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1.

Ujilah normalitas dari variabel berikut ini dan kemudian simpulkan hasilnya:
A. Motivasi Belajar
One-Sample Kolmogorov-Smirnov Test

MOTIVASI
BELAJAR

N 100
Mean 64.4900
Normal Parametersa,b
Std. Deviation 22.01583
Absolute .103
Most Extreme Differences Positive .087
Negative -.103
Kolmogorov-Smirnov Z 1.035
Asymp. Sig. (2-tailed) .235

a. Test distribution is Normal.


b. Calculated from data.

B. Stress Akademik

One-Sample Kolmogorov-Smirnov Test

STRESS
AKADEMIK

N 100
Mean 63.4900
Normal Parametersa,b
Std. Deviation 23.21855
Absolute .091
Most Extreme Differences Positive .091
Negative -.085
Kolmogorov-Smirnov Z .912
Asymp. Sig. (2-tailed) .376

a. Test distribution is Normal.


b. Calculated from data.

2. Jika variabel dependen adalah motivasi belajar dan varibel independen adalah prokranasi
akdemik, tentukan normalitas residunya!

Variables Entered/Removeda

Model Variables Variables Method


Entered Removed

PROSTINASI . Enter
1 b
AKADEMIK

a. Dependent Variable: HARGA DIRI


b. All requested variables entered.

Model Summaryb

Model R R Square Adjusted R Std. Error of the


Square Estimate

1 .045a .002 -.008 22.06744

a. Predictors: (Constant), PROSTINASI AKADEMIK


b. Dependent Variable: HARGA DIRI

ANOVAa

Model Sum of Squares df Mean Square F Sig.

Regression 96.484 1 96.484 .198 .657b

1 Residual 47723.226 98 486.972

Total 47819.710 99

a. Dependent Variable: HARGA DIRI


b. Predictors: (Constant), PROSTINASI AKADEMIK

Coefficientsa

Model Unstandardized Coefficients Standardized t Sig.


Coefficients

B Std. Error Beta

(Constant) 65.510 6.624 9.889 .000


1
PROSTINASI AKADEMIK -.044 .100 -.045 -.445 .657

a. Dependent Variable: HARGA DIRI

Residuals Statisticsa

Minimum Maximum Mean Std. Deviation N

Predicted Value 61.1127 64.3998 62.7300 .98721 100


Residual -37.13324 38.08778 .00000 21.95570 100
Std. Predicted Value -1.638 1.691 .000 1.000 100
Std. Residual -1.683 1.726 .000 .995 100

a. Dependent Variable: HARGA DIRI

3. Jika variabel dependen adalah motivasi belajar dan variabel independen harga diri, tentukan linear
tidaknya!
ANOVA Table

Sum of df Mean F Sig.


Squares Square

(Combined) 29096.240 54 538.819 1.284 .196

Between Linearity 127.764 1 127.764 .304 .584


MOTIVASI BELAJAR Groups Deviation from 28968.476 53 546.575 1.302 .183
* HARGA DIRI Linearity

Within Groups 18888.750 45 419.750

Total 47984.990 99

Measures of Association

R R Squared Eta Eta Squared

MOTIVASI BELAJAR * -.052 .003 .779 .606


HARGA DIRI

4. Jika variabel dependen adalah prokrastinasi akademik dan variabel independent adalah jenis
kelamin, tentukan homogen tidaknya!

Group Statistics

JENIS KELAMIN N Mean Std. Deviation Std. Error Mean

LAKI LAKI 50 58.9200 22.13487 3.13034


PROSTINASI AKADEMIK
PEREMPUAN 50 66.2600 21.91990 3.09994

Independent Samples Test

Levene's Test for t-test for Equality of Means


Equality of
Variances

F Sig. t df Sig. (2- Mean Std. 95% Confidence


tailed) Differen Error Interval of the
ce Differen Difference
ce Lower Upper

Equal .140 .709 - 98 .099 - 4.40553 - 1.40263


variances 1.66 7.34000 16.0826
PROSTINASI assumed 6 3
AKADEMIK Equal - 97.9 .099 - 4.40553 - 1.40264
variances not 1.66 91 7.34000 16.0826
assumed 6 4

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