Model Summary: Dimension0

Download as docx, pdf, or txt
Download as docx, pdf, or txt
You are on page 1of 8

17/296

Model Summary

Model R Adjusted R
R Square Square Std. Error of the Estimate
a
dimension0
1 .862 .742 .726 9.832

a. Predictors: (Constant), Sugars, Sodium, Fiber, Carbs

R square: 0.742
Adjusted R square: 0.726 => the regression line have a strongly fit with the dataset.

ANOVAb

Model Sum of Squares df Mean Square F Sig.

1 Regression 17263.888 4 4315.972 44.652 .000a

Residual 5992.829 62 96.659

Total 23256.716 66

a. Predictors: (Constant), Sugars, Sodium, Fiber, Carbs


b. Dependent Variable: Calories

F= 44.652, p < 0.001


 There is a Regression line.

Coefficientsa

Model Standardized
Unstandardized Coefficients Coefficients Collinearity Statistics

B Std. Error Beta t Sig. Tolerance VIF

1 (Constant) 21.891 8.967 2.441 .017

Sodium .024 .016 .104 1.495 .140 .852 1.174

Fiber .659 .600 .088 1.098 .276 .648 1.544

Carbs 3.433 .462 .706 7.427 .000 .460 2.173

Sugars 3.941 .363 .926 10.854 .000 .571 1.750

a. Dependent Variable: Calories

Unstandardized regression model:


21.891 + 0.024 * Sodium + 0.659 * Fiber+ 3.433 * Carbs + 3.941 * Sugars
t = 1.495, p=.240 < 0.05 => significant
t = 1.098, p=.276 < 0.05 => significant
t= 7.427, p = .000<0.05 => Not significant
t= 10.854, p= 0.000 < 0.05 => Not significant
Standardized regression model:
0.104 * Sodium + 0.088 *Fiber + 0.706 * Carbs + 0.926 * Sugars

Collinearity Diagnosticsa

Model Dimension Condition Variance Proportions

Eigenvalue Index (Constant) Sodium Fiber Carbs Sugars

1 1 4.019 1.000 .00 .01 .01 .00 .01

2 .580 2.632 .00 .01 .54 .00 .02

dimension0 dimension1
3 .271 3.849 .00 .04 .01 .02 .42

4 .119 5.810 .02 .90 .01 .04 .00

5 .011 19.162 .98 .04 .43 .93 .55

a. Dependent Variable: Calories

Conclusion: Calories has a positive relationship with all the variables above

18/297

Descriptive Statistics

Mean Std. Deviation N

Current Salary 33632.60 17289.552 100


Previous Experience (months) 95.61 105.477 100
Education (years) 13.22 2.718 100
Beginning Salary 16938.60 8347.829 100

Correlations

Previous
Experience
Current Salary (months) Education (years) Beginning Salary

Pearson Correlation Current Salary 1.000 .017 .563 .887

Previous Experience (months) .017 1.000 -.164 .123

Education (years) .563 -.164 1.000 .525

Beginning Salary .887 .123 .525 1.000


Sig. (1-tailed) Current Salary . .431 .000 .000
Previous Experience (months) .431 . .051 .112
Education (years) .000 .051 . .000
Beginning Salary .000 .112 .000 .
N Current Salary 100 100 100 100

Previous Experience (months) 100 100 100 100

Education (years) 100 100 100 100


Beginning Salary 100 100 100 100

Model Summary

Model R R Square Adjusted R Square Std. Error of the Estimate


a
dimension0
1 .896 .803 .797 7790.875

a. Predictors: (Constant), Beginning Salary, Previous Experience (months), Education


(years)

R square = 0.803
Adjusted R square = 0.797 =>=> the regression line have a strongly fit with the dataset.

ANOVAb

Model Sum of Squares df Mean Square F Sig.

1 Regression 2.377E10 3 7.922E9 130.521 .000a


Residual 5.827E9 96 6.070E7

Total 2.959E10 99

a. Predictors: (Constant), Beginning Salary, Previous Experience (months), Education (years)


b. Dependent Variable: Current Salary

F= 130.521, p <0.05
There are Regression lines
Coefficientsa

Model Standardized
Unstandardized Coefficients Coefficients Collinearity Statistics

