Assumption:
Portfolio Type | Return (Mean) | Risk (Standard Deviation) |
---|---|---|
Aggressive | %9.4324 | 15.675 |
Very Conservative | %6.189 | 6.3438 |
- Number of simulations = 10,000
- Each simulation projected over 20 years
- Initial investment = $100,000
- Inflation adjusted at the rate of 3.5% each year
Result output:
Portfolio Type | Median 20th Year | 10% Best Case | 10% Worst Case |
---|---|---|---|
Aggressive | $242,808.79 | $550,705.73 | $104,562.57 |
Very Conservative | $159,252.65 | $222,087.47 | $112,517.18 |