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Understanding portfolio projections

I don't understand an apparent discrepancy between the Summary and graphed projections. If I enter in the "Regular Slightly Aggressive" portfolio $1000, 6.9%/yr, SD 12%, then the Summary for one year from now (2018/2/13) shows Good Case $1226 whereas the graph shows $48 profit (+ $1000 = $1048). Similarly, Average $1069 vs $1006; Bad Case $920 vs $964; and Worst Case $819 vs $932. Please explain, thanks.

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