Simulate investment scenarios with different risk profiles

📊 Investment Options

📈

Stocks

High growth potential with higher volatility

Avg Return: 10% Risk: High
📋

Bonds

Stable income with lower returns

Avg Return: 5% Risk: Low
🏠

Real Estate

Tangible assets with moderate growth

Avg Return: 7% Risk: Medium

Cryptocurrency

High volatility with potential for large gains/losses

Avg Return: 20% Risk: Extreme
🥇

Commodities

Hedge against inflation with gold, silver, etc.

Avg Return: 4% Risk: Medium
Total Allocation: 100%

⚖️ Risk Assessment

Conservative Moderate Aggressive
Portfolio Risk Score: 0 /100

Expected Annual Return

0%

Volatility (Std Dev)

0%

Max Drawdown Risk

0%

Sharpe Ratio

0

⚙️ Simulation Parameters

🎯 Outcome Prediction

😟 Pessimistic (10th Percentile)

$0
0% total return

📊 Expected (50th Percentile)

$0
0% total return

🎉 Optimistic (90th Percentile)

$0
0% total return

Probability Analysis

Probability of profit: 0%
Probability of doubling investment: 0%
Probability of losing 20%+: 0%

📈 Visualized Results

📋 Investment Summary

Total Invested $0
Expected Final Value $0
Expected Profit $0
Inflation-Adjusted Value $0