Investment simulator
Model compounded growth across institutional strategies.
Indicative projections only. Returns are net-of-cost assumptions for three model allocations. Inflation is applied to derive real (purchasing-power) outcomes.
Investment horizon15 years
140
Annual inflation2.2%
08
Custom annual return8%
020
Projected at year 15
Conservative€1,107,342
Balanced€1,474,939
Aggressive€2,109,627
Custom€1,607,606
Nominal projection · EUR
Compounded annually · monthly contributions
Conservative · real
€798,948
Net of 2.2% inflation · 4.5% nominal p.a.
Balanced · real
€1,064,169
Net of 2.2% inflation · 7.2% nominal p.a.
Aggressive · real
€1,522,097
Net of 2.2% inflation · 10.5% nominal p.a.
Custom · real
€1,159,888
Net of 2.2% inflation · 8.0% nominal p.a.
Disclaimer: figures are illustrative model outputs and not investment advice. Past performance does not guarantee future results. Engage Kourounde Strategies for tailored portfolio analysis.
