Stock Price Simulation Tool
π Dark Mode
π Number of Simulations:
β³ Time Period (Years):
π΅ Initial Deposit:
$
π° Additional Deposit:
$
π Deposit Frequency:
Daily
Monthly
Yearly
π Select Index:
Custom
S&P 500
NASDAQ
DOW JONES
FTSE 100
DAX
CAC 40
NIKKEI 225
SSE Composite
US 10-Year Treasury
EU 10-Year Bond
Japan 10-Year Bond
π Expected Return:
%
π Volatility:
%
π Select Model:
Geometric Brownian Motion (GBM)
Heston Model (Stochastic Volatility)
Jump-Diffusion Model
Monte Carlo Simulation (MCS)
Fama-French Factor Model
π Run Simulation
π Performance Summary
Year
Total Deposit
Optimistic Scenario
Average Scenario
Pessimistic Scenario
π Save as PDF