B Std. Error Beta t Sig. Tolerance VIF

1 (Constant) -4139.238 4203.358 -.985 .327

Previous Experience (months) -10.907 7.771 -.067 -1.404 .164 .913 1.096

Education (years) 719.122 351.734 .113 2.045 .044 .671 1.490

Beginning Salary 1.730 .114 .835 15.203 .000 .679 1.472

a. Dependent Variable: Current Salary

Unstandardized model:
-4139,238 + 1,730*BeginningSalary + -10,907*Previous Experience (months) + 719,122*Education
(years)
t= -1.404, p= .164 > .05=> Not significant
t = 2.045, p=.044< 0.05 => Significant
t = 15.203, p = 0.000 < 0.05 => Significant
Standardized model:
0,835*BeginningSalary -0,067*Previous Experience (months) + 0,113*Education (years)

Collinearity Diagnosticsa

Model Dimension Variance Proportions

Condition Previous Experience Beginning


Eigenvalue Index (Constant) (months) Education (years) Salary

1 1 3.400 1.000 .00 .03 .00 .01

2 .472 2.684 .00 .86 .01 .02


dimension0 dimension1

3 .113 5.480 .08 .00 .02 .76

4 .015 14.816 .91 .11 .97 .21

a. Dependent Variable: Current Salary

Conclusion: Previous Experience has negative correlation with the Current salary.
Education and Beginning salary have positive correlation with the current salary.
b) Unstandardized model:
-4139,238 + 1,730*BeginningSalary
t= -1.404, p= 0.164 > 0.05=> Not significant
t = 2.045, p=0.044< 0.05 => Significant
t = 15.203, p = 0.000 < 0.05 => Significant

Standardized model:

0,835*BeginningSalary

21/296
Descriptive Statistics

Mean Std. Deviation N

Won 81.00 11.005 30


Runs 710.27 76.072 30
Hits 1418.47 73.731 30
Doubles 282.87 26.237 30
Triples 28.87 8.106 30
Home Runs 153.77 33.518 30
Runs Batted In 676.27 74.763 30
Earned Run Average 4.0730 .41921 30
Strike Outs 1143.53 130.986 30
Walks 525.93 63.247 30

Correlations
Earned
Home Runs Run Strike
Won Runs Hits Doubles Triples Runs Batted In Average Outs Walks

Pearson Won 1.000 .785 .446 .333 .212 .438 .758 -.682 -.232 .533
Correlation Runs .785 1.000 .684 .606 .359 .727 .995 -.163 .001 .678

Hits .446 .684 1.000 .434 .210 .350 .653 .088 -.417 .206

Doubles .333 .606 .434 1.000 .119 .563 .617 .136 .136 .420

Triples .212 .359 .210 .119 1.000 .069 .385 .021 .297 .416

Home Runs .438 .727 .350 .563 .069 1.000 .759 .086 .204 .310

Runs Batted In .758 .995 .653 .617 .385 .759 1.000 -.126 .049 .670

Earned Run -.682 -.163 .088 .136 .021 .086 -.126 1.000 .188 -.241
Average

Strike Outs -.232 .001 -.417 .136 .297 .204 .049 .188 1.000 .357

Walks .533 .678 .206 .420 .416 .310 .670 -.241 .357 1.000
Sig. (1-tailed) Won . .000 .007 .036 .130 .008 .000 .000 .108 .001
Runs .000 . .000 .000 .026 .000 .000 .195 .498 .000
Hits .007 .000 . .008 .133 .029 .000 .322 .011 .137
Doubles .036 .000 .008 . .265 .001 .000 .237 .236 .010
Triples .130 .026 .133 .265 . .359 .018 .456 .055 .011
Home Runs .008 .000 .029 .001 .359 . .000 .326 .139 .048
Runs Batted In .000 .000 .000 .000 .018 .000 . .254 .398 .000
Earned Run .000 .195 .322 .237 .456 .326 .254 . .160 .100
Average
Strike Outs .108 .498 .011 .236 .055 .139 .398 .160 . .027
Walks .001 .000 .137 .010 .011 .048 .000 .100 .027 .
N Won 30 30 30 30 30 30 30 30 30 30

Runs 30 30 30 30 30 30 30 30 30 30

Hits 30 30 30 30 30 30 30 30 30 30

Doubles 30 30 30 30 30 30 30 30 30 30

Triples 30 30 30 30 30 30 30 30 30 30

Home Runs 30 30 30 30 30 30 30 30 30 30

Runs Batted In 30 30 30 30 30 30 30 30 30 30

Earned Run 30 30 30 30 30 30 30 30 30 30
Average

Strike Outs 30 30 30 30 30 30 30 30 30 30

Walks 30 30 30 30 30 30 30 30 30 30
Variables Entered/Removedb

Model Variables
Variables Entered Removed Method

1 Walks, Hits, Earned Run Average, Home Runs, Triples, Doubles, Strike Outs, Runs Batted In, . Enter
a
Runs
dimension0

a. All requested variables entered.


b. Dependent Variable: Won

Model Summary

Model R R Square Adjusted R Square Std. Error of the Estimate

dimension0
1 .980a .960 .941 2.665

a. Predictors: (Constant), Walks, Hits, Earned Run Average, Home Runs, Triples, Doubles, Strike Outs, Runs Batted In,
Runs

R square: 0.96
Adjusted R square: 0.941 => => the regression line have a strongly fit with the dataset.

