4. VARIABEL TRANSPARANSI KEBIJAKAN PUBLIK
Reliability Statistics
Cronbachs Alpha
Cronbachs Alpha Based on
Standardized Items
N of Items .719
.715 5
Summary Item Statistics
Mean Minimum
Maximum Range
Maximum Minimum
Variance N of
Items Item Means
3.795 3.605
4.079 .474
1.131 .032
5 Item Variances
.346 .237
.462 .225
1.949 .007
5 Inter-Item Covariances
.117 .053
.304 .252
5.784 .005
5 Inter-Item Correlations
.334 .175
.723 .548
4.143 .028
5
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Item-Total Statistics
Scale Mean if Item Deleted
Scale Variance if Item Deleted
Corrected Item- Total Correlation
Squared Multiple Correlation
Cronbachs Alpha if Item
Deleted transparansi 1
15.1842 2.911
.425 .272
.693 transparansi 2
15.3684 2.509
.515 .527
.658 transparansi 3
14.8947 3.286
.316 .141
.727 transparansi 4
15.2895 2.482
.622 .582
.609 transparansi 5
15.1579 2.785
.521 .334
.656
Scale Statistics
Mean Variance
Std. Deviation N of Items
18.9737 4.080
2.01999 5
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Lampiran 4. DESKRIPTIF STATISTIK
Descriptive Statistics
N Minimum
Maximum Mean
Std. Deviation kinerja dprd
38 30.00
49.00 39.5789
3.51546 political background
38 11.00
19.00 14.0000
1.67655 pengetahuan dewan
38 20.00
30.00 26.8421
2.28422 transparansi kebijkan publik
38 15.00
23.00 18.9737
2.01999 Valid N listwise
38
Correlations
kinerja dprd pengetahuan
dewan political
background transparansi
kebijkan publik Pearson
Correlation 1
.648 .238
.486
Sig. 2-tailed .000
.149 .002
kinerja dprd
N 38
38 38
38 Pearson
Correlation .648
1 .445
.556
Sig. 2-tailed .000
.005 .000
pengetahuan dewan
N 38
38 38
38 Pearson
Correlation .238
.445 1
.455 political background
Sig. 2-tailed .149
.005 .004
98
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N 38
38 38
38 Pearson
Correlation .486
.556 .455
1
Sig. 2-tailed .002
.000 .004
transparansi kebijkan publik
N 38
38 38
38 . Correlation is significant at the 0.01 level 2-tailed.
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Lampiran 5. PENGUJIAN ASUMSI KLASIK HIPOTESIS 1
1. UJI NORMALITAS
One-Sample Kolmogorov-Smirnov Test
Unstandardized Residual
N 38
Mean .0000000
Normal Parameters
a,,b
Std. Deviation 1.79889831
Absolute .116
Positive .078
Most Extreme Differences
Negative -.116
Kolmogorov-Smirnov Z .716
Asymp. Sig. 2-tailed .685
a. Test distribution is Normal.
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One-Sample Kolmogorov-Smirnov Test
Unstandardized Residual
N 38
Mean .0000000
Normal Parameters
a,,b
Std. Deviation 1.79889831
Absolute .116
Positive .078
Most Extreme Differences
Negative -.116
Kolmogorov-Smirnov Z .716
Asymp. Sig. 2-tailed .685
a. Test distribution is Normal. b. Calculated from data.
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2. UJI MULTIKOLINEARITAS