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Correlation, Indepedent Variables Multiple

The document contains sales data for multiple franchise stores including annual sales, store size, inventory, advertising spending, number of families in the sales district, and number of competing stores. It performs linear regression analysis to model the relationship between annual sales (X1) and number of competing stores (X6), finding a negative correlation between the two variables.

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Erico Oloroso
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© © All Rights Reserved
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0% found this document useful (0 votes)
38 views

Correlation, Indepedent Variables Multiple

The document contains sales data for multiple franchise stores including annual sales, store size, inventory, advertising spending, number of families in the sales district, and number of competing stores. It performs linear regression analysis to model the relationship between annual sales (X1) and number of competing stores (X6), finding a negative correlation between the two variables.

Uploaded by

Erico Oloroso
Copyright
© © All Rights Reserved
We take content rights seriously. If you suspect this is your content, claim it here.
Available Formats
Download as XLSX, PDF, TXT or read online on Scribd
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Customer Pre Survey Post Survey difference(d) d^2 Pre Survey

A 6 8 2 4
B 5 6 1 1 Mean
C 10 8 -2 4 Standard Error
D 7 7 0 0 Median
E 6 9 3 9 Mode
F 8 10 2 4 Standard Deviation
G 10 10 0 0 Sample Variance
H 5 6 1 1 Kurtosis
I 6 5 -1 1 Skewness
J 8 7 -1 1 Range
K 9 9 0 0 Minimum
Sum 5 25 Maximum
Sum
Count
Post SurveyPre Survey Confidence Level(95.0%)
8 6
6 5
8 10 t-Test: Two-Sample Assuming Unequal Vari
7 7
9 6
10 8 Mean
10 10 Variance
6 5 Observations
5 6 Hypothesized Mean Differ
7 8 df
9 9 t Stat
P(T<=t) one-tail
t Critical one-tail
P(T<=t) two-tail
t Critical two-tail
t-Test: Paired Two Sample for Means

Post Survey
Mean
7.2727272727 Mean 7.727273 Variance
0.5574439897 Standard Error 0.50616 Observations
7 Median 8 Pearson Correlation
6 Mode 8 Hypothesized Mean Difference
1.8488325555 Standard Deviation 1.678744 df
3.4181818182 Sample Variance 2.818182 t Stat
-1.3211577637 Kurtosis -1.112591 P(T<=t) one-tail
0.325104525 Skewness -0.096078 t Critical one-tail
5 Range 5 P(T<=t) two-tail
5 Minimum 5 t Critical two-tail
10 Maximum 10
80 Sum 85
11 Count 11
1.2420626113 Confidence Level(95.0%) 1.127796
t-Test: Paired Two Sample for Means

mple Assuming Unequal Variances


Mean
Pre Survey Post Survey Variance
7.2727272727 7.72727272727273 Observations
3.4181818182 2.81818181818181 Pearson Correlation
11 11 Hypothesized Mean Difference
0 df
20 t Stat
-0.6036816105 P(T<=t) one-tail
0.2764207136 t Critical one-tail
1.7247182429 P(T<=t) two-tail
0.5528414272 t Critical two-tail
2.0859634473
Pre Survey Post Survey
7.2727 7.7273
3.4182 2.8182
11 11
0.6385
0
10
-1.0
0.1704
1.8125
0.3409
2.2281

Post Survey Pre Survey


7.72727273 7.272727273
2.81818182 3.418181818
11 11
0.63853061
0
10
1
0.17044657
1.81246112
0.34089313
2.22813885
The data
(X1, X2,
X3, X4, X5,
X6) are for
each
franchise
store.
X1 =
annual net
sales/$100
0
X2 = area
of store in
sq. ft./1000
X3 =
inventory/$
1000
X4 =
amount
spent on
advertising/
$1000
X5 = size
of sales
district/100
0 families
X6 =
number of
competing
stores in
district
X1 X2 X3 X4 X5 X6
231 3 294 8.2 8.2 11
156 2.2 232 6.9 4.1 12
10 0.5 149 3 4.3 15
519 5.5 600 12 16.1 1
437 4.4 567 10.6 14.1 5 X1
487 4.8 571 11.8 12.7 4 X2
299 3.1 512 8.1 10.1 10 X3
195 2.5 347 7.7 8.4 12 X4
20 1.2 212 3.3 2.1 15 X5
68 0.6 102 4.9 4.7 8 X6
570 5.4 788 17.4 12.3 1 Correlation Matrix
428 4.2 577 10.5 14 7
464 4.7 535 11.3 15 3 X1
15 0.6 163 2.5 2.5 14 X2
65 1.2 168 4.7 3.3 11 X3
98 1.6 151 4.6 2.7 10 X4
398 4.3 342 5.5 16 4 X5
161 2.6 196 7.2 6.3 13 X6
397 3.8 453 10.4 13.9 7
497 5.3 518 11.5 16.3 1 SUMMARY OUTPUT
528 5.6 615 12.3 16 0
99 0.8 278 2.8 6.5 14 Regression Statistics
0.5 1.1 142 3.1 1.6 12 Multiple R
347 3.6 461 9.6 11.3 6 R Square
341 3.5 382 9.8 11.5 5 Adjusted R Square
507 5.1 590 12 15.7 0 Standard Error
400 8.6 517 7 12 8 Observations

ANOVA

Regression
Residual
Total

Intercept
X6

Regression Statistics
Multiple R
R Square
Adjusted R Square
Standard Error
Observations

ANOVA

Regression
Residual
Total

Intercept
X6
X1 X2 X3 X4 X5 X6
1
1
1
1
1
1

X1 X2 X3 X4 X5 X6
1
0.8940920815 1
0.9455036255 0.84361578278 1
0.9140240677 0.74858723675 0.906231 1
0.9536830589 0.83802288299 0.863917 0.7954344491 1
-0.9122363921 -0.7657377883 -0.80738 -0.8412799435 -0.8695896114 1
egression Statistics
0.9122363921
0.8321752351
0.8254622445
80.239001634
27

df SS MS F Significance F
1 798122.917271 798122.9 123.96490404 3.5158593E-11
25 160957.43458 6438.297
26 959080.351852

Coefficients Standard Error t Stat P-value Lower 95% Upper 95% Lower 95.0%
Upper 95.0%
563.59262451 29.2830293214 19.24639 1.6699336E-16 503.28309668 623.90215234 503.2831 623.9022
-35.787085463 3.21423004372 -11.13395 3.5158593E-11 -42.406916155 -29.167254771 -42.40692 -29.16725

egression Statistics
0.9122363921
0.8321752351
0.8254622445
80.239001634
27

df SS MS F Significance F
1 798122.917271 798122.9 123.96490404 3.5158593E-11
25 160957.43458 6438.297
26 959080.351852

Coefficients Standard Error t Stat P-value Lower 95% Upper 95% Lower 95.0%
Upper 95.0%
563.59262451 29.2830293214 19.24639 1.6699336E-16 503.28309668 623.90215234 503.2831 623.9022
-35.787085463 3.21423004372 -11.13395 3.5158593E-11 -42.406916155 -29.167254771 -42.40692 -29.16725
Upper 95.0%

Upper 95.0%

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