Các nhân tố ảnh hưởng đến quyết định chọn ngân hàng để gửi tiền tiết kiệm của khách hàng cá nhân tại khu vực thành phố Hồ Chí Minh - 17



Bảng số 21c: Component Matrixa


Component

1

YDGT1 YDGT2

YDGT3

.870

.864

.850

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Các nhân tố ảnh hưởng đến quyết định chọn ngân hàng để gửi tiền tiết kiệm của khách hàng cá nhân tại khu vực thành phố Hồ Chí Minh - 17

Extraction Method: Principal Component Analysis.

a. 1 components extracted.


Bảng số 22: Ma trận các hệ số tương quan

Correlations


YDGT

SAT

STT

DNNV

SDC

AHXH

NBTH

PTHH

LITC

YDGT Pearson Correlation

1

.522**

.439**

.363**

.616**

-.151*

.470**

-.103

.476**

Sig. (2-tailed)


.000

.000

.000

.000

.030

.000

.142

.000

N

206

206

206

206

206

206

206

206

206

SAT Pearson Correlation

.522**

1

.331**

.268**

.446**

-.098

.381**

.010

.459**

Sig. (2-tailed)

.000


.000

.000

.000

.162

.000

.887

.000

N

206

206

206

206

206

206

206

206

206

STT Pearson Correlation

.439**

.331**

1

.247**

.316**

-.110

.488**

.116

.340**

Sig. (2-tailed)

.000

.000


.000

.000

.115

.000

.096

.000

N

206

206

206

206

206

206

206

206

206

DNNV Pearson Correlation

.363**

.268**

.247**

1

.240**

-.020

.247**

.034

.229**

Sig. (2-tailed)

.000

.000

.000


.001

.775

.000

.627

.001

N

206

206

206

206

206

206

206

206

206

SDC Pearson Correlation

.616**

.446**

.316**

.240**

1

-.062

.383**

-.121

.410**

Sig. (2-tailed)

.000

.000

.000

.001


.378

.000

.084

.000

N

206

206

206

206

206

206

206

206

206

AHXH Pearson Correlation

-.151*

-.098

-.110

-.020

-.062

1

-.107

-.003

-.066

Sig. (2-tailed)

.030

.162

.115

.775

.378


.128

.971

.347

N

206

206

206

206

206

206

206

206

206

NBTH Pearson Correlation

.470**

.381**

.488**

.247**

.383**

-.107

1

.032

.322**

Sig. (2-tailed)

.000

.000

.000

.000

.000

.128


.648

.000

N

206

206

206

206

206

206

206

206

206

PTHH Pearson Correlation

-.103

.010

.116

.034

-.121

-.003

.032

1

-.020

Sig. (2-tailed)

.142

.887

.096

.627

.084

.971

.648


.777

N

206

206

206

206

206

206

206

206

206

LITC Pearson Correlation

.476**

.459**

.340**

.229**

.410**

-.066

.322**

-.020

1

Sig. (2-tailed)

.000

.000

.000

.001

.000

.347

.000

.777


N

206

206

206

206

206

206

206

206

206

**. Correlation is significant at the 0.01 level (2-tailed).

*. Correlation is significant at the 0.05 level (2-tailed).


Bảng số 23: Kết quả phân tích hồi qui lần thứ 1

Model Summaryb


Model


R


R Square

Adjusted R Square

Std. Error of the Estimate


Durbin-Watson

1

.744a

.554

.535

.51293

1.937

a. Predictors: (Constant), LITC, PTHH, AHXH, DNNV, NBTH, SDC, STT, SAT

b. Dependent Variable: YDGT


ANOVAb

Model

Sum of Squares

df

Mean Square

F

Sig.

1

Regression

64.264

8

8.033

30.533

.000a


Residual

51.830

197

.263




Total

116.093

205




a. Predictors: (Constant), LITC, PTHH, AHXH, DNNV, NBTH, SDC, STT, SAT

b. Dependent Variable: YDGT


Coefficientsa


Model

Unstandardized Coefficients

Standardized Coefficients


t


Sig.


Collinearity Statistics

B

Std. Error

Beta

Tolerance

VIF

1

(Constant)

.700

.629


1.112

.268




SAT

.149

.051

.171

2.923

.004

.664

1.505


STT

.177

.075

.135

2.360

.019

.691

1.448


DNNV

.146

.053

.141

2.777

.006

.879

1.138


SDC

.391

.065

.347

6.031

.000

.684

1.461


AHXH

-.139

.090

-.074

-1.536

.126

.981

1.019


NBTH

.167

.078

.123

2.126

.035

.673

1.487


PTHH

-.147

.085

-.085

-1.737

.084

.956

1.046


LITC

.103

.044

.131

2.318

.021

.707

1.414

a. Dependent Variable:

YDGT


Model Summaryb


Model


R


R Square

Adjusted R Square

Std. Error of the Estimate


Durbin-Watson

1

.736a

.541

.527

.51731

1.896

a. Predictors: (Constant), LITC, DNNV, NBTH, SDC, STT, SAT

b. Dependent Variable: YDGT


ANOVAb

Model

Sum of Squares

df

Mean Square

F

Sig.

