📊 Practical SIP Analyzer with Random Loss Simulation

Portfolio Risk Profile

12%
Expected Return
15%
Risk (Std Dev)
-8%
Worst Case

📈 Normal Market

Expected returns with normal volatility

🚀 Bull Market

Higher returns, lower volatility

🐻 Bear Market

Lower returns, higher volatility

Loss Probability Settings

Best Case Corpus
₹ 0
Average Corpus
₹ 0
Worst Case Corpus
₹ 0
Success Rate
0%

Simulation Results (1000 runs)

Running simulation...