Paired Samples Statistics
Mean N Std. Deviation Std. Error Mean
Pair 1 VAR00001 11.8315 24 .65134 .13295
VAR00002 12.5121 24 .53025 .10824
Pair 2 VAR00001 11.8315 24 .65134 .13295
VAR00003 9.6524 24 .73858 .15076
Pair 3 VAR00002 12.5121 24 .53025 .10824
VAR00003 9.6524 24 .73858 .15076
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Paired Samples Correlations
N Correlation Sig.
Pair 1 VAR00001 & VAR00002 24 .256 .228
Pair 2 VAR00001 & VAR00003 24 .337 .107
Pair 3 VAR00002 & VAR00003 24 -.101 .638
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Paired Samples Test
Paired Differences
95% Confidence Interval of the Difference
Mean Std. Deviation Std. Error Mean Lower Upper t df Sig. (2-tailed)
Pair 1 VAR00001 - VAR00002 -.68057 .72716 .14843 -.98762 -.37351 -4.585 23 .000
Pair 2 VAR00001 - VAR00003 2.17907 .80319 .16395 1.83991 2.51822 13.291 23 .000
Pair 3 VAR00002 - VAR00003 2.85964 .95177 .19428 2.45774 3.26153 14.719 23 .000
你说的P值是最后的那个那个表的 sig(2-tailde)么?
或者看看第三个表的最后三列
t df sig.(2-tailde)
-27.636 24 0.000
3.290 24 0.003
25.108 24 0.000
帮忙看看这个,t、自由度、P值分别代表什么?