1

Regression

62.838

6

10.473

39.135

.000a


Residual

53.255

199

.268




Total

116.093

205




a. Predictors: (Constant), LITC, DNNV, NBTH, SDC, STT, SAT

b. Dependent Variable: YDGT


Coefficientsa


Model

Unstandardized Coefficients

Standardized Coefficients


t


Sig.


Collinearity


Statistics

B

Std. Error

Beta

Tolerance

VIF

1

(Constant)

-.567

.310


-1.828

.069




SAT

.150

.051

.172

2.920

.004

.667

1.499


STT

.166

.075

.127

2.222

.027

.706

1.417


DNNV

.141

.053

.136

2.662

.008

.880

1.136


SDC

.409

.065

.363

6.337

.000

.703

1.423


NBTH

.171

.079

.127

2.164

.032

.674

1.483


LITC

.105

.045

.134

2.342

.020

.708

1.413

a. Dependent Variable: YDGT

Correlations



ABSRES

_2


SAT


STT


DNNV


SDC


AHXH


NBTH


PTHH


LITC

Spearm an's rho

ABSRE Correlation S_2 Coefficient

Sig. (2-tailed) N

1.000

-.079

.118

.088

.017

.008

-.177*

.072

-.103


.

.260

.091

.207

.814

.910

.011

.301

.141


206

206

206

206

206

206

206

206

206


SAT

Correlation Coefficient

Sig. (2-tailed)

N

-.079

1.000

.345**

.289**

.466**

-.094

.374**

-.016

.485**


.260

.

.000

.000

.000

.181

.000

.819

.000


206

206

206

206

206

206

206

206

206


STT

Correlation Coefficient

Sig. (2-tailed)

N

.118

.345**

1.000

.260**

.318**

-.116

.492**

.061

.318**


.091

.000

.

.000

.000

.098

.000

.381

.000


206

206

206

206

206

206

206

206

206


DNNV

Correlation Coefficient

Sig. (2-tailed)

N

.088

.289**

.260**

1.000

.211**

-.055

.271**

.050

.231**


.207

.000

.000

.

.002

.430

.000

.479

.001


206

206

206

206

206

206

206

206

206


SDC

Correlation Coefficient

Sig. (2-tailed)

N

.017

.466**

.318**

.211**

1.000

-.085

.368**

-.116

.430**


.814

.000

.000

.002

.

.226

.000

.097

.000


206

206

206

206

206

206

206

206

206


AHXH

Correlation Coefficient

Sig. (2-tailed)

N

.008

-.094

-.116

-.055

-.085

1.000

-.112

-.035

-.062


.910

.181

.098

.430

.226

.

.108

.615

.375


206

206

206

206

206

206

206

206

206


NBTH

Correlation Coefficient

Sig. (2-tailed)

N

-.177*

.374**

.492**

.271**

.368**

-.112

1.000

-.022

.309**


.011

.000

.000

.000

.000

.108

.

.753

.000


206

206

206

206

206

206

206

206

206


PTHH

Correlation Coefficient

Sig. (2-tailed)

N

.072

-.016

.061

.050

-.116

-.035

-.022

1.000

-.081


.301

.819

.381

.479

.097

.615

.753

.

.247


206

206

206

206

206

206

206

206

206


LITC

Correlation Coefficient

Sig. (2-tailed) N

-.103

.485**

.318**

.231**

.430**

-.062

.309**

-.081

1.000


.141

.000

.000

.001

.000

.375

.000

.247

.


206

206

206

206

206

206

206

206

206

*. Correlation is significant at the 0.05 level (2-tailed).

**. Correlation is significant at the 0.01 level (2-tailed).



Levene's Test for Equality of Variances


t-test for Equality of Means




F


Sig.


t


df


Sig. (2-

tailed)


Mean Difference


Std. Error Difference



HL

Equal variances assumed


.093


.761


-.513


204


.609


-.05394


.10523

Equal variances not assumed




-.514


202.573


.608


-.05394


.10503

Independent Samples Test


Bảng số 27: So sánh ý định lựa chọn ngân hàng giữa các độ tuổi

Test of Homogeneity of Variances

Dotuoi

Levene Statistic

df1

df2

Sig.


1.555

9

196

.131

ANOVA

Độ tuổi







Sum of Squares

df

Mean Square

F

Sig.

Between Groups

7.468

9

.830

1.016

.429

Within Groups

160.085

196

.817



Total

167.553

205





Bảng số 28: So sánh ý định lựa chọn ngân hàng giữa nghề nghiệp khác nhau

Test of Homogeneity of Variances

nghenghiep

Levene Statistic

df1

df2

Sig.


1.469

9

196

.162

ANOVA

Nghe nghiep







Sum of Squares

df

Mean Square

F

Sig.

Between Groups

21.575

9

2.397

.988

.452

Within Groups

475.784

196

2.427



Total

497.359

205




Test of Homogeneity of Variances

Thunhap

Levene Statistic

df1

df2

Sig.


.871

9

196

.552

ANOVA

Thu nhập







Sum of Squares

df

Mean Square

F

Sig.

Between Groups

5.833

9

.648

1.059

.395

Within Groups

119.914

196

.612



Total

125.748

205




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