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Data Deskripsi

N Minimum Maximum Mean Std.


Deviation
Manajemen 28 -,090927 ,029001 -,02939894 ,033955380
Laba
Arus Kas 28 -,149590 ,323680 ,01309251 ,104476963
Bebas
Financial 28 ,693766 2,509101 1,54698136 ,609872113
Distress

2. Uji Klasik
2.1 Uji Multikolinearitas

Tolerance VIF
1 (Constant)
Financial Distress ,953 1,049

Arus Kas Bebas ,953 1,049

2.2 Uji Heteroskedastisitas

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2.3 Uji Autokorelasi

Durbin-Watson

2,124

2.4 Uji Normalitas


Unstandardized
Residual
N 28
Test Statistic ,061
Asymp. Sig. (2-tailed) ,200c,d

3. Analisis Regresi Linear Berganda

3.1 Uji Determinasi (𝑹𝟐 )

Adjusted R
Model Square
1 ,150

3.2 Uji Simultan atau Uji F

F Sig.

7,244 ,001b

x
3.3 Uji Parsial atau Uji T

Model Unstandardized T Sig


Coefficients
B
1 (Constant) -,043 -2,608 ,015
Financial Distress ,010 1,015 ,320
Arus Kas Bebas -,131 -2,247 ,034

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