Chevron Semi Deviation 
Chevron Corporation has current Semi Deviation of 0.0. Semideviation provides a good measure of downside risk for a equity or a portfolio. It is similar to standard deviation, but it only looks at periods where the returns are less than the target or average level.
Chevron 
 =  0.0 

Semi Deviation Comparison
Semideviation is the square root of semi variance. Semivariance is calculated by averaging the deviations of returns that have a result that is less than the mean.
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Chevron Corporationration, through its subsidiaries, engages in integrated energy, chemicals, and petroleum operations worldwide. more
Name  Chevron Corporation 
Instrument  USA Stock 
Region  North America 
Exchange  New York Stock Exchange 
CIK Number  00093410.0 
ISIN  US1667641005 
CUSIP  166764100 
Analyst Consensus  
Piotroski F Score  
Macroaxis Advice  
Bond Rating  BBB+Good 
Technical Indicators
All Chevron Technical Indicators
Cycle Indicators  
Math Operators  
Math Transform  
Momentum Indicators  
Overlap Studies  
Pattern Recognition  
Price Transform  
Statistic Functions  
Volatility Indicators  
Volume Indicators 
Risk Adjusted Performance  (0.05)  
Market Risk Adjusted Performance  (0.11)  
Mean Deviation  0.7495  
Coefficient Of Variation  (944.99)  
Standard Deviation  0.9469  
Variance  0.8967  
Information Ratio  (0.06)  
Jensen Alpha  (0.06)  
Total Risk Alpha  (0.01)  
Treynor Ratio  (0.12)  
Maximum Drawdown  3.42  
Value At Risk  (1.82)  
Potential Upside  1.42  
Skewness  (0.23)  
Kurtosis  (0.39) 