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Descriptive Statistics

Mean Std. Deviation N

Y 11,73 2,504 30
X1 12,87 1,279 30
X2 15,10 2,964 30

Correlations

Y X1 X2

Pearson Correlation Y 1,000 ,699 ,668

X1 ,699 1,000 ,577


X2 ,668 ,577 1,000
Sig. (1-tailed) Y . ,000 ,000
X1 ,000 . ,000
X2 ,000 ,000 .
N Y 30 30 30

X1 30 30 30

X2 30 30 30

Variables Entered/Removeda

Variables Variables
Model Entered Removed Method

1 X2, X1b . Enter


a. Dependent Variable: Y
b. All requested variables entered.

Model Summary

Change Statistics

Adjusted R Std. Error of the R Square


Model R R Square Square Estimate Change F Change df1 df2 Sig. F Change

1 ,771a ,594 ,564 1,654 ,594 19,731 2 27 ,000

a. Predictors: (Constant), X2, X1


ANOVAa

Model Sum of Squares df Mean Square F Sig.

1 Regression 107,984 2 53,992 19,731 ,000b

Residual 73,882 27 2,736

Total 181,867 29

a. Dependent Variable: Y
b. Predictors: (Constant), X2, X1

Coefficientsa

95,0% Confidence Interval for B

Model Lower Bound Upper Bound

1 (Constant) -11,560 1,224

X1 ,317 1,523

X2 ,075 ,596

a. Dependent Variable: Y

Uji validitas

Kualitas produk

Correlations

X1.1 X1.2 X1.3 sumX1

X1.1 Pearson Correlation 1 ,349 -,196 ,188

Sig. (2-tailed) ,059 ,298 ,320

N 30 30 30 30
X1.2 Pearson Correlation ,349 1 -,175 ,300
Sig. (2-tailed) ,059 ,355 ,108
N 30 30 30 30
X1.3 Pearson Correlation -,196 -,175 1 ,210
Sig. (2-tailed) ,298 ,355 ,266
N 30 30 30 30
sumX1 Pearson Correlation ,188 ,300 ,210 1

Sig. (2-tailed) ,320 ,108 ,266

N 30 30 30 30
Promosi

Correlations

X2.1 X2.2 X2.3 X2.4 sumX2

X2.1 Pearson Correlation 1 ,535** ,136 ,283 ,785**

Sig. (2-tailed) ,002 ,473 ,130 ,000

N 30 30 30 30 30
X2.2 Pearson Correlation ,535** 1 ,209 ,157 ,643**
Sig. (2-tailed) ,002 ,269 ,406 ,000
N 30 30 30 30 30
X2.3 Pearson Correlation ,136 ,209 1 ,525** ,464**
Sig. (2-tailed) ,473 ,269 ,003 ,010
N 30 30 30 30 30
X2.4 Pearson Correlation ,283 ,157 ,525** 1 ,535**
Sig. (2-tailed) ,130 ,406 ,003 ,002
N 30 30 30 30 30
sumX2 Pearson Correlation ,785** ,643** ,464** ,535** 1

Sig. (2-tailed) ,000 ,000 ,010 ,002

N 30 30 30 30 30

**. Correlation is significant at the 0.01 level (2-tailed).

Keputusan pembelian

Correlations

Y1 Y2 Y3 sumY

Y1 Pearson Correlation 1 ,119 ,230 ,438*

Sig. (2-tailed) ,530 ,221 ,016

N 30 30 30 30
Y2 Pearson Correlation ,119 1 ,395* ,580**
Sig. (2-tailed) ,530 ,031 ,001
N 30 30 30 30
Y3 Pearson Correlation ,230 ,395* 1 ,881**
Sig. (2-tailed) ,221 ,031 ,000
N 30 30 30 30
sumY Pearson Correlation ,438* ,580** ,881** 1

Sig. (2-tailed) ,016 ,001 ,000


N 30 30 30 30

*. Correlation is significant at the 0.05 level (2-tailed).


**. Correlation is significant at the 0.01 level (2-tailed).

Relibilitasi

Kualitas produk

Case Processing Summary

N %

Cases Valid 30 100,0

Excludeda 0 ,0
Total 30 100,0

a. Listwise deletion based on all variables in the


procedure.

Reliability Statistics

Cronbach's
Alpha Based on
Cronbach's Standardized
Alpha Items N of Items

,331 ,336 4

Item Statistics

Mean Std. Deviation N

X1.1 4,1333 ,93710 30


X1.2 3,8333 1,01992 30
X1.3 4,1333 1,22428 30
sumX1 12,8667 1,27937 30

Inter-Item Correlation Matrix

X1.1 X1.2 X1.3 sumX1


X1.1 1,000 ,349 -,196 ,188
X1.2 ,349 1,000 -,175 ,300
X1.3 -,196 -,175 1,000 ,210
sumX1 ,188 ,300 ,210 1,000

Item-Total Statistics

Squared Cronbach's
Scale Mean if Scale Variance Corrected Item- Multiple Alpha if Item
Item Deleted if Item Deleted Total Correlation Correlation Deleted

X1.1 20,8333 5,178 ,156 ,158 ,290


X1.2 21,1333 4,671 ,229 ,209 ,211
X1.3 20,8333 5,454 -,040 ,135 ,522
sumX1 12,1000 3,197 ,413 ,177 -,104a

a. The value is negative due to a negative average covariance among items. This violates reliability
model assumptions. You may want to check item codings.

