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1; ANALISIS UNIVARIAT

Pertama dilakukan uji Normalitas pada variable dependent yaitu Berat Bayi.

One-Sample Kolmogorov-Smirnov Test

Beratbayi

N 103
Normal Parametersa,b Mean 2663,5198
Std. Deviation 374,72656
Most Extreme Differences Absolute ,086
Positive ,086
Negative -,048
Test Statistic ,086
Asymp. Sig. (2-tailed) ,056c

Dari hasil Uji pada data Berat bayi didapatkan bahwa data berdistribusi Normal sehingga
bisa dipakai untuk dilakukan analisis selanjutnya

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Case Processing Summary

Cases

Valid Missing Total

N Percent N Percent N Percent

bbibu 103 100,0% 0 0,0% 103 100,0%


totalkol 103 100,0% 0 0,0% 103 100,0%
fundus 103 100,0% 0 0,0% 103 100,0%
umur 103 100,0% 0 0,0% 103 100,0%
hb 103 100,0% 0 0,0% 103 100,0%
beratbayi 103 100,0% 0 0,0% 103 100,0%
lila 103 100,0% 0 0,0% 103 100,0%

Dari hasil Analisis Univariate, semua variabel Valid.

Descriptives

Statistic Std. Error

bbibu Mean 35,5920 ,60943

95% Confidence Interval for Lower Bound 34,3832


Mean Upper Bound 36,8008

5% Trimmed Mean 35,7222


Median 35,8205

Variance 38,255

Std. Deviation 6,18506

Minimum 20,79

Maximum 47,54

Range 26,75

Interquartile Range 7,87

Skewness -,376 ,238

Kurtosis -,422 ,472


totalkol Mean 254,382 4,4388
95% Confidence Interval for Lower Bound 245,577
Mean Upper Bound 263,186
5% Trimmed Mean 253,488
Median 250,700
Variance 2029,449
Std. Deviation 45,0494
Minimum 154,4
Maximum 367,3
Range 212,9
Interquartile Range 58,0
Skewness ,241 ,238
Kurtosis -,358 ,472
fundus Mean 149,476 5,6890
95% Confidence Interval for Lower Bound 138,192
Mean Upper Bound 160,760
5% Trimmed Mean 146,255
Median 139,000
Variance 3333,526
Std. Deviation 57,7367
Minimum 58,0
Maximum 313,0
Range 255,0
Interquartile Range 80,0
Skewness ,809 ,238
Kurtosis ,148 ,472
umur Mean 25,2330 ,51463
95% Confidence Interval for Lower Bound 24,2123
Mean Upper Bound 26,2538
5% Trimmed Mean 24,9968
Median 25,0000
Variance 27,279
Std. Deviation 5,22288
Minimum 18,00
Maximum 38,00
Range 20,00
Interquartile Range 8,00
Skewness ,389 ,238
Kurtosis -,568 ,472
hb Mean 12,1010 ,09776
95% Confidence Interval for Lower Bound 11,9071
Mean Upper Bound 12,2949
5% Trimmed Mean 12,1032
Median 12,1000
Variance ,984
Std. Deviation ,99217
Minimum 10,00
Maximum 14,20
Range 4,20
Interquartile Range 1,10
Skewness ,041 ,238
Kurtosis -,337 ,472
beratbayi Mean 2663,5198 36,92290
95% Confidence Interval for Lower Bound 2590,2834
Mean Upper Bound 2736,7562
5% Trimmed Mean 2657,4461
Median 2631,5724
Variance 140419,994
Std. Deviation 374,72656
Minimum 1655,68
Maximum 3582,97
Range 1927,29
Interquartile Range 503,65
Skewness ,267 ,238
Kurtosis -,092 ,472
lila Mean 26,5607 ,20301
95% Confidence Interval for Lower Bound 26,1580
Mean Upper Bound 26,9633

5% Trimmed Mean 26,5234

Median 26,2699

Variance 4,245

Std. Deviation 2,06030

Minimum 22,14

Maximum 32,35

Range 10,22

Interquartile Range 3,00

Skewness ,372 ,238

Kurtosis -,239 ,472

2; ANALISIS BIVARIATE

Analisis bivariate dilakukan untuk melihat P value terhadap variabel dependent, yaitu Berat
Bayi. Namun kalau ada var yang secara substansi penting walaupun p valuenya > 0,25 variabel
tsb dapat masuk ke multivariate.

Correlations

beratbayi hb bbibu totalkol fundus lila umur


** **
beratbayi Pearson Correlation 1 ,116 ,680 ,191 ,134 ,273 -,171

Sig. (2-tailed) ,245 ,000 ,053 ,176 ,005 ,084

N 103 103 103 103 103 103 103


hb Pearson Correlation ,116 1 -,249* ,012 -,026 ,252* -,045
Sig. (2-tailed) ,245 ,011 ,906 ,796 ,010 ,648
N 103 103 103 103 103 103 103
** * *
bbibu Pearson Correlation ,680 -,249 1 ,240 ,048 -,118 ,019
Sig. (2-tailed) ,000 ,011 ,015 ,630 ,234 ,852
N 103 103 103 103 103 103 103
* **
totalkol Pearson Correlation ,191 ,012 ,240 1 ,365 ,066 -,033
Sig. (2-tailed) ,053 ,906 ,015 ,000 ,506 ,743
N 103 103 103 103 103 103 103
** *
fundus Pearson Correlation ,134 -,026 ,048 ,365 1 ,245 ,075
Sig. (2-tailed) ,176 ,796 ,630 ,000 ,013 ,453
N 103 103 103 103 103 103 103
lila Pearson Correlation ,273** ,252* -,118 ,066 ,245* 1 -,059
Sig. (2-tailed) ,005 ,010 ,234 ,506 ,013 ,552
N 103 103 103 103 103 103 103
umur Pearson Correlation -,171 -,045 ,019 -,033 ,075 -,059 1

Sig. (2-tailed) ,084 ,648 ,852 ,743 ,453 ,552

N 103 103 103 103 103 103 103

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


*. Correlation is significant at the 0.05 level (2-tailed).

Dari hasil Analisis bivariate di dapatkan hasil:

Variabel P -Value
HB 0,245
BB ibu 0,000
Tot Kolesterol 0,053
Tinggi Fundus 0,176
Lila 0,005
Umur Ibu 0,084
Semua variabel memiliki P value < 0,25 sehingga semua variabel masuk kedalam pemodelan
analisis multivariate.

3; ANALISIS MULTIVARIATE

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