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Nama Semester UTS Dosen Soal

: wanti jayanti : VI ( enam ) : statistic : Drs. Mamun Zahrudin M. pd. i : 8 ( delapan )


Statistics x y 30 0 173.67 1.207 174.50 170
a

Valid Missing

30 0 174.83 1.037 175.00 170 5.682 32.282 165 182

Mean Std. Error of Mean Median Mode Std. Deviation Variance Minimum Maximum

6.609 43.678 162 185

a. Multiple modes exist. The smallest value is shown

Dari data hasil penghitungan di atas dapat di ketahui bahwa : a. b. c. d. e. f. g. Mean : X = 173.67 Median : X = 174.50 Modus : X = 170 StandarDeviasi : X = 6.609 Varian : X = 43.678 Nilai Minimum : X = 162 NilaiMaksimum : X = 185
Y = 174.83 Y = 175.00

Y = 170 Y = 5.682 Y = 32.282 Y = 165 Y = 182

Table distribusi frekuensi


X Frequency Valid 162 165 166 170 172 174 175 178 179 180 181 185 Total 2 3 2 5 2 1 2 3 1 5 3 1 30

Y Frequency Valid 165 166 168 170 171 175 180 181 182 Total 2 1 1 7 1 6 5 4 3 30

HISTOGRAM

Analisis regresi
Variables Entered/Removed Variables Model 1 y
a b

Variables Removed Method . Enter

Entered

a. All requested variables entered. b. Dependent Variable: x

Model Summary Adjusted R Model 1 R .147


a

Std. Error of the Estimate 6.653

R Square .021

Square -.013

a. Predictors: (Constant), y

ANOVA Model 1 Regression Residual Total a. Predictors: (Constant), y b. Dependent Variable: x Sum of Squares 27.232 1239.435 1266.667 df

Mean Square 1 28 29 27.232 44.266

F .615

Sig. .439
a

Coefficients

Standardized Unstandardized Coefficients Model 1 (Constant) y a. Dependent Variable: x B 203.485 -.171 Std. Error 38.037 .217 -.147 Coefficients Beta t 5.350 -.784 Sig. .000 .439

Analisis korelasi product moment - pearson


Correlations x x Pearson Correlation Sig. (2-tailed) N y Pearson Correlation Sig. (2-tailed) N 30 -.147 .439 30 30 1 y -.147 .439 30 1

Untuk menafsirkan kadar atau harga korelasi dengan berpedoman pada klasifikasi dibawah ini: 0.00 - 0.20 0.21 - 0.40 0.41 - 0.60 0.61 - 0.80 0.81 - 1.00 tidakada rendah cukup tinggi sempurna

Dengan nilai r12 = 0.439 dan dikonsultasikan pada klasifikasi di atas maka dapat disimpulkan bahwa terdapat korelasi yang cukup antara variable X dan Y.

Uji normalitas chi-kuadrat


x Observed N 162 165 166 170 172 174 175 178 179 180 181 185 Total 2 3 2 5 2 1 2 3 1 5 3 1 30 Expected N 2.5 2.5 2.5 2.5 2.5 2.5 2.5 2.5 2.5 2.5 2.5 2.5 Residual -.5 .5 -.5 2.5 -.5 -1.5 -.5 .5 -1.5 2.5 .5 -1.5

y Observed N 165 166 168 170 171 175 180 181 182 Total 2 1 1 7 1 6 5 4 3 30 Expected N 3.3 3.3 3.3 3.3 3.3 3.3 3.3 3.3 3.3 Residual -1.3 -2.3 -2.3 3.7 -2.3 2.7 1.7 .7 -.3

Test Statistics

x Chi-Square df Asymp. Sig. 8.400


a

y 12.600
b

11 .677

8 .126

a. 12 cells (100.0%) have expected frequencies less than 5. The minimum expected cell frequency is 2.5. b. 9 cells (100.0%) have expected frequencies less than 5. The minimum expected cell frequency is 3.3.

One-Sample Kolmogorov-Smirnov Test


x N Normal Parameters
a

y 30 30 174.83 5.682 .218 .169 -.218 1.196 .114

Mean Std. Deviation

173.67 6.609 .177 .110 -.177 .971 .302

Most Extreme Differences

Absolute Positive Negative

Kolmogorov-Smirnov Z Asymp. Sig. (2-tailed) a. Test distribution is Normal.

Berdasarkan penghitungan dengan menggunakan rumus Kolmogorov Smirnov, dapat diketahui bahwa table distribusi frekuesi X dan Y adalah berdistribusi normal.