C
FinancialsCitigroup
SP500
BETA
1.6x
vs S&P 500
LIQUIDITY
92/100
exit ease
WORST CRISIS
-95%
2008 Global Financial Crisis
BEST RESULT
-8%
Bond Massacre 1994
AVG ACROSS ALL 7
-41%
historical crises
Crisis Performance History
7 historical scenarios2008 Global Financial Crisis
-95%COVID-19 Crash
-52%EU Debt Crisis 2011
-37%Dot-com Bust
-35%Black Monday 1987
-35%Rate Hike Cycle 2022
-27%Bond Massacre 1994
-8%Returns = peak-to-trough drawdown during each crisis. Pre-IPO periods use sector ETF proxy returns.
ARCHITECT ONLY
AI Crisis Commentary
Why C moves the way it does in each crisis — and what it means if you hold it.
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PORTFOLIO STRESS TEST
How does C affect your full portfolio?
Add C alongside your other holdings and see your combined loss across 18 crisis scenarios — including China–Taiwan invasion, US debt crisis, and SWIFT cyber attack.
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Historical data is educational only. Not financial advice. Past crisis returns do not predict future performance.