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    CALCULATORiQ™
    The $150–$200 Oil World

    Crisis Exposure Calculator

    Score your portfolio risk under oil shock scenarios based on asset allocation.

    Asset Allocation

    Total allocation
    100%

    Risk Score

    High Exposure

    52

    out of 100

    Estimated Portfolio Impact

    -9.9%

    Estimated drawdown at $150 oil

    Equity drawdown-5.8%
    Real estate impact-2.2%
    Crypto volatility-2.3%
    Bond buffer+0.4%

    Strategic Assessment

    Moderate to high exposure detected. Your bond allocation of 15% provides some buffer, but equity-heavy positioning at 40% leaves significant downside risk under sustained energy stress.

    Methodology: Drawdown estimates based on historical correlations between oil price spikes and asset class returns (1973, 1979, 1990, 2008, 2022). Equity sensitivity from MSCI World Index oil beta analysis. Real estate estimates from NCREIF Property Index energy cost pass-through. Crypto volatility from BIS digital asset correlation studies. Not investment advice.