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OUTPUT SPSS

STATISTIK DESKRIPTIF

Statistics
Jenis

Umur

Pendidikan

Jabatan

Kelamin
101

101

101

101

Mean

1,49

39,17

2,46

1,68

Std. Deviation

,502

7,189

1,292

,468

Minimum

24

Maximum

58

Valid
Missing

Jenis Kelamin
Frequency

Percent

Valid Percent

Cumulative
Percent

Valid

Pria

52

51,5

51,5

51,5

Wanita

49

48,5

48,5

100,0

101

100,0

100,0

Total

Umur
Frequency

Percent

Valid Percent

Cumulative
Percent

Valid

24

2,0

2,0

2,0

27

3,0

3,0

5,0

29

2,0

2,0

6,9

30

6,9

6,9

13,9

32

3,0

3,0

16,8

33

3,0

3,0

19,8

34

5,0

5,0

24,8

35

8,9

8,9

33,7

37

10

9,9

9,9

43,6

38

5,9

5,9

49,5

39

4,0

4,0

53,5

40

5,9

5,9

59,4

41

5,9

5,9

65,3

42

4,0

4,0

69,3

43

10

9,9

9,9

79,2

45

6,9

6,9

86,1

48

3,0

3,0

89,1

49

2,0

2,0

91,1

50

2,0

2,0

93,1

53

2,0

2,0

95,0

54

3,0

3,0

98,0

58

2,0

2,0

100,0

101

100,0

100,0

Total

Pendidikan
Frequency

Percent

Valid Percent

Cumulative
Percent

SMU

Valid

39

38,6

38,6

38,6

D3

6,9

6,9

45,5

S1

27

26,7

26,7

72,3

S2

26

25,7

25,7

98,0

S3

2,0

2,0

100,0

101

100,0

100,0

Total

Jabatan
Frequency

Valid

Percent

Valid

Cumulative

Percent

Percent

Dosen

32

31,7

31,7

31,7

Karyawan

69

68,3

68,3

100,0

101

100,0

100,0

Total

Descriptive Statistics
N

Minimum

Maximum

Mean

Std. Deviation

Jenis Kelamin

101

1,49

,502

Umur

101

24

58

39,17

7,189

Pendidikan

101

2,46

1,292

Jabatan

101

1,68

,468

Valid N (listwise)

101

UJI VALIDITAS

Correlations
Orientasi Pada
Mahasiswa (X2)

Correlations
Pearson Correlation

Finansial (X1)
,611**

Pearson Correlation
X11

Sig. (2-tailed)

,000

101
,726**

Pearson Correlation
X12

Sig. (2-tailed)

,000

101
,533**

Pearson Correlation
X13

Sig. (2-tailed)

,000

101
,512**

Pearson Correlation
X14

Sig. (2-tailed)

,000

101
,730**

Pearson Correlation
X15

Sig. (2-tailed)

,000

101
,674**

Pearson Correlation
X16

Sig. (2-tailed)

,000

101

X21

,000

101

X23

,000

101

,000

101

,000

101
,758**

Sig. (2-tailed)

,000

101

Pearson Correlation
X26

,671**

Sig. (2-tailed)

Pearson Correlation
X25

,661**

Sig. (2-tailed)

Pearson Correlation
X24

,583**

Sig. (2-tailed)

Pearson Correlation

,718**

Sig. (2-tailed)

,000

101

Pearson Correlation
X27

**. Correlation is significant at the 0.01 level (2-tailed).

Sig. (2-tailed)

Pearson Correlation
X22

,380**

,647**

Sig. (2-tailed)

,000

101

**. Correlation is significant at the 0.01 level (2-tailed).


Correlations

Correlations

Pertumbuhan dan

Proses Bisnis Internal

Pembelajaran (X4)

(X3)
,754**

Pearson Correlation
X31

Sig. (2-tailed)

