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Tabla 1

Tabla de correlaciones de la variable “Extroversión”

Variable M DE 1 2 3 4 5 6 7 8 9

2.6 1.2
1. e1
3 2

2.8 1.2
2. e2i .42**
3 8

3.4 1.2 .46** .41**


3. e3
1 2

3.1 1.1
4. e4i .49** .42** .44**
5 9

3.4 1.2
5. e5 .45** .49** .60** .45**
0 9

2.5 1.2
6. e6i .33** .49** .34** .39** .40**
5 3

2.8 1.4
7. e7 .62** .41** .56** .49** .61** -.35**
6 0

3.4 1.1
8. e8i .38** .32** .27** .45** .32** .27** -.32**
3 9

9. e9 3.1 1.4 .46** .32** .41** .40** .38** -.29** .41** -.52**
2 0

3.6 1.2
10. e10i .42** .42** .49** .46** .52** .34** -.51** .28** .32**
3 8

Note. M and SD are used to represent mean and standard deviation, respectively. Values in square brackets indicate the 95%
confidence interval for each correlation. The confidence interval is a plausible range of population correlations that could have caused
the sample correlation (Cumming, 2014). * indicates p < .05. ** indicates p < .01.

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