Data Pendapatan Perum Pegadaian, Jumlah Nasabah ,: Lampiran 1

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LAMPIRAN 1

x1 x2
Data Pendapatan perum pegadaian( ), Jumlah Nasabah( ),

x3
Inflasi( ), dan data penyaluran kredit (Y) Perum Pegadaian

Cabang Tamlanrea tahun 2006-2010

Y X1 X2 X3
26260574000 2567350667 29747 7.21
33541666500 3281202113 32553 5.71
52057552500 4341135581 36718 11.79
65521900000 5596644876 38392 3.21
67958673100 6212780125 34913 3.35

LAMPIRAN II

Lampiran 4 Hasil Output SPSS

Coefficientsa

Unstandardized Standardized
Coefficients Coefficients

Std.
Model B Error Beta T Sig.

1 (Constant) -13.333 5.468 -2.438 .248

x1 .967 .125 .881 7.724 .082

x2 .663 .386 .172 1.720 .335

x3 .116 .157 .054 .743 .593

a. Dependent Variable: y
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Model Summaryb

Std. Error of the


Model R R Square Adjusted R Square Estimate

1 .999a .997 .988 .8274712036

a. Predictors: (Constant), x3, x2, x1

b. Dependent Variable: y

ANOVAb

Model Sum of Squares Df Mean Square F Sig.

1 Regression 231.535 3 77.178 112.717 .044a

Residual .685 1 .685

Total 232.219 4

a. Predictors: (Constant), x3, x2, x1

b. Dependent Variable: y
89

Coefficientsa

Standardi
zed
Unstandardized Coefficien Collinearity
Coefficients ts Correlations Statistics

Std. Zero- Toleran


Model B Error Beta T Sig. order Partial Part ce VIF

1 (Consta
-13.333 5.468 -2.438 .248
nt)

x1 .967 .125 .881 7.724 .082 .989 .992 .419 .227 4.412

x2 .663 .386 .172 1.720 .335 .851 .864 .093 .293 3.412

x3 .116 .157 .054 .743 .593 -.387 .596 .040 .563 1.776

a. Dependent Variable:
y

Coefficientsa

Standardized
Unstandardized Coefficients Coefficients

Model B Std. Error Beta T Sig.

1 (Constant) .752 .723 1.040 .488

PENDAPATAN -.049 .017 -1.405 -2.953 .208

JUMLAH NASABAH .046 .051 .375 .895 .535

INFLASI -.062 .021 -.902 -2.988 .206

a. Dependent Variable: ABS


90

Runs Test

Unstandardized
Residual

Test Valuea -.03520

Cases < Test Value 2

Cases >= Test Value 3

Total Cases 5

Number of Runs 4

Z .109

Asymp. Sig. (2-tailed) .913

a. Median

One-Sample Kolmogorov-Smirnov Test

Unstandardized
Residual

N 5

Normal Parametersa Mean .0000000

Std. Deviation .41373560

Most Extreme Differences Absolute .202

Positive .134

Negative -.202

Kolmogorov-Smirnov Z .451

Asymp. Sig. (2-tailed) .987

a. Test distribution is Normal.


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One-Sample Kolmogorov-Smirnov Test

Unstandardized
Residual

N 5

Normal Parametersa Mean .0000000

Std. Deviation .41373560

Most Extreme Differences Absolute .202

Positive .134

Negative -.202

Kolmogorov-Smirnov Z .451

Asymp. Sig. (2-tailed) .987

Correlations

Y x1 x2 x3

Pearson Correlation Y 1.000 .989 .851 -.387

x1 .989 1.000 .775 -.483

x2 .851 .775 1.000 -.088

x3 -.387 -.483 -.088 1.000

Sig. (1-tailed) Y . .001 .034 .260

x1 .001 . .062 .205

x2 .034 .062 . .444

x3 .260 .205 .444 .

N Y 5 5 5 5

x1 5 5 5 5

x2 5 5 5 5

x3 5 5 5 5

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