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LAMPIRAN

Tabulasi Data Sampel Penelitian


No Tahun Kode Nilai CSR Kep. Kep. Profitabilitas
Perusahaan Perusahaan man Ins
1 2018 FOOD 1,69 0,77 0,002 0,99 1,25231
2 2019 FOOD 1,02 0,77 0,0015 0,76 1,541208
3 2018 GOOD 3,69 0,77 0,10 0,23 10,10067
4 2019 GOOD 2,65 0,77 0,10 0,22 8,606765
5 2018 HOKI 2,54 0,77 0,01 0,66 11,88582
6 2019 HOKI 2,87 0,77 0,01 0,66 12,22176
7 2018 MYOR 3,84 0,77 0,25 0,26 10,00718
8 2019 MYOR 2,88 0,77 0,25 0,59 10,71233
9 2018 SKLT 1,92 0,77 0,008 0,38 4,27598
10 2019 SKLT 2,40 0,77 0,008 0,38 5,682984
11 2018 STTP 2,24 0,47 0,03 0,56 9,694811
12 2019 STTP 2,30 0,77 0,03 0,56 16,74753
13 2018 ULTJ 2,94 0,77 0,34 0,36 18,64451
14 2019 ULTJ 3,08 0,77 0,36 0,36 10,61686
15 2018 GGRM 2,67 0,77 0,006 0,75 11,27841
16 2019 GGRM 1,64 0,77 0,006 0,75 13,83481
17 2018 WIIM 0,43 0,77 0,38 0,05 1,171954
18 2019 WIIM 0,47 0,77 0,38 0,05 0,007011
19 2018 KLBT 4,08 0,77 0,0008 0,56 13,7619
20 2019 KLBT 3,92 0,77 0,002 0,56 12,52226
21 2018 PEHA 1,84 0,49 0,09 0,56 7,13304
22 2019 PEHA 1,03 0,90 0,09 0,56 4,879534
23 2018 PYFA 0,90 0,37 0,29 0,53 4,526663
24 2019 PYFA 0,90 0,65 0,29 0,53 4,896957
25 2018 TSPC 1,10 0,77 0,0004 0,79 6,866326
26 2019 TSPC 1,05 0,77 0,0004 0,80 7,10822

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27 2018 KINO 1,50 0,77 0,10 0,69 4,178986
28 2019 KINO 1,46 0,77 0,09 0,69 10,98018
29 2018 TCID 1,61 0,77 0,001 0,12 7,077271
30 2019 TCID 1,07 0,77 0,001 0,12 5,68947
31 2018 CINT 0,78 0,77 0,002 0,71 2,758374
32 2019 CINT 0,83 0,77 0,002 0,72 1,384689
33 2018 LMPI 0,76 0,77 0,68 0,17 5,896838
34 2019 LMPI 0,72 0,77 0,68 0,17 5,649025
35 2018 WOOD 1,31 0,59 0,008 0,79 5,274278
36 2019 WOOD 1,29 0,59 0,008 0,79 3,953746
37 2018 HRTA 1,20 0,77 0,02 0,78 8,028063
38 2019 HRTA 0,87 0,90 0,004 0,78 6,489758

Hasil Analisis Deskriptif


Descriptive Statistics
N Minimum Maximum Mean Std. Deviation
NILAI_PERUSAHAAN 38 ,4300 4,0800 1,828947 1,0368789
CSR 38 ,3700 ,9000 ,738421 ,1044296
KEP_MAN 38 ,0004 ,6800 ,121871 ,1834112
KEP_INS 38 ,0500 ,9900 ,526053 ,2515846
PROFITABILITAS 38 ,0070 18,6445 7,561539 4,4356399
Valid N (listwise) 38

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Hasil Uji Asumsi Klasik
Hasil Uji Normalitas
One-Sample Kolmogorov-Smirnov Test
Unstandardized
Residual
N 38
Normal Parametersa,b Mean ,0000000
Std. Deviation ,67270954
Most Extreme Differences Absolute ,096
Positive ,096
Negative -,079
Test Statistic ,096
Asymp. Sig. (2-tailed)c ,200d
Monte Carlo Sig. (2-tailed)e Sig. ,493
99% Confidence Interval Lower Bound ,480
Upper Bound ,506
a. Test distribution is Normal.
b. Calculated from data.

