Crises
Choose an economic scenario to simulate. Analyse, predict, and invest.
2008 Global Financial Crisis
Lehman Brothers has collapsed. Credit markets are freezing. The Fed faces a choice between emergency rate cuts and moral hazard. Analyse the contagion risk, predict which sectors collapse first, and protect your portfolio from systemic failure.
S&P 500 Impact
-38.5%
Fed Funds Rate
0.25%
Unemployment
10.0%
GDP Growth
-4.3%
UK Brexit Trade Shock
New tariff barriers disrupt UK-EU trade. Analyse the impact on sterling, inflation, and GDP growth.
Fed Rate Hike Cycle
The Federal Reserve raises rates 7 times in 18 months. Model capital flows from emerging markets to the US.
China Property Crisis
Evergrande defaults. Assess contagion to Chinese banks, commodity demand, and global supply chains.
Oil Supply Shock 1973
OPEC oil embargo triggers stagflation. Manage a portfolio during simultaneous high inflation and rising unemployment.
ECB Negative Rates
The ECB cuts deposit rates below zero. Predict the effect on eurozone bank profitability and lending.
COVID-19 Economic Collapse
Global lockdowns shut down supply and demand simultaneously. Predict government fiscal responses and recovery paths.
Indian Tech Boom
FDI inflows surge into Indian technology and services. Analyse rupee appreciation, Dutch disease risk, and current account dynamics.
Eurozone Sovereign Debt Crisis
Greece, Portugal, and Spain face bond market panic. Model the ECB's "whatever it takes" intervention.
Japan Deflation Trap
Two decades of deflation and near-zero growth. Evaluate Abenomics: fiscal stimulus, QE, and structural reform.
Emerging Market Currency Crisis
Rising USD and US rates trigger capital flight from Turkey and Argentina. Predict exchange rate collapses.
UK Cost-of-Living Crisis 2022
Energy price spikes drive UK inflation to 11.1%. Analyse Bank of England rate decisions and real wage compression.
Semiconductor Supply Chain Shock
TSMC faces a geopolitical disruption. Predict cascading effects on automotive, electronics, and defence sectors.
πΊπΈ Great Depression (1929β1939)
Wall Street crashes, banks collapse, and unemployment hits 25%. Analyse the worst economic downturn in US history and evaluate the New Deal response.
π Asian Financial Crisis (1997β1998)
Currency pegs collapse, banks fail, and capital flees. Analyse how the "Asian Tigers" fell into crisis and predict the short-run effects across Thailand, Indonesia, and South Korea.
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