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Anova

Minggu Minggu Minggu


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Oneway
Descriptives

Gab123
95% Confidence Interval for
Mean
N Mean Std. Deviation Std. Error Lower Bound Upper Bound Minimum Maximum
1.00 30 18.1000 1.32222 .24140 17.6063 18.5937 15.00 20.00
2.00 30 20.3667 1.92055 .35064 19.6495 21.0838 16.00 23.00
3.00 30 22.4667 2.31537 .42273 21.6021 23.3312 18.00 26.00
Total 90 20.3111 2.59491 .27353 19.7676 20.8546 15.00 26.00

Test of Homogeneity of Variances

Gab123
Levene
Statistic df1 df2 Sig.
4.583 2 87 .013

ANOVA

Gab123
Sum of
Squares df Mean Square F Sig.
Between Groups 286.156 2 143.078 39.752 .000
Within Groups 313.133 87 3.599
Total 599.289 89
REGRESI

Sebelu Sesuda
m h
15 16
17 18
15 16
16 17
14 15
17 18
19 20
15 16
17 19
18 19
19 20
15 17
16 17
15 18
17 19
16 19
16 17
17 19
16 19
18 20
16 18
17 19
16 18
18 19
15 18
16 17
18 19
17 18
19 20
18 20
Regression
Descriptive Statistics

Mean Std. Deviation N


Sebelum 16.6000 1.35443 30
Sesudah 18.1667 1.36668 30

Correlations

Sebelum Sesudah
Pearson Correlation Sebelum 1.000 .857
Sesudah .857 1.000
Sig. (1-tailed) Sebelum . .000
Sesudah .000 .
N Sebelum 30 30
Sesudah 30 30

Variables Entered/Removedb

Variables Variables
Model Entered Removed Method
1 Sesudaha . Enter
a. All requested variables entered.
b. Dependent Variable: Sebelum

Model Summaryb

Adjusted Std. Error of


Model R R Square R Square the Estimate
1 .857a .734 .725 .71052
a. Predictors: (Constant), Sesudah
b. Dependent Variable: Sebelum

ANOVAb

Sum of
Model Squares df Mean Square F Sig.
1 Regression 39.065 1 39.065 77.381 .000a
Residual 14.135 28 .505
Total 53.200 29
a. Predictors: (Constant), Sesudah
b. Dependent Variable: Sebelum
Coefficientsa

Unstandardized Standardized
Coefficients Coefficients
Model B Std. Error Beta t Sig.
1 (Constant) 1.172 1.759 .667 .510
Sesudah .849 .097 .857 8.797 .000
a. Dependent Variable: Sebelum

Residuals Statisticsa

Minimum Maximum Mean Std. Deviation N


Predicted Value 13.9108 18.1569 16.6000 1.16063 30
Std. Predicted Value -2.317 1.341 .000 1.000 30
Standard Error of
.131 .332 .177 .048 30
Predicted Value
Adjusted Predicted Value 13.8858 18.1735 16.5916 1.16113 30
Residual -1.45846 .84308 .00000 .69816 30
Std. Residual -2.053 1.187 .000 .983 30
Stud. Residual -2.088 1.248 .006 1.009 30
Deleted Residual -1.50955 .93197 .00843 .73611 30
Stud. Deleted Residual -2.232 1.261 -.009 1.042 30
Mahal. Distance .015 5.369 .967 1.172 30
Cook's Distance .003 .086 .027 .031 30
Centered Leverage Value .001 .185 .033 .040 30
a. Dependent Variable: Sebelum
Charts