Hasil Uji Multikolinearitas


Coefficientsa
Collinearity Statistics
Model Tolerance VIF
1 (Constant)
CSR ,973 1,027
KEP_MAN ,634 1,578
KEP_INS ,634 1,577
PROFITABILITAS ,984 1,016
a. Dependent Variable: NILAI_PERUSAHAAN

Hasil Uji Autokorelasi


Model Summaryb
Adjusted R Std. Error of the
Model R R Square Square Estimate Durbin-Watson
1 ,752a ,565 ,512 ,7241198 1,907
a. Predictors: (Constant), PROFITABILITAS, KEP_INS, CSR, KEP_MAN
b. Dependent Variable: NILAI_PERUSAHAAN

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Hasil Uji Hetreroskedastisitas
Coefficientsa
Standardized
Unstandardized Coefficients Coefficients
Model B Std. Error Beta t Sig.
1 (Constant) -,459 ,487 -,942 ,353
CSR 1,254 ,566 ,323 2,216 ,034
KEP_MAN -,334 ,399 -,151 -,837 ,408
KEP_INS -,284 ,291 -,176 -,977 ,336
PROFITABILITAS ,035 ,013 ,386 2,664 ,012
a. Dependent Variable: RES2

Hasil Uji Hipotesis


Hasil Uji Regresi Linear Berganda
Coefficientsa
Standardized
Unstandardized Coefficients Coefficients
Model B Std. Error Beta T Sig.
1 (Constant) 2,305 1,409 1,636 ,111
CSR ,438 1,646 ,044 ,266 ,792
KEP_MAN -1,924 1,163 -,340 -1,654 ,107
KEP_INS -1,074 ,850 -,261 -1,264 ,215
a. Dependent Variable: NILAI_PERUSAHAAN

Hasil Uji T
Hasil Pengujian H1
(Pengaruh CSR terhadap Nilai Perusahaan)

Coefficientsa
Standardized
Unstandardized Coefficients Coefficients
Model B Std. Error Beta T Sig.
1 (Constant) 1,246 1,230 1,013 ,318
CSR ,789 1,650 ,080 ,479 ,635
a. Dependent Variable: NILAI_PERUSAHAAN

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Hasil Pengujian H2
(Pengaruh GCG terhadap Nilai Perusahaan)

Coefficientsa
Standardized
Unstandardized Coefficients Coefficients
Model B Std. Error Beta T Sig.
1 (Constant) 2,648 ,557 4,754 ,000
KEP_MAN -1,959 1,140 -,346 -1,718 ,095
KEP_INS -1,104 ,831 -,268 -1,328 ,193
a. Dependent Variable: NILAI_PERUSAHAAN

Hasil Uji F
ANOVAa
Model Sum of Squares Df Mean Square F Sig.
1 Regression 3,309 3 1,103 1,028 ,392b
Residual 36,471 34 1,073
Total 39,779 37
a. Dependent Variable: NILAI_PERUSAHAAN
b. Predictors: (Constant), CSR, KEP_MAN, KEP_INS

Hasil Uji R Square


Model Summaryb
Adjusted R Std. Error of the
Model R R Square Square Estimate
1 ,288a ,083 ,002 1,0356961
a. Predictors: (Constant), CSR, KEP_MAN, KEP_INS
b. Dependent Variable: NILAI_PERUSAHAAN

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Hasil Uji MRA
Hasil uji Hipotesis 3
(Profitabilitas memoderasi Corporate Social Responsibility terhadap Nilai
Perusahaan)
Coefficientsa
Standardized
Unstandardized Coefficients Coefficients
Model B Std. Error Beta t Sig.
1 (Constant) 1,496 ,883 1,695 ,099
CSR -1,201 1,229 -,121 -,977 ,335
CSRXPROF ,217 ,037 ,733 5,923 ,000
a. Dependent Variable: NILAI_PERUSAHAAN

Hasil uji Hipotesis 4


(Profitabilitas memoderasi Good Corporate Governance terhadap Nilai
Perusahaan)

Coefficientsa
Standardized
Unstandardized Coefficients Coefficients
Model B Std. Error Beta t Sig.
1 (Constant) 2,576 ,415 6,202 ,000
KEP_MAN -5,600 1,374 -,990 -4,075 ,000
KEP_INS -2,255 ,648 -,547 -3,480 ,001
KEPMANXPROF ,607 ,169 ,779 3,603 ,001
KEPINSXPROF ,157 ,052 ,436 3,013 ,005
a. Dependent Variable: NILAI_PERUSAHAAN

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