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Lampiran 1 Data Sampel Penelitian Perusahaan Manufaktur Sektor Industri Barang Konsumsi Tahun 2010-2012 No
Kode
Nama Emiten
1
ADES
PT Akasha Wira Internasional Tbk
2
AISA
PT Tiga Pilar Sejahtera Food Tbk
3
CEKA
PT Cahaya Kalbar Tbk
4
DLTA
PT Delta Djakarta Tbk
5
INDF
PT Indofood Sukses Makmur Tbk
6
MYOR
PT Mayora Indah Tbk
7
DVLA
PT Darya Varia Laboratoria Tbk
8
ROTI
PT Nippon Indosari Corporindo Tbk
9
HMSP
PT Hanjaya Mandala Sampoerna Tbk
10
STTP
PT Siantar Top Tbk
11
GGRM
Gudang Garam Tbk
12
MERK
PT Merck Tbk
13
PYFA
PT Pyridam Farma Tbk
14
TSCP
PT Tempo Scan Pasific Tbk
15
UNVR
PT Unilever Indonesia Tbk
16
TCID
PT Mandom Indonesia Tbk
Analisis Uji Statistik Deskriptif Descriptive Statistics N
Minimum
Maximum
Mean
Std. Deviation
BTD
48
-.0009
.0174
.003340
.0033095
LPBTD
48
-.0009
.0174
.187500
.3944428
LNBTD
48
.0174
-.0009
.187500
.3944428
PTCF
48
.0043
.5802
.203256
.1514590
PTCACC
48
-.0140
.2778
.064608
.0644632
PTBIt
48
.0474
.5396
.192913
.1413625
PTBIt+1
48
.0551
1.2280
.517731
.3789576
Valid N (listwise)
48
Uji Normalitas Data One-Sample Kolmogorov-Smirnov Test Unstandardized Residual N
48 Mean
Normal Parameters
.000000
a,b
Std. Deviation
Most Extreme Differences
.3126215
Absolute
.104
Positive
.104
Negative
-.085
Kolmogorov-Smirnov Z
.721
Asymp. Sig. (2-tailed)
.675
a. Test distribution is Normal. b. Calculated from data.
Uji Multikolonieritas Data Model
Unstandardized
Standardized
Coefficients
Coefficients
Collinearity Statistics t
Std. Error
B (Constant)
Beta
.435
.108
-7.000
14.974
LPBTD
.354
LNBTD PTCF
Tolerance
VIF
4.037
.000
-.061
-.467
.643
.948
1.055
.132
.369
2.691
.010
.990
1.000
.187
.140
.195
1.341
.187
.766
1.305
.473
.509
.189
.930
.358
.392
2.551
PTCACC
2.394
.819
.407
2.924
.006
.835
1.197
PTBIt
-.934
.553
-.349
-1.690
.098
.381
2.625
BTD
1
Sig.
a. Dependent Variable: PTBIt+1
Uji Autokorelasi Model
R
R Square
Adjusted R Square
Std. Error of the
Durbin-Watson
Estimate 1
.565
a
.319
.238
a. Predictors: (Constant), BTD, LPBTD, LNBTD, PTCF, PTCACC, PTBIt b. Dependent Variable: PTBIt+1
.3307068
1.694
Hasil Uji Koefisien Determinasi Data Model
R
R
Adjusted R Square
Std. Error of the Estimate
Square .565a
1
.319
.238
.3307068
a. Predictors: (Constant), BTD, LPBTD, LNBTD, PTCF, PTCACC, PTBIt b. Dependent Variable: PTBIt+1
Hasil Uji Statistik F ANOVA Sum of Squares
Model
1
a
Mean Square
df
Regression
2.156
5
.431
Residual
4.593
42
.109
Total
6.750
47
a. Dependent Variable: PTBIt+1 (Y1) b. a. Predictors: (Constant), BTD, LPBTD, LNBTD, PTCF, PTCACC, PTBIt
F 3.943
Sig. b
.005
Hasil Statistik T
a
Coefficients Model
Unstandardized
Standardized
Coefficients
Coefficients t
B (Constant)
.435
.108
-7.000
14.974
LPBTD
.354
LNBTD PTCF
Beta 4.037
.000
-.061
-.467
.643
.132
.369
2.691
.010
.187
.140
.195
1.341
.187
.473
.509
.189
.930
.358
PTCACC
2.394
.819
.407
2.924
.006
PTBIt
-.934
.553
-.349
-1.690
.098
BTD
1
Std. Error
Sig.
a. Dependent Variable: PTBIt+1