LAMPIRAN
Tests of Normality
Kolmogorov-Smirnova Shapiro-Wilk
Statistic df Sig. Statistic df Sig.
Unstandardized
Residual .092 60 .200
*
.921 60 .001
*. This is a lower bound of the true significance.
a. Lilliefors Significance Correction
Model R R Square
Adjusted R Square
Std. Error of the Estimate
1 .558a .312 .287 3.871
a. Predictors: (Constant), Financial Knowledge (X2), Financial Satisfaction (X1)
b. Dependent Variable: Best Practice Financial Behavior (Y)
ANOVAb
Model Sum of Squares df Mean Square F Sig.
1 Regression 386.472 2 193.236 12.896 .000a
Residual 854.112 57 14.984
Total 1240.583 59
a. Predictors: (Constant), Financial Knowledge (X2), Financial Satisfaction (X1) b. Dependent Variable: Best Practice Financial Behavior (Y)
Coefficientsa
Model
Unstandardized Coefficients
Standardized Coefficients
t Sig.
Collinearity Statistics
B Std. Error Beta Tolerance VIF
1 (Constant) 17.721 4.891 3.623 .001
Financial Satisfaction (X1)
.612 .243 .321 2.525 .014 .747 1.338
Financial Knowledge (X2)
1.332 .524 .323 2.540 .014 .747 1.338
Distribusi Frekuensi dan Persentase Financial Satisfaction
Pertanyaan
STP
STP
TP
TP
KP
KP
P
P
SP
SP
Total
Total
f
%
f
%
f
%
f
%
f
%
f
%
x11
0.00
0.00
2.00
3.33
5.00
8.33
34.00 56.67 19.00 31.67 60.00 100.00
x12
0.00
0.00
2.00
3.33
10.00 16.67 30.00 50.00 18.00 30.00 60.00 100.00
x13
0.00
0.00
3.00
5.00
12.00 20.00 32.00 53.33 13.00 21.67 60.00 100.00
x14
0.00
0.00
4.00
6.67
13.00 21.67 26.00 43.33 17.00 28.33 60.00 100.00
x15
0.00
0.00
1.00
1.67
1.00
1.67
32.00 53.33 26.00 43.33 60.00 100.00
Distribusi Frekuensi dan Persentase Best Practice Financial Behaviour
Pertanyaan
STP
STP
TP
TP
KP
KP
P
P
SP
SP
Total
Total
f
%
f
%
f
%
f
%
f
%
f
%
y11
0.00
0.00
1.00
1.67
5.00
8.33
36.00 60.00 18.00 30.00 60.00 100.00
y12
0.00
0.00
2.00
3.33
7.00
11.67 31.00 51.67 20.00 33.33 60.00 100.00
y13
1.00
1.67
1.00
1.67
7.00
11.67 30.00 50.00 21.00 35.00 60.00 100.00
y14
0.00
0.00
3.00
5.00
2.00
3.33
30.00 50.00 25.00 41.67 60.00 100.00
y15
0.00
0.00
1.00
1.67
1.00
1.67
32.00 53.33 26.00 43.33 60.00 100.00
y16
2.00
3.33
1.00
1.67
8.00
13.33 31.00 51.67 18.00 30.00 60.00 100.00
y17
1.00
1.67
1.00
1.67
7.00
11.67 33.00 55.00 18.00 30.00 60.00 100.00
y18
0.00
0.00
1.00
1.67
2.00
3.33
30.00 50.00 27.00 45.00 60.00 100.00
y19
0.00
0.00
1.00
1.67
3.00
5.00
28.00 46.67 28.00 46.67 60.00 100.00
y110
0.00
0.00
1.00
1.67
2.00
3.33
31.00 51.67 26.00 43.33 60.00 100.00
Group Statistics
Institusi N Mean Std. Deviation Std. Error Mean
Best Practice Financial Behavior (Y)
Universitas Sumatera Utara 30 41.47 4.150 .758
Independent Samples Test
Levene's Test for Equality of
Variances t-test for Equality of Means
95% Confidence Interval of the
Difference
Difference Lower Upper
Uji Validitas dan Reliabilitas
Reliability Statistics
Cronbach's
Alpha N of Items
.920 15
Item-Total Statistics
Scale Mean if Item Deleted
Scale Variance if Item Deleted
Corrected Item-Total Correlation
Cronbach's Alpha if Item
Deleted
x11 58.5500 63.235 .652 .915
x12 58.7500 63.445 .473 .921
x13 59.0833 64.010 .444 .922
x14 58.8833 62.478 .506 .920
x15 58.4833 62.220 .724 .913
y11 58.6333 62.745 .638 .915
y12 58.6333 61.558 .697 .913
y13 58.5167 62.084 .640 .915
y14 58.5000 62.525 .701 .913
y15 58.4500 61.438 .787 .911
y16 58.7833 63.868 .535 .918
y17 58.7000 63.400 .590 .916
y18 58.4667 61.677 .722 .912
y19 58.5000 61.983 .703 .913