HASIL OUTPUT SPSS. Reliability Scale: ALL VARIABLES
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1 139 HASIL OUTPUT SPSS Reliability Scale: ALL VARIABLES Case Processing Summary N % Cases Excluded a 0.0 Total a. Listwise deletion based on all variables in the procedure. Reliability Statistics Cronbach's N of Items Alpha Scale Mean if Item Deleted Item-Total Statistics Scale Variance Corrected Itemif Item Deleted Total Correlation Cronbach's Alpha if Item Deleted p p p p p p p p p p p p p Scale Statistics Mean Variance Std. Deviation N of Items
2 140 Reliability Scale: ALL VARIABLES Case Processing Summary N % Cases Excluded a 0.0 Total a. Listwise deletion based on all variables in the procedure. Reliability Statistics Cronbach's N of Items Alpha Scale Mean if Item Deleted Item-Total Statistics Scale Variance if Item Deleted Corrected Item- Total Correlation Cronbach's Alpha if Item Deleted s s s s s s s s s s s s s s Scale Statistics Mean Variance Std. Deviation N of Items
3 141 Reliability Scale: ALL VARIABLES Case Processing Summary N % Cases Excluded a 0.0 Total a. Listwise deletion based on all variables in the procedure. Reliability Statistics Cronbach's N of Items Alpha Scale Mean if Item Deleted Item-Total Statistics Scale Variance if Item Deleted Corrected Item- Total Correlation Cronbach's Alpha if Item Deleted K K K K K K K K K Scale Statistics Mean Variance Std. Deviation N of Items
4 142 Correlations y_tingkat_kepatuha n x1_tingkat_penget ahuan x2_sistem_adm_pe rpajakan Correlations y_tingkat_kepa tuhan x1_tingkat_pen getahuan x2_sistem_ad m_perpajakan Pearson Correlation **.635 ** Sig. (2-tailed) N Pearson Correlation.615 ** ** Sig. (2-tailed) N Pearson Correlation.635 **.570 ** 1 Sig. (2-tailed) N **. Correlation is significant at the 0.01 level (2-tailed). Regression Variables Entered/Removed a Model Variables Variables Method Entered Removed 1 x2_sistem_adm _perpajakan, x1_tingkat_peng etahuan b. Enter a. Dependent Variable: y_tingkat_kepatuhan b. All requested variables entered. Model Summary Model R R Square Adjusted R Square Std. Error of the Estimate a a. Predictors: (Constant), x2_sistem_adm_perpajakan, x1_tingkat_pengetahuan ANOVA a Model Sum of Squares df Mean Square F Sig. Regression b 1 Residual Total a. Dependent Variable: y_tingkat_kepatuhan b. Predictors: (Constant), x2_sistem_adm_perpajakan, x1_tingkat_pengetahuan Coefficients a Model Unstandardized Coefficients Standardized Coefficients t Sig. B Std. Error Beta (Constant) x1_tingkat_pengetahuan x2_sistem_adm_perpajak an a. Dependent Variable: y_tingkat_kepatuhan
5 143 Regression Variables Entered/Removed a Model Variables Variables Method Entered Removed 1 x2_sistem_adm _perpajakan, x1_tingkat_peng etahuan b. Enter a. Dependent Variable: y_tingkat_kepatuhan b. All requested variables entered. Model Summary b Model R R Square Adjusted R Std. Error of the Durbin-Watson Square Estimate a a. Predictors: (Constant), x2_sistem_adm_perpajakan, x1_tingkat_pengetahuan b. Dependent Variable: y_tingkat_kepatuhan ANOVA a Model Sum of Squares df Mean Square F Sig. Regression b 1 Residual Total a. Dependent Variable: y_tingkat_kepatuhan b. Predictors: (Constant), x2_sistem_adm_perpajakan, x1_tingkat_pengetahuan Coefficients a Model Unstandardized Coefficients Standardized Coefficients t B Std. Error Beta (Constant) x1_tingkat_pengetahuan x2_sistem_adm_perpajakan a. Dependent Variable: y_tingkat_kepatuhan Coefficients a Model Sig. Collinearity Statistics Tolerance VIF (Constant) x1_tingkat_pengetahuan x2_sistem_adm_perpajakan a. Dependent Variable: y_tingkat_kepatuhan Collinearity Diagnostics a Model Dimension Eigenvalue Condition Index Variance Proportions (Constant) x1_tingkat_peng etahuan x2_sistem_adm _perpajakan a. Dependent Variable: y_tingkat_kepatuhan
6 144 Residuals Statistics a Minimum Maximum Mean Std. Deviation N Predicted Value Std. Predicted Value Standard Error of Predicted Value Adjusted Predicted Value Residual Std. Residual Stud. Residual Deleted Residual Stud. Deleted Residual Mahal. Distance Cook's Distance Centered Leverage Value a. Dependent Variable: y_tingkat_kepatuhan Charts
7 145 NPar Tests One-Sample Kolmogorov-Smirnov Test x1_tingkat_pen getahuan x2_sistem_adm _perpajakan y_tingkat_kepat uhan N a,b Mean Normal Parameters Std. Deviation Absolute Most Extreme Differences Positive Negative Kolmogorov-Smirnov Z Asymp. Sig. (2-tailed) a. Test distribution is Normal. b. Calculated from data. NPar Tests One-Sample Kolmogorov-Smirnov Test Unstandardized Residual N 100 a,b Normal Parameters Mean 0E-7 Most Extreme Differences Std. Deviation Absolute.069 Positive.069 Negative Kolmogorov-Smirnov Z.690 Asymp. Sig. (2-tailed).728 a. Test distribution is Normal. b. Calculated from data.
8 146 Descriptives p1 STS TS RR S SS p2 STS TS RR S SS p3 STS TS RR S SS p4 STS TS RR S SS p5 STS TS RR S SS p6 STS TS RR S SS
9 147 p7 STS TS RR S SS p8 STS TS RR S SS p9 TS RR S SS p10 TS RR S SS p11 TS RR S SS p12 STS TS RR S SS
10 148 p13 STS TS RR S SS s1 STS TS RR S SS s2 STS TS RR S SS s3 STS TS RR S SS s4 STS TS RR S SS s5 STS TS RR S SS
11 149 s s s s s s
12 150 s s s K K K
13 151 K K K K K K
14 152 Frequencies Statistics x1_tingkat_pengetahuan N 100 Missing 0 Mean Std. Error of Mean.721 Median Mode 52 Std. Deviation Variance Range 38 Minimum 27 Maximum 65 Sum 5150 x1_tingkat_pengetahuan
15 153 Frequencies Statistics x2_sistem_adm_perpajakan N 100 Missing 0 Mean Std. Error of Mean Median Mode 56 Std. Deviation Variance Range 48 Minimum 22 Maximum 70 Sum 5210 x2_sistem_adm_perpajakan
16 x2_sistem_adm_perpajakan
17 155 Frequencies Statistics y_tingkat_kepatuhan N 100 Missing 0 Mean Std. Error of Mean.681 Median Mode 36 a Std. Deviation Variance Range 30 Minimum 15 Maximum 45 Sum 3595 a. Multiple modes exist. The smallest value is shown y_tingkat_kepatuhan
18 156
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