,000

101
,526**

Pearson Correlation
X32

Sig. (2-tailed) Correlations

Y1

Pearson
Correlation
Pearson
Correlation

X33

Sig.
(2-tailed)
Sig.
(2-tailed)
NN
Pearson
Correlation
Pearson
Correlation
Sig.
(2-tailed)
Sig.
(2-tailed)
NN

**
,687
,790**

,000
,000
101
101
**
,582
,680**
,000
,000
101
101
**
,789
,745**

Y3

Pearson
Correlation
Pearson
Correlation

X35

Sig.
(2-tailed)
Sig.
(2-tailed)

,000
,000

NN

101
101
** **
,651
,601

Y4

Pearson
Correlation
Pearson
Correlation

X36

Sig.
(2-tailed)
Sig.
(2-tailed)

,000
,000

NN

101
101
** **
,702
,668

Y5

Pearson
Correlation
Pearson
Correlation

X37

Sig.
(2-tailed)
Sig.
(2-tailed)

,000
,000

NN

101
101

Y6 Correlation
Pearson
Correlation
,504**
**.
is significant
at the 0.01 level (2-tailed).
Sig. (2-tailed)

,000

101

Pearson Correlation
Y7
Y8

X41

X42

,678**

Sig. (2-tailed)

,000

101

Pearson Correlation
Sig. (2-tailed)

,610**
,000

,000

101

,000

101

,000

101

,000

101

,000

101

,000

101
,598**

Sig. (2-tailed)

,000

101

Pearson Correlation
X48

,735**

Sig. (2-tailed)

Pearson Correlation
X47

,603**

Sig. (2-tailed)

Pearson Correlation
X46

,724**

Sig. (2-tailed)

Pearson Correlation
X45

,465**

Sig. (2-tailed)

Pearson Correlation
X44

,635**

Sig. (2-tailed)

Pearson Correlation
X43

,694**

Sig. (2-tailed)

Pearson Correlation

Kinerja Organisasi
(Y)
101

Y2
X34

,000

Pearson Correlation

,835**

Sig. (2-tailed)

,000

101

**. Correlation is significant at the 0.01 level (2-tailed).

101

**. Correlation is significant at the 0.01 level (2-tailed).

UJI RELIABILITAS
Reliability Statistics X1
Cronbach's

Cronbach's

Alpha

Alpha Based on

N of Items

Standardized
Items
,700

Reliability Statistics X2
,700

Cronbach's

Cronbach's

Alpha

Alpha Based on

N of Items

Standardized
Items
,752

Cronbach's

Alpha

Alpha Based on

N of Items

Cronbach's

Cronbach's

Alpha

Alpha Based on

Standardized

Standardized

Items

Items

,793

,791

,807

Reliability Statistics Y
Cronbach's

Cronbach's

Alpha

Alpha Based on

N of Items

Standardized
Items
,818

,820

UJI NORMALITAS DENGAN KOLMOGOROF SMIRNOV TEST


Syarat Dikatakan Normal nilai sig > 0,05
One-Sample Kolmogorov-Smirnov Test
Unstandardized
Residual
N
Normal Parametersa,b

Most Extreme Differences

101
Mean
Std. Deviation

0E-7
2,56234511

Absolute

,098

Positive

,098

Negative

-,070

Kolmogorov-Smirnov Z

,987

Asymp. Sig. (2-tailed)

,285

a. Test distribution is Normal.


b. Calculated from data.

Reliability Statistics X4

Reliability Statistics X3
Cronbach's

,752

,818

N of Items

UJI NON-MULTIKOLINEARITY
Syarat dikatakan bebas asumsi multikolinearitas adalah jika VIF < 10 maka tidak terjadi
multikolinearitas.
Coefficientsa
Model

Unstandardized

Standardized

Coefficients

Coefficients

B
(Constant)

Std. Error

-1,798

2,176

Finansial (X1)

,338

,101

Orientasi Pada Mahasiswa (X2)

,046

Proses Bisnis Internal (X3)


Pertumbuhan dan Pembelajaran (X4)
a. Dependent Variable: Kinerja Organisasi (Y)

Sig.

