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Regression Analysis

R² 0.952
Adjusted R² 0.945
R 0.976
Std. Error 2.693
n 16
k 2
Dep. Var. y

ANOVA table
Source SS df MS F p-value
Regression 1,872.7000 2 936.3500 129.08 2.66E-09
Residual 94.3000 13 7.2538
Total 1,967.0000 15

Regression output confidence interval


variables coefficients std. error t (df=13) p-value 95% lower 95% upper VIF
Intercept 37.6500 2.9961 12.566 1.20E-08 31.1773 44.1227
x1 4.4250 0.3011 14.695 1.78E-09 3.7745 5.0755 1.000
x2 4.3750 0.6733 6.498 2.01E-05 2.9204 5.8296 1.000

Observation y Predicted Residual


1 64.0 64.1 -0.1
2 73.0 72.9 0.2
3 61.0 64.1 -3.1
4 76.0 72.9 3.2
5 72.0 73.0 -0.9
6 80.0 81.7 -1.7
7 71.0 73.0 -1.9
8 83.0 81.7 1.3
9 83.0 81.8 1.2
10 89.0 90.6 -1.6
11 86.0 81.8 4.2
12 93.0 90.6 2.5
13 88.0 90.7 -2.6
14 95.0 99.4 -4.4
15 94.0 90.7 3.4
16 100.0 99.4 0.6

Durbin-Watson = 2.31

Normal Probability Plot of Residuals


5
4
Residual

3
2
1
0
5
4

Residual
3
2
1
0
-1
-2
-3
-4
-5
-2 -1.5 -1 -0.5 0 0.5 1 1.5 2
Normal Score
y x1 x2
64 4 2
73 4 4
61 4 2
76 4 4
72 6 2
80 6 4
71 6 2
83 6 4
83 8 2
89 8 4
86 8 2
93 8 4
88 10 2
95 10 4
94 10 2
100 10 4
y x1 x2 y x1 x2
64 4 2 83 8 2
73 4 4 89 8 4
61 4 2 86 8 2
76 4 4 93 8 4
72 6 2 88 10 2
80 6 4 95 10 4
71 6 2 94 10 2
83 6 4 100 10 4

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