Sei sulla pagina 1di 5

1.

Uji Reliabilitas

 Budaya Organisasi (X1)


Reliability Statistics

Cronbach's
Alpha Based
on
Cronbach's Standardized
Alpha Items N of Items
,781 ,779 10

 Komitmen organisasi (X2)

Reliability Statistics

Cronbach's
Alpha Based
on
Cronbach's Standardized
Alpha Items N of Items
,796 ,801 5

 Kinerja (Y)

Reliability Statistics

Cronbach's
Alpha Based
on
Cronbach's Standardized
Alpha Items N of Items
,755 ,754 10
2. Uji Validitas

 Budaya Organisasi (X1)

Item-Total Statistics

Scale Corrected Squared Cronbach's


Scale Mean if Variance if Item-Total Multiple Alpha if Item
Item Deleted Item Deleted Correlation Correlation Deleted
X11 35,06 14,352 ,472 ,363 ,760
X12 35,15 15,253 ,380 ,296 ,771
X13 34,99 15,132 ,431 ,270 ,765
X14 35,15 14,032 ,507 ,411 ,755
X15 35,06 13,832 ,556 ,383 ,748
X16 35,09 13,215 ,594 ,378 ,742
X17 35,07 14,874 ,471 ,257 ,761
X18 34,92 15,250 ,329 ,217 ,778
X19 34,97 15,173 ,391 ,268 ,770
X110 34,97 15,002 ,354 ,258 ,775

 Komitmen Organisasi (X2)

Item-Total Statistics

Scale Corrected Squared Cronbach's


Scale Mean if Variance if Item-Total Multiple Alpha if Item
Item Deleted Item Deleted Correlation Correlation Deleted
X21 15,43 4,877 ,424 ,189 ,800
X22 15,61 3,930 ,499 ,263 ,794
X23 15,56 3,984 ,686 ,493 ,723
X24 15,40 3,865 ,687 ,507 ,720
X25 15,42 4,205 ,632 ,443 ,742

 Kinerja (Y)

Item-Total Statistics

Scale Corrected Squared Cronbach's


Scale Mean if Variance if Item-Total Multiple Alpha if Item
Item Deleted Item Deleted Correlation Correlation Deleted
Y1 35,13 12,704 ,347 ,176 ,744
Y2 35,17 12,688 ,386 ,243 ,739
Y3 35,12 11,600 ,556 ,366 ,714
Y4 35,08 12,325 ,398 ,186 ,737
Y5 35,03 12,203 ,464 ,269 ,728
Y6 35,12 12,789 ,336 ,155 ,745
Y7 35,14 12,413 ,373 ,255 ,741
Y8 35,24 12,263 ,380 ,236 ,740
Y9 35,17 11,695 ,523 ,328 ,719
Y10 34,91 12,432 ,401 ,244 ,737
3. Uji Asumsi Klasik

 Normalitas

Normal Q-Q Plot of X1

2
Expected Normal

-1

-2

-3

2.0 2.5 3.0 3.5 4.0 4.5 5.0

Observed Value

Normal Q-Q Plot of X2

2.5
Expected Normal

0.0

-2.5

2.0 2.5 3.0 3.5 4.0 4.5 5.0

Observed Value

Normal Q-Q Plot of Y

2
Expected Normal

-1

-2

-3

2.0 2.5 3.0 3.5 4.0 4.5 5.0

Observed Value
 Multikolinearitas

Coefficients(a)

Unstandardized Standardized
Coefficients Coefficients Collinearity Statistics

Model B Std. Error Beta t Sig. Tolerance VIF


1 (Constant) 1,315 ,154 8,555 ,000
X1 ,456 ,048 ,498 9,528 ,000 ,623 1,606
X2 ,209 ,040 ,271 5,187 ,000 ,623 1,606
a Dependent Variable: Y

 Heterokedastisitas

Scatterplot

Dependent Variable: Y

3
Regression Studentized Residual

-1

-2

-3

-4

-4 -3 -2 -1 0 1 2 3

Regression Standardized Predicted Value

4. Uji F

ANOVA(b)

Sum of
Model Squares df Mean Square F Sig.
1 Regression 21,898 2 10,949 143,258 ,000(a)
Residual 23,081 302 ,076
44,979 Total 304
a Predictors: (Constant), X2, X1
b Dependent Variable: Y
5. Uji t

Coefficients(a)

Unstandardized Standardized
Coefficients Coefficients

Model B Std. Error Beta t Sig.


1 (Constant) 1,315 ,154 8,555 ,000
X1 ,456 ,048 ,498 9,528 ,000
X2 ,209 ,040 ,271 5,187 ,000
a Dependent Variable: Y

6. Uji Koefision Determinan

Model Summary(b)

Adjusted R Std. Error of


Model R R Square Square the Estimate Durbin-Watson
1 ,698(a) ,487 ,483 ,27646 1,702
a Predictors: (Constant), X2, X1
b Dependent Variable: Y

7. Uji Korelasi

Correlations

X1 X2 Y
X1 Pearson Correlation 1 ,614(**) ,664(**)
Sig. (2-tailed) ,000 ,000
N 305 305 305
X2 Pearson Correlation ,614(**) 1 ,577(**)
Sig. (2-tailed) ,000 ,000
N 305 305 305
Y Pearson Correlation ,664(**) ,577(**) 1
Sig. (2-tailed) ,000 ,000
N 305 305 305
** Correlation is significant at the 0.01 level (2-tailed).

8. Persamaan Regresi

Diliat dari tabel coefficient (a) pada Unstandardized Coefficients kolom B, persamaan
regresi mendapatkan hasil : Y = 1,31 + 0,45(X1) + 0,20(X2)

Potrebbero piacerti anche