Scale Statistics

Mean Variance Std. Deviation N of Items

24,9667 6,723 2,59287 4

Promosi

Case Processing Summary

N %

Cases Valid 30 100,0


Excludeda 0 ,0

Total 30 100,0

a. Listwise deletion based on all variables in the


procedure.

Reliability Statistics

Cronbach's
Alpha Based on
Cronbach's Standardized
Alpha Items N of Items

,744 ,789 5
Item Statistics

Mean Std. Deviation N

X2.1 3,6000 1,06997 30


X2.2 3,5667 1,07265 30
X2.3 3,5667 1,13512 30
X2.4 3,9333 1,04826 30
sumX2 15,1000 2,96357 30

Inter-Item Correlation Matrix

X2.1 X2.2 X2.3 X2.4 sumX2

X2.1 1,000 ,535 ,136 ,283 ,785


X2.2 ,535 1,000 ,209 ,157 ,643
X2.3 ,136 ,209 1,000 ,525 ,464
X2.4 ,283 ,157 ,525 1,000 ,535
sumX2 ,785 ,643 ,464 ,535 1,000

Item-Total Statistics

Squared Cronbach's
Scale Mean if Scale Variance Corrected Item- Multiple Alpha if Item
Item Deleted if Item Deleted Total Correlation Correlation Deleted

X2.1 26,1667 24,971 ,671 ,688 ,675


X2.2 26,2000 25,959 ,565 ,463 ,701
X2.3 26,2000 26,786 ,444 ,410 ,727
X2.4 25,8333 26,626 ,514 ,436 ,714
sumX2 14,6667 8,989 ,873 ,824 ,639

Scale Statistics

Mean Variance Std. Deviation N of Items

29,7667 33,289 5,76962 5


Keputusan pembelian

Case Processing Summary

N %

Cases Valid 30 100,0

Excludeda 0 ,0

Total 30 100,0

a. Listwise deletion based on all variables in the


procedure.

Reliability Statistics

Cronbach's
Alpha Based on
Cronbach's Standardized
Alpha Items N of Items

,754 ,759 4

Item Statistics

Mean Std. Deviation N

Y1 4,1667 ,98553 30
Y2 3,5667 1,22287 30
Y3 3,7000 1,29055 30
sumY 11,7333 2,50425 30

Inter-Item Correlation Matrix

Y1 Y2 Y3 sumY

Y1 1,000 ,119 ,230 ,438


Y2 ,119 1,000 ,395 ,580
Y3 ,230 ,395 1,000 ,881
sumY ,438 ,580 ,881 1,000

Item-Total Statistics
Squared Cronbach's
Scale Mean if Scale Variance Corrected Item- Multiple Alpha if Item
Item Deleted if Item Deleted Total Correlation Correlation Deleted

Y1 19,0000 19,931 ,345 ,377 ,790


Y2 19,6000 17,352 ,500 ,463 ,730
Y3 19,4667 14,740 ,760 ,838 ,611
sumY 11,4333 6,254 ,911 ,895 ,509

Scale Statistics

Mean Variance Std. Deviation N of Items

23,1667 23,937 4,89252 4

Descriptive Statistics

Mean Std. Deviation N

Y 11,73 2,504 30
X1 12,87 1,279 30
X2 15,10 2,964 30
Correlations

Y X1 X2

Pearson Correlation Y 1,000 ,699 ,668

X1 ,699 1,000 ,577

X2 ,668 ,577 1,000


Sig. (1-tailed) Y . ,000 ,000
X1 ,000 . ,000
X2 ,000 ,000 .
N Y 30 30 30

X1 30 30 30

X2 30 30 30

Variables Entered/Removeda

Variables Variables
Model Entered Removed Method

1 X2, X1b . Enter

a. Dependent Variable: Y
b. All requested variables entered.

Model Summary

Adjusted R Std. Error of the


Model R R Square Square Estimate

1 ,771a ,594 ,564 1,654

a. Predictors: (Constant), X2, X1

ANOVAa

Model Sum of Squares df Mean Square F Sig.

1 Regression 107,984 2 53,992 19,731 ,000b

Residual 73,882 27 2,736

Total 181,867 29

a. Dependent Variable: Y
b. Predictors: (Constant), X2, X1
Coefficientsa

Standardized
Unstandardized Coefficients Coefficients

Model B Std. Error Beta T Sig.

1 (Constant) -5,168 3,115 -1,659 ,109

X1 ,920 ,294 ,470 3,129 ,004

X2 ,336 ,127 ,397 2,646 ,013

a. Dependent Variable: Y

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