What-If Scenario Engine

    Pressure-test your portfolio against historical crashes, simulate goal variables, and stress-check tactical lumpsum deployment โ€” all powered by your live holdings & current market valuation.

    Portfolio Stress Test

    Pandemic shock โ†’ 38% drawdown in 30 days. Pharma & IT led recovery. Auto & realty lagged.

    Current Value

    โ‚น0

    Stressed Value

    โ‚น0

    Impact

    +0.0%

    Recovery

    8mo

    DADA Wisdom: Your portfolio's blended sector beta is 1.00x. Aggressive tilt amplifies the shock โ€” consider rebalancing into FMCG/Pharma. Historical recovery time: 8 months. SIPs through this period would compound at deep discounts.

    Projections use historical sector betas and assumed CAGR โ€” actual results vary. Investment DADA is operated by Koustav Biswas, AMFI-registered Mutual Fund Distributor (ARN-299493). This is educational guidance, not investment advice.