g. Hasil Uji Hipotesis 7
Model Summary
Model R
R Square Adjusted R
Square Std. Error of the
Estimate 1
.788
a
.621 .597
.92244 a. Predictors: Constant, X6, X1, X4, X5, X3, X2
ANOVA
b
Model Sum of
Squares Df
Mean Square F
Sig. 1
Regression 135.004
6 22.501
26.444 .000
a
Residual 82.537
97 .851
Total 217.540
103 a. Predictors: Constant, X6, X1, X4, X5, X3, X2
b. Dependent Variable: Nilai Perusahaan Manufaktur
Coefficients
a
Model Unstandardized
Coefficients Standardized
Coefficients t
Sig. B
Std. Error Beta
1 Constant
-.586 .363
-1.612 .110
Dimensi Ekonomi dalam CSR
3.810 .882
.527 4.320
.000 Dimensi Lingkungan
dalam CSR -3.544
.942 -.434
-3.763 .000
Dimensi Tenaga Kerja dalam CSR
.775 .756
.098 1.025
.308 Dimensi HAM dalam
CSR -2.303
.703 -.235
-3.276 .001
Dimensi Sosial dalam CSR
5.558 .756
.652 7.351
.000 Dimensi Produk dalam
CSR .126
.437 .020
.288 .774
a. Dependent Variable: Nilai Perusahaan Manufaktur
Lampiran 10. Sumbangan Relatif dan Sumbangan Efektif
Correlations
X1 X2
X3 X4
X5 X6
Y X1
Pearson Correlation 1
.795 .625
.449 .683
.004 .583
Sig. 2-tailed .000
.000 .000
.000 .969
.000 Sum of Squares and Cross-
products 4.167
2.933 2.368
1.381 2.414
.019 17.557
Covariance .040
.028 .023
.013 .023
.000 .170
N 104
104 104
104 104
104 104
X2 Pearson Correlation
.795 1
.698 .380
.569 .195
.339 Sig. 2-tailed
.000 .000
.000 .000
.048 .000
Sum of Squares and Cross- products
2.933 3.267
2.344 1.035
1.782 .839
9.035 Covariance
.028 .032
.023 .010
.017 .008
.088 N
104 104
104 104
104 104
104 X3
Pearson Correlation .625
.698 1
.307 .495
.341 .381
Sig. 2-tailed .000
.000 .002
.000 .000
.000 Sum of Squares and Cross-
products 2.368
2.344 3.449
.859 1.593
1.509 10.449
Covariance .023
.023 .033
.008 .015
.015 .101
N 104
104 104
104 104
104 104
X4 Pearson Correlation
.449 .380
.307 1
.448 .054
.159 Sig. 2-tailed
.000 .000
.002 .000
.589 .106
Sum of Squares and Cross- products
1.381 1.035
.859 2.273
1.169 .193
3.547 Covariance
.013 .010
.008 .022
.011 .002
.034 N
104 104
104 104
104 104
104 X5
Pearson Correlation .683
.569 .495
.448 1
-.014 .708
Sig. 2-tailed .000
.000 .000
.000 .889
.000 Sum of Squares and Cross-
products 2.414
1.782 1.593
1.169 2.996
-.057 18.069
Covariance .023
.017 .015
.011 .029
.000 .175
N 104
104 104
104 104
104 104
X6 Pearson Correlation
.004 .195
.341 .054
-.014 1
-.050 Sig. 2-tailed
.969 .048
.000 .589
.889 .611
Sum of Squares and Cross- products
.019 .839
1.509 .193
-.057 5.691
-1.776 Covariance
.000 .008
.015 .002
.000 .055
-.017 N
104 104
104 104
104 104
104 Y
Pearson Correlation .583
.339 .381
.159 .708
-.050 1
Sig. 2-tailed .000
.000 .000
.106 .000
.611 Sum of Squares and Cross-
products 17.557
9.035 10.449
3.547 18.069
-1.776 217.540 Covariance
.170 .088
.101 .034
.175 -.017
2.112 N
104 104
104 104
104 104
104 . Correlation is significant at the 0.01 level 2-tailed.
. Correlation is significant at the 0.05 level 2-tailed.