ANOVAb

Model Sum of Squares df Mean Square F Sig.

1 Regression 3369.981 9 374.442 52.731 .000a

Residual 142.019 20 7.101

Total 3512.000 29

a. Predictors: (Constant), Walks, Hits, Earned Run Average, Home Runs, Triples, Doubles, Strike Outs, Runs Batted In,
Runs
b. Dependent Variable: Won

F= 52.731, p < .001


 There is a Regression line

Coefficientsa

Model Standardized
Unstandardized Coefficients Coefficients Collinearity Statistics

B Std. Error Beta t Sig. Tolerance VIF

1 (Constant) 106.925 16.040 6.666 .000

Runs .146 .099 1.011 1.478 .155 .004 231.562

Hits -.034 .016 -.227 -2.096 .049 .172 5.798

Doubles .013 .026 .030 .484 .633 .524 1.909

Triples .015 .088 .011 .166 .870 .476 2.100


Home Runs -.050 .039 -.151 -1.276 .217 .145 6.912

Runs Batted In .009 .097 .059 .089 .930 .005 213.198

Earned Run Average -13.033 1.621 -.496 -8.041 .000 .530 1.885

Strike Outs -.013 .006 -.149 -1.992 .060 .361 2.773

Walks -.032 .018 -.181 -1.737 .098 .186 5.375

a. Dependent Variable: Won

Unstandardized model:
106.925 + .146*RUNS-.34*HITS+.13*DOUBLES+.15*TRIPLES-.5*HOME RUNS+.009*RUNS
BATTED IN-13.033*EARNED RUN AVERAGE-.013*STRIKE OUTS-.032*WALKS
t= 1.478 p=.155 > .05 => Not significant
t=-2.096 p=.049 < .05 => Significant
t=.484 p = .633 >.5=> Not significant
t=.166 p = .87 >.05=> Not significant
t=-1.276 p= .217>.05=> Not significant
t=.089 p= .930 >.05=> Not significant
t=-8.041 p= .000 <.05 => Significant
t= -1.992 p= .060 >.05=> Not significant
t=-1.737 p= .098 > .05 => Not significant
Standardized model :
0. 1.011*RUNS-.-.227*HITS+.484*DOUBLES+.166*TRIPLES-.1.276*HOME RUNS+.089*RUNS BATTED
IN-8.041*EARNED RUN AVERAGE-.1.992*STRIKE OUTS-.1.737*WALKS
Conclusion: Runs, doubles, triples, runs batted in are positively correlate to wins
Hits, Home runs, earned run average, strike outs, walks are negatively correlate to wins.

Collinearity Diagnosticsa

Model Dimensio Variance Proportions


n Earned
Condition Triple Home Runs Run Strike
Eigenvalue Index (Constant) Runs Hits Doubles s Runs Batted In Average Outs Walks

dimension0
1 dimension1
1 9.868 1.000 .00 .00 .00 .00 .00 .00 .00 .00 .00 .00

2 .061 12.671 .00 .00 .00 .00 .45 .01 .00 .00 .00 .00

3 .034 16.928 .00 .00 .00 .00 .03 .09 .00 .03 .01 .00

4 .016 25.206 .00 .00 .00 .00 .05 .08 .00 .06 .05 .03

5 .012 28.137 .00 .00 .00 .00 .06 .00 .00 .06 .17 .05

6 .004 50.688 .02 .00 .01 .88 .01 .01 .00 .00 .01 .00

7 .003 54.080 .04 .00 .01 .09 .02 .00 .00 .56 .08 .22
8 .001 102.591 .30 .01 .00 .01 .24 .51 .01 .02 .60 .37

9 .000 174.008 .61 .01 .78 .01 .01 .28 .02 .13 .08 .23

10 2.563E-5 620.510 .02 .99 .20 .01 .13 .02 .97 .13 .01 .09

a. Dependent Variable: Won

You might also like