Level up your finance game.
Finicade turns finance into play — a growing arcade of bite-size, gamified worlds, from your first paycheck to the CFA. One account, every game, completely free. New to finance? There's a cabinet built just for you.
▶ Available now
Money Basics
Never took a finance class? Start here. Where your paycheck goes, how saving actually sticks, how interest grows (or eats) your money, and what stocks and bonds really are. 6 levels, zero jargon.
Stat Dojo
Statistics is how you tell signal from noise — and almost no one is taught it well. Start with plain data (averages, spread, histograms), meet chance and the bell curve, then earn your black belt in the big idea: how a small sample tells you about the whole world. Low on formulas, high on intuition. 26 levels across five worlds.
Math Masters
Every finance formula is built from the same handful of ideas — compounding, slopes, areas, bell curves and vectors. Meet them visually, so the equations in every other game finally read like sentences. 18 levels across four worlds and four exams.
Macro & Markets
Rates, inflation, central banks and the business cycle — the complete macroeconomics course, built on Blanchard. Assemble the IS-LM machine, tame the Phillips curve, grow an economy with Solow, open it to the world, then take the policy chair. 27 levels across six worlds.
Capital Quarters
The three questions every firm faces: which projects to invest in, how to finance them, and what to return to shareholders. Built on Brealey, Myers & Allen — value cash flows, price risk with the CAPM, build a WACC, weigh debt against equity with Modigliani–Miller, and set a payout policy. Assumes you can read a statement and reason about risk. 25 levels across five worlds.
Hull Street
How traders lock in tomorrow's prices today: futures and options from first principles, building up to Black–Scholes — the formula that prices them. 21 levels and three end-of-world exams.
Mind Over Markets
Markets are made of people, and people are predictably irrational. Built on Kahneman's Thinking, Fast and Slow — with Thaler and Shiller alongside — this course walks through the mental shortcuts and emotional reflexes that drive real decisions: anchoring, loss aversion, overconfidence, herding, bubbles. Low on math, high on real vignettes. 24 levels across four worlds, ending in a diagnose-the-bias boss.
Order Flow
Every other course treats the price as a number that exists. This one asks where it comes from. Start at the limit order book — how orders queue, match and cancel — then work out why a spread exists at all: the market maker who quotes it is paid for adverse selection and inventory risk, not for the service. Learn to read order flow for information, then to trade against it without paying for the privilege. 24 levels across four worlds, ending in the chair behind the quotes.
Quant Quest
The deep end: the mathematics behind the trading floor — risk-neutral pricing, Black–Scholes and the structured products built on them. 40 levels, a boss-fight spiral review, and a final trading-desk simulation.
Charter Climb
The whole CFA Level I curriculum — finance's flagship professional exam — as a game: ethics, quant methods, economics, financial analysis, the asset classes and portfolio management. 32 levels across four worlds and four exams.
Regression Range
Econometrics is where statistics meets the real world — the craft of estimating cause and effect from messy, non-experimental data. Start with a single line of best fit and what its slope really means, add controls to hold everything else equal, learn when your standard errors and t-tests can be trusted, and finish by modelling data through time. Built on Wooldridge. 24 levels across four worlds, ending at the range.
Risk Arena
How much could we lose tomorrow? Build the one number every bank reports — value at risk — then stress it, backtest it and learn exactly how it fails. 20 levels through the engine room of modern risk management.
🗺️ On the roadmap
More finance worlds in the works — the arcade keeps growing.
CFA® Level II
Asset valuation in depth: equity, fixed income, derivatives and alternatives, applied to realistic vignettes.
CFA® Level III
Portfolio management and wealth planning — construct, hedge and rebalance under real-world constraints.
Reading the Books
Decode income statements, balance sheets and cash flows; spot the story (and the red flags) inside any 10-K.