Normal P-P Plot of Regression Standardized Residual

Dependent Variable: Sebelum

1.0

0.8
Expected

Prob
Cum

0.6

0.4

0.2

0.0
0.0 0.2 0.4 0.6 0.8 1.0
Observed Cum Prob
Scatterplot

Dependent Variable: Sebelum


Studentized
Regression

1
Deleted
(Press)

0
Resi
dual

-1

-2

-3 -2 -1 0 1 2
Regression Standardized Predicted Value
Scatterplot

Dependent Variable: Sebelum

2
Standardized
Regression

1
Predicted

-1
Valu

-2
e

-3

14.00 15.00 16.00 17.00 18.00 19.00

Sebelum
KORELASI

Minggu Minggu Minggu


1 2 3
16 17 19
18 19 20
16 17 18
17 18 19
15 16 18
18 20 21
20 21 23
16 18 19
19 20 21
19 20 21
20 21 24
17 20 23
17 20 23
18 20 24
19 21 23
19 20 23
17 19 22
19 22 24
19 21 23
20 23 25
18 23 25
19 23 26
18 23 25
19 21 24
18 22 24
17 20 23
19 20 22
18 23 25
20 23 26
18 20 21

Correlations
Descriptive Statistics

Mean Std. Deviation N


Minggu1 18.1000 1.32222 30
Minggu2 20.3667 1.92055 30
Minggu3 22.4667 2.31537 30

Correlations

Minggu1 Minggu2 Minggu3


Minggu1 Pearson Correlation 1 .732** .671**
Sig. (2-tailed) .000 .000
N 30 30 30
Minggu2 Pearson Correlation .732** 1 .937**
Sig. (2-tailed) .000 .000
N 30 30 30
Minggu3 Pearson Correlation .671** .937** 1
Sig. (2-tailed) .000 .000
N 30 30 30
**. Correlation is significant at the 0.01 level (2-tailed).

NON PARAMETRIK
Minggu Minggu Minggu
1 2 3
16 17 19
18 19 20
16 17 18
17 18 19
15 16 18
18 20 21
20 21 23
16 18 19
19 20 21
19 20 21
20 21 24
17 20 23
17 20 23
18 20 24
19 21 23
19 20 23
17 19 22
19 22 24
19 21 23
20 23 25
18 23 25
19 23 26
18 23 25
19 21 24
18 22 24
17 20 23
19 20 22
18 23 25
20 23 26
18 20 21

Satu sampel (minggu 1)

NPar Tests
Descriptive Statistics

Percentiles
N Mean Std. Deviation Minimum Maximum 25th 50th (Median) 75th
Minggu1 30 18.1000 1.32222 15.00 20.00 17.0000 18.0000 19.0000

One-Sample Kolmogorov-Smirnov Test

Minggu1
N 30
Normal Parametersa,b Mean 18.1000
Std. Deviation 1.32222
Most Extreme Absolute .185
Differences Positive .115
Negative -.185
Kolmogorov-Smirnov Z 1.015
Asymp. Sig. (2-tailed) .254
a. Test distribution is Normal.
b. Calculated from data.

2 sampel (minggu 1 dan 2)

NPar Tests
Descriptive Statistics

Percentiles
N Mean Std. Deviation Minimum Maximum 25th 50th (Median) 75th
Gab12 60 19.2333 1.99463 15.00 23.00 18.0000 19.0000 20.0000
Kategori 60 1.5000 .50422 1.00 2.00 1.0000 1.5000 2.0000

Mann-Whitney Test
Ranks

Kategori N Mean Rank Sum of Ranks


Gab12 1.00 30 20.35 610.50
2.00 30 40.65 1219.50
Total 60

Test Statisticsa

Gab12
Mann-Whitney U 145.500
Wilcoxon W 610.500
Z -4.563
Asymp. Sig. (2-tailed) .000
a. Grouping Variable: Kategori

Lebih dari 2 sampel (Minggu 1, 2 dan 3)

NPar Tests
Descriptive Statistics

Percentiles
N Mean Std. Deviation Minimum Maximum 25th 50th (Median) 75th
Gab123 90 20.3111 2.59491 15.00 26.00 18.0000 20.0000 23.0000
Kategori 90 2.0000 .82107 1.00 3.00 1.0000 2.0000 3.0000

Kruskal-Wallis Test
Ranks

Kategori N Mean Rank


Gab123 1.00 30 22.40
2.00 30 47.95
3.00 30 66.15
Total 90

Test Statisticsa,b

Gab123
Chi-Square 43.135
df 2
Asymp. Sig. .000
a. Kruskal Wallis Test
b. Grouping Variable: Kategori

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