


Residual .022 10 .002

Total .908 17

a. Dependent Variable: Y
b. Predictors: (Constant), X7, X6, X1, X3, X2, X5, X4

c. Uji Koefisienan Determinasi


Model Summaryb

Adjusted R Std. Error of the


Model R R Square Square Estimate

1 .988a .976 .960 .046

a. Predictors: (Constant), X7, X6, X1, X3, X2, X5, X4


b. Dependent Variable: Y
Lampiran 6 Analisis Trend

Model Summary

Adjusted R Std. Error of the


Model R R Square Square Estimate

1 .974a .948 .945 419.230

a. Predictors: (Constant), X

ANOVAa

Model Sum of Squares df Mean Square F Sig.

1 Regression 51398179.618 1 51398179.618 292.444 .000b

Residual 2812066.160 16 175754.135

Total 54210245.778 17

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

Coefficientsa

Model Unstandardized Coefficients Standardized t Sig.


Coefficients
B Std. Error Beta

1 (Constant) 5077.673 206.162 24.630 .000

X 325.707 19.046 .974 17.101 .000

a. Dependent Variable: Y

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01 00 2 0 03 0 04 0 05 00 6 0 07 0 08 0 09 01 0 01 1 01 2 0 13 01 4 01 5 01 6 0 17 0 18
20 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2 2

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