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Hasil Spss Log

1. Normality tests were conducted on four variables (X1, X2, X3, Y). X1, X2, and X3 were not normally distributed based on significance values below 0.05, while Y was normally distributed. 2. Multiple linear regression was performed with X3, X1, X2 as the independent variables and Y as the dependent variable. 3. The coefficient of determination (R square) was 0.344, meaning the independent variables explained 34.4% of the variation in the dependent variable. 4. The F-test significance value was below 0.05, meaning the regression model was able to simultaneously predict the dependent variable.

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0% found this document useful (0 votes)
64 views6 pages

Hasil Spss Log

1. Normality tests were conducted on four variables (X1, X2, X3, Y). X1, X2, and X3 were not normally distributed based on significance values below 0.05, while Y was normally distributed. 2. Multiple linear regression was performed with X3, X1, X2 as the independent variables and Y as the dependent variable. 3. The coefficient of determination (R square) was 0.344, meaning the independent variables explained 34.4% of the variation in the dependent variable. 4. The F-test significance value was below 0.05, meaning the regression model was able to simultaneously predict the dependent variable.

Uploaded by

dboysz
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© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
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1.

Uji Normalitas
One-Sample Kolmogorov-Smirnov Test
X1 X3 X2 Y
N 72 72 72 72
Normal Parametersa,b Mean .689880 4.048560 .783218 2.821122
Std. Deviation .1456038 .0578571 .0931664 .0388992
Most Extreme Differences Absolute .141 .183 .199 .090
Positive .141 .183 .151 .082
Negative -.103 -.114 -.199 -.090
Test Statistic .141 .183 .199 .090
c c c
Asymp. Sig. (2-tailed) .001 .000 .000 .200c,d
a. Test distribution is Normal.
b. Calculated from data.
c. Lilliefors Significance Correction.
d. This is a lower bound of the true significance.

Hasil Uji Normalitas


Nilai sig > 0,05, maka data berdistribusi normal
Nilai sig < 0,05, maka data tidak berdistribusi normal
1. Sig = 0,001 < 0,05 data nilai X1 (Inflasi) tidak berdistribusi normal
2. Sig = 0,000 < 0,05 data nilai X2 (Nilai tukar Rupiah terhadap Dollar) tidak
berdistribusi normal
3. Sig = 0,000 < 0,05 data nilai X3 (Tingkat suku bunga) tidak berdistribusi normal
4. Sig = 0,200 > 0,05 data nilai Y (Harga saham JII) berdistribusi Normal

2. Regresi Linear Berganda

Variables Entered/Removeda
Variables Variables
Model Entered Removed Method
b
1 X3, X1, X2 . Enter
a. Dependent Variable: Y
b. All requested variables entered.
3. Uji Koefisien Determinasi

Model Summaryb
Adjusted R Std. Error of the
Model R R Square Square Estimate Durbin-Watson
1 .587a .344 .315 .0321922 .282
a. Predictors: (Constant), X3, X1, X2
b. Dependent Variable: Y
Hasil Uji Koefisien Determinasi
1. R Menunjukkan korelasi berganda,
Jika nilai mendekati 1, maka hubungannya semakin erat
Jika nilai mendekati 0, maka hubungannya semakin lemah
R = 0,587, nilai tersebut mendekati 1, sehingga terdapat hubungan erat antara variabel
independen terhadap dependen
2. R square menunjukkan koefisien determinasi.
Angkat tersebut dirubah ke persen, artinya persentase sumbangan pengaruh variabel
independen terhadap variabel dependen.
R square = 0,344, artinya persentase sumbangan pengaruh variabel independen
terhadap variabel dependen sebesar 34,4 %, sedangkan sisanya sebesar 65,6 %
dipengaruhi faktor lain.

4. Uji F (Simultan)

ANOVAa
Model Sum of Squares df Mean Square F Sig.
1 Regression .037 3 .012 11.889 .000b
Residual .070 68 .001
Total .107 71
a. Dependent Variable: Y
b. Predictors: (Constant), X3, X1, X2

Hasil Uji F
Nilai sig > 0,05, hipotesis ditolak
Nilai sig < 0,05, hipotesis diterima
0,000 < 0,05, hipotesis diterima
5. Uji t (Parsial)

Coefficientsa
Standardized
Unstandardized Coefficients Coefficients
Model B Std. Error Beta t Sig.
1 (Constant) 2.447 .279 8.768 .000
X1 -.065 .038 -.243 -1.696 .094
X2 -.181 .060 -.433 -3.021 .004
X3 .139 .071 .206 1.948 .056
a. Dependent Variable: Y

Hasil Uji F
Nilai sig > 0,05, hipotesis ditolak
Nilai sig < 0,05, hipotesis diterima
1. Nilai sig 0,094 > 0,05, hipotesis dari data X1 (Inflasi) ditolak
2. Nilai sig 0,004< 0,05, hipotesis dari data X2 (Nilai tukar Rupiah terhadap Dollar)
diterima
3. Nilai sig 0,056 < 0,05, hipotesis dari data X2 (Tingkat suku bunga) ditolak

Residuals Statisticsa
Minimum Maximum Mean Std. Deviation N
Predicted Value 2.792355 2.873803 2.821122 .0228166 72
Std. Predicted Value -1.261 2.309 .000 1.000 72
Standard Error of Predicted .006 .013 .007 .002 72
Value
Adjusted Predicted Value 2.791121 2.877434 2.821321 .0230910 72
Residual -.0821755 .0554347 .0000000 .0315048 72
Std. Residual -2.553 1.722 .000 .979 72
Stud. Residual -2.598 1.757 -.003 1.007 72
Deleted Residual -.0851421 .0577338 -.0001985 .0333789 72
Stud. Deleted Residual -2.718 1.785 -.007 1.019 72
Mahal. Distance 1.091 11.121 2.958 2.046 72
Cook's Distance .000 .135 .015 .023 72
Centered Leverage Value .015 .157 .042 .029 72
a. Dependent Variable: Y

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