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1. Target Asset
Calculated Historical CAGR8.80%
Volatility (Std Dev)±17.91%
2. Investment Plan
$
$
3. Simulation Settings
%
Simulation Std Deviations
%
%
Estimated Ending Balance (2036)
CA$494,559.30
Projection based on an annual rate of 8.80%
Total Compound Gain
+CAD 364,559
Total Capital InvestedCAD 130,000
Continuous Returns Visualization (S&P 500 ETF (SPY))
Continuous path from historical real returns to future simulations.
Real Historical Return
Base
Agg / Cons
Invested
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