Beta

Collinearity Statistics

Tolerance

VIF

-,826

,411

,226

3,335

,001

,694

1,442

,116

,038

,398

,691

,358

2,791

,292

,107

,254

2,735

,007

,368

2,714

,460

,090

,463

5,116

,000

,390

2,567

UJI NON-AUTOKORELASI
Pengambilan keputusan:
1.
2.
3.
4.

Tidak terjadi autokorelasi jika dU < DW < (4 - dU)


Terjadi autokorelasi positif jika DW < dL
Terjadi autokorelasi negatif jika DW > (4 - dU)
Tanpa keputusan jika dL < DW < dU atau ( 4 - dU) < DW < (4 - dL)
Model Summaryb

Model

,833

R Square

Adjusted R

Std. Error of the

Square

Estimate

,694

,681

2,615

Durbin-Watson

1,839

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 ZPRED


Y = 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 GLETJSER


Coefficientsa
Model

Unstandardized

Standardized

Coefficients

Coefficients

B
(Constant)
Finansial (X1)
1

Orientasi Pada Mahasiswa (X2)


Proses Bisnis Internal (X3)
Pertumbuhan dan Pembelajaran (X4)

Std. Error

1,793

1,042

,115

,048

-,155

Sig.

Beta
1,721

,088

,274

2,373

,020

,056

-,446

-2,778

,007

,108

,051

,333

2,104

,038

-,029

,043

-,105

-,683

,496

a. Dependent Variable: ABS

UJI NON-HETEROSKEDASTISITAS DENGAN MENGGUNAKAN UJI PARK


Coefficientsa
Model

Unstandardized

Standardized

Coefficients

Coefficients

B
(Constant)

Std. Error

2,072

1,373

Finansial (X1)

,058

,064

Orientasi Pada Mahasiswa (X2)

-,115

Proses Bisnis Internal (X3)


Pertumbuhan dan Pembelajaran (X4)

1,510

,134

,107

,901

,370

,073

-,258

-1,564

,121

,122

,067

,294

1,809

,074

-,082

,057

-,228

-1,443

,152

HASIL REGRESI LINEAR BERGANDA

Variables Entered/Removeda
Variables Entered

Sig.

Beta

a. Dependent Variable: LOGU2

Model

Variables
Removed

Method

Pertumbuhan dan Pembelajaran (X4),


1

Finansial (X1), Proses Bisnis Internal


(X3), Orientasi Pada Mahasiswa (X2)

. Enter
b

a. Dependent Variable: Kinerja Organisasi (Y)


b. All requested variables entered.

Model Summary
Model

,833a

R Square

Adjusted R

Std. Error of the

Square

Estimate

,694

,681

2,615

a. Predictors: (Constant), Pertumbuhan dan Pembelajaran (X4),


Finansial (X1), Proses Bisnis Internal (X3), Orientasi Pada Mahasiswa
(X2)

ANOVAa
Model

Sum of Squares
Regression

Residual
Total

df

Mean Square

1489,577

372,394

656,561

96

6,839

2146,139

100

Sig.
,000b

54,450

a. Dependent Variable: Kinerja Organisasi (Y)


b. Predictors: (Constant), Pertumbuhan dan Pembelajaran (X4), Finansial (X1), Proses Bisnis
Internal (X3), Orientasi Pada Mahasiswa (X2)

Coefficientsa
Model

Unstandardized

Standardized

Coefficients

Coefficients

B
(Constant)

Std. Error

-1,798

2,176

Finansial (X1)

,338

,101

Orientasi Pada Mahasiswa (X2)

,046

Proses Bisnis Internal (X3)


Pertumbuhan dan Pembelajaran (X4)
a. Dependent Variable: Kinerja Organisasi (Y)

Sig.

Beta
-,826

,411

,226

3,335

,001

,116

,038

,398

,691

,292

,107

,254

2,735

,007

,460

,090

,463

5,116

,000

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