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CORRELATIONS

/VARIABLES=Y1 X1 X2
/PRINT=TWOTAIL NOSIG
/MISSING=PAIRWISE.

Correlations
[DataSet0]

Correlations
Kuantitas Data Harga Pendapatan
Permintaan Komoditi Konsumen
*
Kuantitas Permintaan Pearson Correlation 1 .131 .612
Sig. (2-tailed) .670 .026
N 13 13 13
**
Data Harga Komoditi Pearson Correlation .131 1 .732
Sig. (2-tailed) .670 .004
N 13 13 13
* **
Pendapatan Konsumen Pearson Correlation .612 .732 1
Sig. (2-tailed) .026 .004
N 13 13 13
*. Correlation is significant at the 0.05 level (2-tailed).
**. Correlation is significant at the 0.01 level (2-tailed).

RELIABILITY
/VARIABLES=Y1 X1 X2
/SCALE('ALL VARIABLES') ALL
/MODEL=ALPHA
/STATISTICS=CORR
/SUMMARY=TOTAL.

Reliability
[DataSet0]

Scale: ALL VARIABLES


Case Processing Summary
N %
Cases Valid 13 100.0
a
Excluded 0 .0
Total 13 100.0
a. Listwise deletion based on all variables in the procedure.

Reliability Statistics
Cronbach's
Alpha Based
on
Cronbach's Standardized
Alpha Items N of Items
.713 .744 3

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Inter-Item Correlation Matrix
Kuantitas Data Harga Pendapatan
Permintaan Komoditi Konsumen
Kuantitas Permintaan 1.000 .131 .612
Data Harga Komoditi .131 1.000 .732
Pendapatan Konsumen .612 .732 1.000

Item-Total Statistics
Scale Corrected Squared Cronbach's
Scale Mean if Variance if Item-Total Multiple Alpha if Item
Item Deleted Item Deleted Correlation Correlation Deleted
Kuantitas Permintaan 12.9554 14.214 .469 .593 .769
Data Harga Komoditi 14.0215 25.051 .456 .698 .755
Pendapatan Konsumen 14.3738 12.151 .829 .808 .186

REGRESSION
/MISSING LISTWISE
/STATISTICS COEFF OUTS R ANOVA
/CRITERIA=PIN(.05) POUT(.10)
/NOORIGIN
/DEPENDENT Y1
/METHOD=ENTER X1 X2
/SCATTERPLOT=(*SRESID ,*ZPRED)
/RESIDUALS HIST(ZRESID) NORM(ZRESID)
/SAVE PRED.

Regression
[DataSet0]
b
Variables Entered/Removed
Variables Variables
Model Entered Removed Method
1 Pendapatan
Konsumen,
. Enter
Data Harga
a
Komoditi
a. All requested variables entered.
b. Dependent Variable: Kuantitas Permintaan

b
Model Summary
Adjusted R Std. Error of
Model R R Square Square the Estimate
a
1 .770 .593 .511 2.08922
a. Predictors: (Constant), Pendapatan Konsumen, Data Harga Komoditi
b. Dependent Variable: Kuantitas Permintaan

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b
ANOVA
Sum of
Model Squares df Mean Square F Sig.
a
1 Regression 63.569 2 31.784 7.282 .011
Residual 43.648 10 4.365
Total 107.217 12
a. Predictors: (Constant), Pendapatan Konsumen, Data Harga Komoditi
b. Dependent Variable: Kuantitas Permintaan

a
Coefficients
Standardized
Unstandardized Coefficients Coefficients
Model B Std. Error Beta t Sig. Beta
1 (Constant) 9.022 2.955 3.054 .012
Data Harga Komoditi -1.417 .613 -.685 -2.313 .043
Pendapatan Konsumen 1.290 .343 1.114 3.761 .004
a. Dependent Variable: Kuantitas Permintaan

a
Residuals Statistics
Minimum Maximum Mean Std. Deviation N
Predicted Value 5.1220 12.1955 7.7200 2.30160 13
Std. Predicted Value -1.129 1.944 .000 1.000 13
Standard Error of
Predicted Value .647 1.602 .969 .272 13
Adjusted Predicted Value 5.0267 13.5049 7.7478 2.47124 13
Residual -2.32305 4.23195 .00000 1.90719 13
Std. Residual -1.112 2.026 .000 .913 13
Stud. Residual -1.256 2.201 -.007 1.025 13
Deleted Residual -3.26492 4.99563 -.02776 2.42661 13
Stud. Deleted Residual -1.298 2.908 .053 1.176 13
Mahal. Distance .229 6.136 1.846 1.668 13
Cook's Distance .000 .326 .092 .111 13
Centered Leverage Value .019 .511 .154 .139 13
a. Dependent Variable: Kuantitas Permintaan

Charts

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Histogram

Dependent Variable: Kuantitas Permintaan

5 Mean =-1.11E-15
Std. Dev. =0.913
N =13

4
Frequency

0
-2 -1 0 1 2 3

Regression Standardized Residual

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Normal P-P Plot of Regression Standardized Residual

Dependent Variable: Kuantitas Permintaan


1.0

0.8
Expected Cum Prob

0.6

0.4

0.2

0.0
0.0 0.2 0.4 0.6 0.8 1.0

Observed Cum Prob

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Scatterplot

Dependent Variable: Kuantitas Permintaan


Regression Studentized Residual

-1

-2 -1 0 1 2

Regression Standardized Predicted Value

NPAR TESTS
/K-S(NORMAL)=PRE_1
/MISSING ANALYSIS.

NPar Tests
[DataSet0]

One-Sample Kolmogorov-Smirnov Test


Unstandardize
d Predicted
Value
N 13
a
Normal Parameters Mean 7.7200000
Std. Deviation 2.30160361
Most Extreme Differences Absolute .226
Positive .226
Negative -.129
Kolmogorov-Smirnov Z .815
Asymp. Sig. (2-tailed) .521
a.Test distribution is Normal.

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