output spss tugas 2
DESCRIPTION
spssTRANSCRIPT
OUTPUT SPSS
STATISTIK DESKRIPTIFStatistics
Jenis KelaminUmurPendidikanJabatan
NValid101101101101
Missing0000
Mean1,4939,172,461,68
Std. Deviation,5027,1891,292,468
Minimum12411
Maximum25852
Jenis Kelamin
FrequencyPercentValid PercentCumulative Percent
ValidPria5251,551,551,5
Wanita4948,548,5100,0
Total101100,0100,0
Umur
FrequencyPercentValid PercentCumulative Percent
Valid2422,02,02,0
2733,03,05,0
2922,02,06,9
3076,96,913,9
3233,03,016,8
3333,03,019,8
3455,05,024,8
3598,98,933,7
37109,99,943,6
3865,95,949,5
3944,04,053,5
4065,95,959,4
4165,95,965,3
4244,04,069,3
43109,99,979,2
4576,96,986,1
4833,03,089,1
4922,02,091,1
5022,02,093,1
5322,02,095,0
5433,03,098,0
5822,02,0100,0
Total101100,0100,0
Pendidikan
FrequencyPercentValid PercentCumulative Percent
ValidSMU3938,638,638,6
D376,96,945,5
S12726,726,772,3
S22625,725,798,0
S322,02,0100,0
Total101100,0100,0
Jabatan
FrequencyPercentValid PercentCumulative Percent
ValidDosen3231,731,731,7
Karyawan6968,368,3100,0
Total101100,0100,0
Descriptive Statistics
NMinimumMaximumMeanStd. Deviation
Jenis Kelamin101121,49,502
Umur101245839,177,189
Pendidikan101152,461,292
Jabatan101121,68,468
Valid N (listwise)101
Correlations
Orientasi Pada Mahasiswa (X2)
X21Pearson Correlation,380**
Sig. (2-tailed),000
N101
X22Pearson Correlation,583**
Sig. (2-tailed),000
N101
X23Pearson Correlation,661**
Sig. (2-tailed),000
N101
X24Pearson Correlation,671**
Sig. (2-tailed),000
N101
X25Pearson Correlation,758**
Sig. (2-tailed),000
N101
X26Pearson Correlation,718**
Sig. (2-tailed),000
N101
X27Pearson Correlation,647**
Sig. (2-tailed),000
N101
**. Correlation is significant at the 0.01 level (2-tailed).
UJI VALIDITASCorrelations
Finansial (X1)
X11Pearson Correlation,611**
Sig. (2-tailed),000
N101
X12Pearson Correlation,726**
Sig. (2-tailed),000
N101
X13Pearson Correlation,533**
Sig. (2-tailed),000
N101
X14Pearson Correlation,512**
Sig. (2-tailed),000
N101
X15Pearson Correlation,730**
Sig. (2-tailed),000
N101
X16Pearson Correlation,674**
Sig. (2-tailed),000
N101
**. Correlation is significant at the 0.01 level (2-tailed).
Correlations
Proses Bisnis Internal (X3)
X31Pearson Correlation,754**
Sig. (2-tailed),000
N101
X32Pearson Correlation,526**
Sig. (2-tailed),000
N101
X33Pearson Correlation,687**
Sig. (2-tailed),000
N101
X34Pearson Correlation,582**
Sig. (2-tailed),000
N101
X35Pearson Correlation,789**
Sig. (2-tailed),000
N101
X36Pearson Correlation,651**
Sig. (2-tailed),000
N101
X37Pearson Correlation,668**
Sig. (2-tailed),000
N101
**. Correlation is significant at the 0.01 level (2-tailed).
Correlations
Pertumbuhan dan Pembelajaran (X4)
X41Pearson Correlation,694**
Sig. (2-tailed),000
N101
X42Pearson Correlation,635**
Sig. (2-tailed),000
N101
X43Pearson Correlation,465**
Sig. (2-tailed),000
N101
X44Pearson Correlation,724**
Sig. (2-tailed),000
N101
X45Pearson Correlation,603**
Sig. (2-tailed),000
N101
X46Pearson Correlation,735**
Sig. (2-tailed),000
N101
X47Pearson Correlation,598**
Sig. (2-tailed),000
N101
X48Pearson Correlation,835**
Sig. (2-tailed),000
N101
**. Correlation is significant at the 0.01 level (2-tailed).
Correlations
Kinerja Organisasi (Y)
Y1Pearson Correlation,790**
Sig. (2-tailed),000
N101
Y2Pearson Correlation,680**
Sig. (2-tailed),000
N101
Y3Pearson Correlation,745**
Sig. (2-tailed),000
N101
Y4Pearson Correlation,601**
Sig. (2-tailed),000
N101
Y5Pearson Correlation,702**
Sig. (2-tailed),000
N101
Y6Pearson Correlation,504**
Sig. (2-tailed),000
N101
Y7Pearson Correlation,678**
Sig. (2-tailed),000
N101
Y8Pearson Correlation,610**
Sig. (2-tailed),000
N101
**. Correlation is significant at the 0.01 level (2-tailed).
UJI RELIABILITASReliability Statistics X1
Cronbach's AlphaCronbach's Alpha Based on Standardized ItemsN of Items
,700,7006
Reliability Statistics X2
Cronbach's AlphaCronbach's Alpha Based on Standardized ItemsN of Items
,752,7527
Reliability Statistics X3
Cronbach's AlphaCronbach's Alpha Based on Standardized ItemsN of Items
,793,7917
Reliability Statistics X4
Cronbach's AlphaCronbach's Alpha Based on Standardized ItemsN of Items
,807,8188
Reliability Statistics Y
Cronbach's AlphaCronbach's Alpha Based on Standardized ItemsN of Items
,818,8208
UJI NORMALITAS DENGAN KOLMOGOROF SMIRNOV TEST Syarat Dikatakan Normal nilai sig > 0,05One-Sample Kolmogorov-Smirnov Test
Unstandardized Residual
N101
Normal Parametersa,bMean0E-7
Std. Deviation2,56234511
Most Extreme DifferencesAbsolute,098
Positive,098
Negative-,070
Kolmogorov-Smirnov Z,987
Asymp. Sig. (2-tailed),285
a. Test distribution is Normal.
b. Calculated from data.
