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Perhitungan Variable
Perhitungan Variable
/VARIABLES= X Y
/PRINT=TWOTAIL NOSIG
/MISSING=PAIRSWISE
Correlations
[DataSet0]
Correlations
Motivasi Kinerja
Motivasi Pearson 1 .463”
Correlation .000
Sig. (2-tailed) 53 53
N
Kinerja Pearson .463” 1
Correlation .000
Sig. (2-tailed) 53 53
N
**. Correlation is significant at the 0.01 level (2-tailed).
Model Summary
Model R R Square Adjusted R Std. Error of
Square The Estimate
1 .463 .215 .199 3.61781
a. Predictors: (Constant), Trust
ANOVA
Sum of df Mean F Sig.
Model Squares Square
1 Regressiion 182.597 1 182.597 13.951 .000
Residual 667.516 51 13.089
Total 850.113 52
a. Predictor: (Constant), Trust
b. Dependent Variable: Partisipasi
Coefficients
Unstandardized Standardized t sig
Coefficients Coefficients
Model B Std. Error Beta
1 (Constant) 9.481 4.400 .463 2.155 .036
Trust .438 .117 3.735 .000
a. Dependent Variable: Partisipasi
Graph
Uji Paired Sample T Test
/CRITERIA=CI(.9500)
/MISSING=ANALYSIS.
T-TEST
T-Test GROUPS=Kelas(12)
/MISSING=ANALYSIS
/VARIABLES=Hasil
/CRETERIA=CI(.9500)
[DataSet0]
Group Statistics
Kelas N Mean Std. Std. Error
Deviation Mean
Hasil Belajar Kelas A 22 68.2273 6.10177 1.30090
Matematika Kelas B 22 85.5455 3.76358 .80240
Independent Sample Test
Levene’s Test for 95% Confidence
Equality of Interval of the
Variances t-test for Equality of Means Difference
F Sig. t df Sig. Meand Std. Error Lower Upper
(2- Difference Difference
tailed)
Hasil Equal 3.424 .071 -11.330 42 .000 -17.31818 1.52846 -20.40274 -
Belajar Variances -11.330 34.958 .000 -17.31818 1.52846 -20.42125 14.23363
Matematika assumed -
Equal 14.21511
variance
not
assumed