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RiskModels / Stocks / CVX

Chevron Corporation (CVX)

Daily ERM3 factor decomposition: how much of CVX's variance is explained by the market, its sector, and its subsector — and the ETF notionals that would neutralize each layer.

Price
$211.57
Market cap
$421.4B
23-day vol
21.5%
Sector proxy
XLE
Subsector proxy
IYE

Risk DNA

78% of CVX's variance is systematic (explainable by market, sector, and subsector factors); the rest is stock-specific.

Market 4.7%Sector 73.8%Subsector 0.0%Stock-specific 21.5%
IYE subsector peers · average of 11 names

CVX carries 21% stock-specific risk against a peer average of 58% — less of what happens here is specific to this name than is typical for its cohort.

Subsector (-1.2%) covaried negatively with CVX over this window, offsetting its variance rather than adding to it. Clamped to 0% for the bar and the remaining layers renormalized, so the percentages above sum to 100.

ETF hedge ratios

Dollars of ETF to short per $1 of CVX held — executable hedge weights, not regression betas. L1 hedges market only; L3 adds sector and subsector layers.

LevelMarket (SPY)Sector (XLE)Subsector (IYE)Explained risk
L1$0.82——4.8%
L2$0.58$-0.83—79.4%
L3$0.58$-0.33$-0.5878.3%

Data as of September 18, 2026. Updated daily from the ERM3 pipeline.

13F filers holding CVX

From the most recent quarterly 13F filings in our tracked filer universe, largest reported position first.

  • Berkshire Hathaway4.9%
  • Beacon Pointe Advisors1.3%

Browse every tracked 13F filer.

Go deeper on CVX

Ask the AI risk analyst for CVX's full history, peer comparison, or how it changes your portfolio's risk.

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Checking session...
RiskModels / Stocks / CVX

Chevron Corporation (CVX)

Daily ERM3 factor decomposition: how much of CVX's variance is explained by the market, its sector, and its subsector — and the ETF notionals that would neutralize each layer.

Price
$211.57
Market cap
$421.4B
23-day vol
21.5%
Sector proxy
XLE
Subsector proxy
IYE

Risk DNA

78% of CVX's variance is systematic (explainable by market, sector, and subsector factors); the rest is stock-specific.

Market 4.7%Sector 73.8%Subsector 0.0%Stock-specific 21.5%
IYE subsector peers · average of 11 names

CVX carries 21% stock-specific risk against a peer average of 58% — less of what happens here is specific to this name than is typical for its cohort.

Subsector (-1.2%) covaried negatively with CVX over this window, offsetting its variance rather than adding to it. Clamped to 0% for the bar and the remaining layers renormalized, so the percentages above sum to 100.

ETF hedge ratios

Dollars of ETF to short per $1 of CVX held — executable hedge weights, not regression betas. L1 hedges market only; L3 adds sector and subsector layers.

LevelMarket (SPY)Sector (XLE)Subsector (IYE)Explained risk
L1$0.82——4.8%
L2$0.58$-0.83—79.4%
L3$0.58$-0.33$-0.5878.3%

Data as of September 18, 2026. Updated daily from the ERM3 pipeline.

13F filers holding CVX

From the most recent quarterly 13F filings in our tracked filer universe, largest reported position first.

  • Berkshire Hathaway4.9%
  • Beacon Pointe Advisors1.3%

Browse every tracked 13F filer.

Go deeper on CVX

Ask the AI risk analyst for CVX's full history, peer comparison, or how it changes your portfolio's risk.

Ask the analyst about CVXAnalyze your portfolio

Local-First Data Policy — Your holdings are resolved locally against our Security Master. Data never leaves your machine.

The Engine
  • Developers
  • API
  • SDK
  • CLI
The Science
  • What's inside
  • Artifact gallery
  • Methodology wiki ↗
  • Glossary
  • ERM3 overview
  • SEC Filing Calendar
  • 13F Filers
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Informational use only — not investment advice. Blue Water Macro Corp.

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© 2026 RiskModels · Blue Water Macro Corp.|System Status:Operational|Holdings-based.

Informational use only — not investment advice. Blue Water Macro Corp.