Nghiên cứu sự lựa chọn chính sách kế toán của doanh nghiệp có vốn đầu tư nước ngoài trên địa bàn tỉnh Bình Dương - 16

Descriptive Statistics


N

Minimum

Maximum

Mean

Std. Deviation

MVN1

150

1.00

5.00

3.7467

.84493

MVN2

150

1.00

5.00

3.7333

.92444

MVN3

150

1.00

5.00

3.7533

.86650

MVN4

150

1.00

5.00

3.7200

.95622

Valid N (listwise)

150





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Descriptive Statistics


N

Minimum

Maximum

Mean

Std. Deviation

CSKT1

150

1.00

5.00

3.3467

1.26908

CSKT2

150

1.00

5.00

3.5867

1.17117

CSKT3

150

1.00

5.00

3.7267

1.06119

Valid N (listwise)

150





2. Kết quả thang do hệ số tin cậy Cronbach Alpha


Reliability Statistics

Cronbach's Alpha

N of Items

.870

4

Item-Total Statistics


Scale Mean if Item Deleted

Scale Variance if Item Deleted

Corrected Item-

Total Correlation

Cronbach's

Alpha if Item Deleted

THUE1

11.0400

9.448

.754

.822

THUE2

11.3200

9.360

.710

.841

THUE3

11.0667

9.110

.821

.794

THUE4

10.8133

10.811

.616

.874


Reliability Statistics

Cronbach's Alpha

N of Items

.715

4

Item-Total Statistics


Scale Mean if Item Deleted

Scale Variance if Item Deleted

Corrected Item-

Total Correlation

Cronbach's

Alpha if Item Deleted

NCTT1

11.1333

4.385

.577

.611

NCTT2

11.4200

3.735

.523

.649

NCTT3

10.9667

4.636

.545

.634

NCTT4

11.2000

4.752

.399

.711

Reliability Statistics

Cronbach's Alpha

N of Items

.848

4


Item-Total Statistics


Scale Mean if Item Deleted

Scale Variance if Item Deleted

Corrected Item- Total Correlation

Cronbach's Alpha if Item Deleted

TTHL1

9.1067

9.921

.672

.813

TTHL2

8.9133

9.556

.748

.779

TTHL3

8.9133

10.227

.696

.802

TTHL4

8.7067

10.437

.628

.831


Reliability Statistics

Cronbach's Alpha

N of Items

.902

4


Item-Total Statistics


Scale Mean if Item Deleted

Scale Variance if Item Deleted

Corrected Item- Total

Correlation

Cronbach's Alpha if Item

Deleted

TĐNVKT1

9.9733

12.657

.787

.871

TĐNVKT2

9.9600

12.186

.838

.852

TĐNVKT3

10.1200

13.449

.733

.890

TĐNVKT4

10.1667

13.173

.764

.879


Reliability Statistics

Cronbach's Alpha

N of Items

.832

4

Item-Total Statistics


Scale Mean if Item Deleted

Scale Variance if Item Deleted

Corrected Item-

Total Correlation

Cronbach's

Alpha if Item Deleted

KHTT1

8.3800

10.412

.794

.723

KHTT2

7.8600

13.262

.492

.859

KHTT3

8.2933

11.699

.659

.789

KHTT4

8.5467

11.793

.714

.765


Reliability Statistics

Cronbach's Alpha

N of Items

.870

4


Item-Total Statistics


Scale Mean if Item Deleted

Scale Variance if Item Deleted

Corrected Item- Total

Correlation

Cronbach's Alpha if Item

Deleted

MVN1

11.2067

5.695

.718

.836

MVN2

11.2200

5.126

.795

.804

MVN3

11.2000

5.517

.747

.825

MVN4

11.2333

5.509

.642

.868


Reliability Statistics

Cronbach's Alpha

N of Items

.844

3


Item-Total Statistics


Scale Mean if Item Deleted

Scale Variance if Item Deleted

Corrected Item- Total Correlation

Cronbach's Alpha if Item Deleted

CSKT1

7.3133

4.163

.699

.800

CSKT2

7.0733

4.538

.698

.794

CSKT3

6.9333

4.801

.745

.758


3. Kết quả phân tích khám phá EFA


KMO and Bartlett's Test

Kaiser-Meyer-Olkin Measure of Sampling Adequacy.

.746

Approx. Chi-Square

1934.917

Bartlett's Test of Sphericity df

276

Sig.

.000

Total Variance Explained

Component

Initial

Eigenvalues

Extraction Sums of Squared Loadings

Rotation Sums of Squared Loadings

Total

% of

Variance

Cumulativ

e %

Total

% of

Variance

Cumulative

%

Total

% of

Variance

Cumulative

%

1

4.960

20.667

20.667

4.960

20.667

20.667

3.201

13.336

13.336

2

3.561

14.836

35.503

3.561

14.836

35.503

2.983

12.429

25.765

3

2.615

10.894

46.397

2.615

10.894

46.397

2.937

12.236

38.001

4

2.263

9.427

55.825

2.263

9.427

55.825

2.865

11.936

49.937

5

1.941

8.089

63.914

1.941

8.089

63.914

2.728

11.367

61.303

6

1.625

6.769

70.683

1.625

6.769

70.683

2.251

9.380

70.683

7

.901

3.754

74.437







8

.705

2.938

77.375







9

.629

2.622

79.998







10

.555

2.312

82.310







11

.539

2.248

84.558







12

.488

2.032

86.590







13

.451

1.880

88.470







14

.447

1.861

90.331







15

.360

1.502

91.833







16

.344

1.434

93.267







17

.282

1.175

94.442







18

.253

1.052

95.495







19

.235

.978

96.473







20

.213

.888

97.361







21

.200

.834

98.195







22

.164

.684

98.878







23

.147

.613

99.491







24

.122

.509

100.000







Extraction Method: Principal Component Analysis.



