Portfolio Growth with Monte Carlo Simulation
Initial Capital [€]
Monthly Savings [€]
Annual Return (μ, p.a.)
Volatility (σ, p.a.)
Savings Elasticity (Δ €/month)
Stress Test (halve μ, double σ across horizon)
Time Horizon [years]
Number of Simulations
Target Probability
Target Value [€]
Target Date
Savings Elasticity (Horizon Uplift)