UJI NON-MULTIKOLINEARITY Syarat dikatakan bebas asumsi multikolinearitas adalah jika VIF < 10 maka tidak terjadi multikolinearitas.Coefficientsa
ModelUnstandardized CoefficientsStandardized CoefficientstSig.Collinearity Statistics
BStd. ErrorBetaToleranceVIF
1(Constant)-1,7982,176-,826,411
Finansial (X1),338,101,2263,335,001,6941,442
Orientasi Pada Mahasiswa (X2),046,116,038,398,691,3582,791
Proses Bisnis Internal (X3),292,107,2542,735,007,3682,714
Pertumbuhan dan Pembelajaran (X4),460,090,4635,116,000,3902,567
a. Dependent Variable: Kinerja Organisasi (Y)
UJI NON-AUTOKORELASI
Pengambilan keputusan:
1. Tidak terjadi autokorelasi jika dU < DW < (4 - dU)
2. Terjadi autokorelasi positif jika DW < dL
3. Terjadi autokorelasi negatif jika DW > (4 - dU)
4. Tanpa keputusan jika dL < DW < dU atau ( 4 - dU) < DW < (4 - dL)
Model Summaryb
ModelRR SquareAdjusted R SquareStd. Error of the EstimateDurbin-Watson
1,833a,694,6812,6151,839
a. Predictors: (Constant), Pertumbuhan dan Pembelajaran (X4), Finansial (X1), Proses Bisnis Internal (X3), Orientasi Pada Mahasiswa (X2)
b. Dependent Variable: Kinerja Organisasi (Y)
UJI NON- HETEROSKEDASTISITAS DENGAN MELIHAT SRESID DAN ZPREDY = SRESID
X = ZPRED
Jika titik=titik tersebar secara acak di atas dan di bawah angka 0 pada sumbu Y, maka tidak terjadi Heteroskedastisitas.
UJI NON-HETEROSKEDASTISITAS DENGAN MENGGUNAKAN UJI GLETJSERCoefficientsa
ModelUnstandardized CoefficientsStandardized CoefficientstSig.
BStd. ErrorBeta
1(Constant)1,7931,0421,721,088
Finansial (X1),115,048,2742,373,020
Orientasi Pada Mahasiswa (X2)-,155,056-,446-2,778,007
Proses Bisnis Internal (X3),108,051,3332,104,038
Pertumbuhan dan Pembelajaran (X4)-,029,043-,105-,683,496
a. Dependent Variable: ABS
UJI NON-HETEROSKEDASTISITAS DENGAN MENGGUNAKAN UJI PARKCoefficientsa
ModelUnstandardized CoefficientsStandardized CoefficientstSig.
BStd. ErrorBeta
1(Constant)2,0721,3731,510,134
Finansial (X1),058,064,107,901,370
Orientasi Pada Mahasiswa (X2)-,115,073-,258-1,564,121
Proses Bisnis Internal (X3),122,067,2941,809,074
Pertumbuhan dan Pembelajaran (X4)-,082,057-,228-1,443,152
a. Dependent Variable: LOGU2
HASIL REGRESI LINEAR BERGANDA
Variables Entered/Removeda
ModelVariables EnteredVariables RemovedMethod
1Pertumbuhan dan Pembelajaran (X4), Finansial (X1), Proses Bisnis Internal (X3), Orientasi Pada Mahasiswa (X2)b.Enter
a. Dependent Variable: Kinerja Organisasi (Y)
b. All requested variables entered.
Model Summary
ModelRR SquareAdjusted R SquareStd. Error of the Estimate
1,833a,694,6812,615
a. Predictors: (Constant), Pertumbuhan dan Pembelajaran (X4), Finansial (X1), Proses Bisnis Internal (X3), Orientasi Pada Mahasiswa (X2)
ANOVAa
ModelSum of SquaresdfMean SquareFSig.
1Regression1489,5774372,39454,450,000b
Residual656,561966,839
Total2146,139100
a. Dependent Variable: Kinerja Organisasi (Y)
b. Predictors: (Constant), Pertumbuhan dan Pembelajaran (X4), Finansial (X1), Proses Bisnis Internal (X3), Orientasi Pada Mahasiswa (X2)
Coefficientsa
ModelUnstandardized CoefficientsStandardized CoefficientstSig.
BStd. ErrorBeta
1(Constant)-1,7982,176-,826,411
Finansial (X1),338,101,2263,335,001
Orientasi Pada Mahasiswa (X2),046,116,038,398,691
Proses Bisnis Internal (X3),292,107,2542,735,007
Pertumbuhan dan Pembelajaran (X4),460,090,4635,116,000
a. Dependent Variable: Kinerja Organisasi (Y)