Rotated Component Matrixa


Component

1

2

3

4

5

6

TĐNVKT2

.889






TĐNVKT4

.862


TĐNVKT1

.848


TĐNVKT3

.805


MVN2


.880

MVN3


.878

MVN1


.836

.203

.752





THUE3



.885




THUE1



.845




THUE4



.795




THUE2



.784

.257



TTHL2




.861



TTHL3




.848



TTHL1




.802



TTHL4

-.265



.729



KHTT1





.879


KHTT3





.853


KHTT4





.848


KHTT2



.212


.589

.219

NCTT1






.801

NCTT3






.789

NCTT2


.200




.695

NCTT4






.619

MVN4

Extraction Method: Principal Component Analysis. Rotation Method: Varimax with Kaiser Normalization.

a. Rotation converged in 6 iterations.


KMO and Bartlett's Test

Kaiser-Meyer-Olkin Measure of Sampling Adequacy.

.726

Approx. Chi-Square

188.489

Bartlett's Test of Sphericity df

3

Sig.

.000


Total Variance Explained

Component

Initial

Eigenvalues

Extraction Sums of Squared Loadings

Total

% of Variance

Cumulative %

Total

% of Variance

Cumulative %

1

2.301

76.692

76.692

2.301

76.692

76.692

2

.388

12.939

89.631




3

.311

10.369

100.000




Extraction Method: Principal Component Analysis.

Component Matrixa


Component

1

CSKT3 CSKT2 CSKT1

.893

.867

.867

Extraction Method: Principal Component Analysis.

a. 1 components extracted.


Correlations


X1

X2

X3

X4

X5

X6

Y


Pearson Correlation

1

-.143

.252**

-.153

.113

-.221**

.630**

X1

Sig. (2-tailed)


.081

.002

.062

.168

.007

.000


N

150

150

150

150

150

150

150


Pearson Correlation

-.143

1

-.126

.169*

.188*

.098

-.103

X2

Sig. (2-tailed)

.081


.124

.039

.021

.234

.208


N

150

150

150

150

150

150

150


Pearson Correlation

.252**

-.126

1

-.247**

.043

-.107

.469**

X3

Sig. (2-tailed)

.002

.124


.002

.600

.194

.000


N

150

150

150

150

150

150

150


Pearson Correlation

-.153

.169*

-.247**

1

.250**

.245**

-.223**

X4

Sig. (2-tailed)

.062

.039

.002


.002

.002

.006


N

150

150

150

150

150

150

150


Pearson Correlation

.113

.188*

.043

.250**

1

.028

.316**

X5

Sig. (2-tailed)

.168

.021

.600

.002


.736

.000


N

150

150

150

150

150

150

150


Pearson Correlation

-.221**

.098

-.107

.245**

.028

1

-.232**

X6

Sig. (2-tailed)

.007

.234

.194

.002

.736


.004


N

150

150

150

150

150

150

150


Pearson Correlation

.630**

-.103

.469**

-.223**

.316**

-.232**

1

Y

Sig. (2-tailed)

.000

.208

.000

.006

.000

.004



N

150

150

150

150

150

150

150

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

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


Model Summaryb

Model

R

R Square

Adjusted R Square

Std. Error of the Estimate

Durbin-Watson

1

.761a

.580

.565

.67376

1.598

a. Predictors: (Constant), X6, X5, X3, X1, X4

b. Dependent Variable: Y



ANOVAa

Model

Sum of Squares

df

Mean Square

F

Sig.


Regression

90.149

5

18.030

39.717

.000b

1

Residual

65.369

144

.454




Total

155.518

149




a. Dependent Variable: Y

b. Predictors: (Constant), X6, X5, X3, X1, X4


Coefficientsa

Model

Unstandardized Coefficients

Standardize

d Coefficients

t

Sig.

Collinearity

Statistics

B

Std. Error

Beta

Tolerance

VIF


(Constant)

.974

.435


2.239

.027




X1

.492

.058

.489

8.482

.000

.880

1.137


1

X3

X4

.292

-.112

.057

.052

.295

-.129

5.133

-2.167

.000

.032

.886

.820

1.128

1.220


X5

.237

.048

.282

4.970

.000

.908

1.101


X6

-.092

.076

-.069

-1.213

.227

.905

1.105

a. Dependent Variable: Y



048 282 4 970 000 908 1 101 X6 092 076 069 1 213 227 905 1 105 a Dependent Variable Y 1


048 282 4 970 000 908 1 101 X6 092 076 069 1 213 227 905 1 105 a Dependent Variable Y 2


048 282 4 970 000 908 1 101 X6 092 076 069 1 213 227 905 1 105 a Dependent Variable Y 3

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