Go beyond flat returns. Discover the realistic Highest, Lowest, and Average probabilities of your investments based on market history and chosen duration.
Years
Months
Select Fund Category
Small Cap
Mid Cap
Multi Cap
Large Cap
Aggressive Hybrid
Balanced Advantage
Equity Savings
Conservative Hybrid
Debt Fund
Custom Rate
Warning: Equity investments for less than 3 years are highly volatile. There is a high probability of capital loss.
Total Invested Amount
₹ 0
Projected Wealth Matrix
Probable Highest
Probability: 20%
₹ 0
+ ₹ 0 (Profit)
Est. Rate: 0%
Average Expected
Most Likely Scenario
₹ 0
+ ₹ 0 (Profit)
Est. Rate: 0%
Probable Lowest
Probability: 35%
₹ 0
- ₹ 0 (Loss)
Est. Rate: 0%
*Disclaimer: Mutual Fund investments are subject to market risks, read all scheme related documents carefully. The above matrix is based on historical rolling returns and standard deviations. It does not guarantee future performance.