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NURUL FITRIANI 150510150213

Univariate Analysis of Variance


Notes

Output Created 27-NOV-2017 09:37:09


Comments
Input Data C:\Users\Lenovo\Documents\Rancob\PRAKTEK SPSS\RAL 1.sav
Active Dataset DataSet1
Filter <none>
Weight <none>
Split File <none>
N of Rows in Working Data File 24
Missing Value Handling Definition of Missing User-defined missing values are treated as missing.
Cases Used Statistics are based on all cases with valid data for all variables in the model.
Syntax UNIANOVA Hasil BY Perlakuan
/METHOD=SSTYPE(3)
/INTERCEPT=INCLUDE
/SAVE=SEPRED LEVER
/POSTHOC=Perlakuan(TUKEY DUNCAN LSD)
/EMMEANS=TABLES(Perlakuan)
/PRINT=GEF PARAMETER HOMOGENEITY
/CRITERIA=ALPHA(.05)
/DESIGN=Perlakuan.
Resources Processor Time 00:00:00,14
Elapsed Time 00:00:01,28
Variables Created or Modified SEP_1 Standard Error of Predicted Value for Hasil

LEV_1 Uncentered Leverage Value for Hasil

[DataSet1] C:\Users\Lenovo\Documents\Rancob\PRAKTEK SPSS\RAL 1.sav


Between-Subjects Factors

Perlakuan A 6

B 6

C 6

D 6

Levene's Test of Equality of Error Variancesa


Dependent Variable: Hasil
F df1 df2 Sig.
.149 3 20 .929

Tests the null hypothesis that the error variance of the


dependent variable is equal across groups.
a. Design: Intercept + Perlakuan

Tests of Between-Subjects Effects


Dependent Variable: Hasil

Type III Sum of


Source Squares df Mean Square F Sig.

Corrected Model .788a 3 .263 55.253 .000


Intercept 36.761 1 36.761 7731.876 .000
Perlakuan .788 3 .263 55.253 .000
Error .095 20 .005
Total 37.645 24
Corrected Total .883 23

a. R Squared = .892 (Adjusted R Squared = .876)

Parameter Estimates
Dependent Variable: Hasil

95% Confidence Interval

Parameter B Std. Error t Sig. Lower Bound Upper Bound

Intercept 1.459 .028 51.812 .000 1.400 1.517


[Perlakuan=A] -.085 .040 -2.136 .045 -.168 -.002
[Perlakuan=B] -.415 .040 -10.419 .000 -.498 -.332
[Perlakuan=C] -.384 .040 -9.638 .000 -.467 -.301
[Perlakuan=D] 0a . . . . .

a. This parameter is set to zero because it is redundant.

General Estimable Functiona

Contrast

Parameter L1 L2 L3 L4

Intercept 1 0 0 0
[Perlakuan=A] 0 1 0 0
[Perlakuan=B] 0 0 1 0
[Perlakuan=C] 0 0 0 1
[Perlakuan=D] 1 -1 -1 -1
a. Design: Intercept + Perlakuan
Estimated Marginal Means

Perlakuan
Dependent Variable: Hasil

95% Confidence Interval

Perlakuan Mean Std. Error Lower Bound Upper Bound

A 1.373 .028 1.315 1.432


B 1.044 .028 .985 1.102
C 1.075 .028 1.016 1.134
D 1.459 .028 1.400 1.517

Post Hoc Tests

Perlakuan
Multiple Comparisons
Dependent Variable: Hasil

Mean Difference 95% Confidence Interval

(I) Perlakuan (J) Perlakuan (I-J) Std. Error Sig. Lower Bound Upper Bound

Tukey HSD A B .329767* .0398101 .000 .218341 .441193

C .298667* .0398101 .000 .187241 .410093

D -.085017 .0398101 .176 -.196443 .026409

B A -.329767* .0398101 .000 -.441193 -.218341

C -.031100 .0398101 .862 -.142526 .080326

D -.414783* .0398101 .000 -.526209 -.303357

C A -.298667* .0398101 .000 -.410093 -.187241

B .031100 .0398101 .862 -.080326 .142526

D -.383683* .0398101 .000 -.495109 -.272257

D A .085017 .0398101 .176 -.026409 .196443

B .414783* .0398101 .000 .303357 .526209

C .383683* .0398101 .000 .272257 .495109


LSD A B .329767* .0398101 .000 .246724 .412809

C .298667* .0398101 .000 .215624 .381709

D -.085017* .0398101 .045 -.168059 -.001974

B A -.329767* .0398101 .000 -.412809 -.246724

C -.031100 .0398101 .444 -.114142 .051942


D -.414783* .0398101 .000 -.497826 -.331741
C A -.298667* .0398101 .000 -.381709 -.215624

B .031100 .0398101 .444 -.051942 .114142

D -.383683* .0398101 .000 -.466726 -.300641

D A .085017* .0398101 .045 .001974 .168059

B .414783* .0398101 .000 .331741 .497826

C .383683* .0398101 .000 .300641 .466726

Based on observed means.


The error term is Mean Square(Error) = .005.
*. The mean difference is significant at the ,05 level.

Homogeneous Subsets

Hasil

Subset

Perlakuan N 1 2 3

Tukey HSDa,b B 6 1.043717

C 6 1.074817

A 6 1.373483

D 6 1.458500

Sig. .862 .176


Duncana,b B 6 1.043717

C 6 1.074817

A 6 1.373483

D 6 1.458500

Sig. .444 1.000 1.000

Means for groups in homogeneous subsets are displayed.


Based on observed means.
The error term is Mean Square(Error) = .005.
a. Uses Harmonic Mean Sample Size = 6.000.
b. Alpha = ,05.

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