Equity Portfolio Monte Carlo Simulation Investment Return Calculator   Excel template (XLSX)
$79.00

Equity Portfolio Monte Carlo Simulation Investment Return Calculator (Excel template (XLSX)) Preview Image
Equity Portfolio Monte Carlo Simulation Investment Return Calculator (Excel template (XLSX)) Preview Image
Equity Portfolio Monte Carlo Simulation Investment Return Calculator (Excel template (XLSX)) Preview Image
Equity Portfolio Monte Carlo Simulation Investment Return Calculator (Excel template (XLSX)) Preview Image
Flevy is the marketplace for business best practices.
Equity Portfolio Monte Carlo Simulation Investment Return Calculator (Excel template (XLSX)) Preview Image
Equity Portfolio Monte Carlo Simulation Investment Return Calculator (Excel template (XLSX)) Preview Image
Equity Portfolio Monte Carlo Simulation Investment Return Calculator (Excel template (XLSX)) Preview Image
Equity Portfolio Monte Carlo Simulation Investment Return Calculator (Excel template (XLSX)) Preview Image
Arrow   Click main image to view in full screen.

Equity Portfolio Monte Carlo Simulation Investment Return Calculator (Excel XLSX)

Excel (XLSX) + Excel (XLSX)

$79.00
This financial model is built by former Deloitte financial modeling professionals, accountants, and CFA charterholders. Their financial models have been used by over 4,000+ clients worldwide.
Add to Cart
  


Immediate download
Fully editable Excel
Free lifetime updates

DESCRIPTION

This product (Equity Portfolio Monte Carlo Simulation Investment Return Calculator) is an Excel template (XLSX) with a supplemental Excel document, which you can download immediately upon purchase.

Equity Portfolio Monte Carlo Simulation Investment is crucial for investors seeking to manage risk and optimize returns. It uses statistical models to simulate various market scenarios, providing insights into portfolio performance under different conditions. This helps in setting realistic expectations, adjusting asset allocations, and improving diversification. By assessing a range of outcomes, it enhances decision-making, mitigates potential losses, and maximizes long-term gains. In a volatile market, this strategy is invaluable for achieving financial goals while maintaining a balanced risk-reward profile, making it a cornerstone of modern investment management.

PURPOSE OF MODEL
User-friendly Excel model to calculate the expected value and return for a portfolio of equity investments using Monte Carlo simulation analysis. The model allows the user to specify individual equity investment holdings (up to 15 different currency holdings), expected return, expected standard deviation and the investment period to calculate a distribution of the expected total return and investment balance at the end of the investment period using Monte Carlo simulation.

The model uses Microsoft Excel Stock Data Type to automatically retrieve current/live and historical stock information to compute portfolio metrics/composition outputs and help determine / sense-check key projection assumptions including standard deviation and investment return. IMPORTANT: IN ORDER FOR STOCK DATA FUNCTION TO WORK, A MICROSOFT 365 SUBSCRIPTION IS REQUIRED.

The model follows best practice financial modelling principles and includes instructions, checks and input validations

KEY OUTPUTS
The key outputs include:
•  Distribution chart of investment balances at end of investment period;
•  Distribution chart of the total investment return over the investment period;
•  Chart showing investment holding breakdown for a single iteration across investment period;
•  Key results/ratios including average investment balance, average investment return, historic average return and historic standard deviation;
•  Table showing total investment balance and investment return across key percentiles
•  Table showing average development of investment balance over projection period.
•  Table and charts showing current portfolio composition and key metrics including historical price movement and volume charts.

KEY INPUTS
The key inputs include
•  Currency
•  Date of analysis
•  Projection years
•  Portfolio composition (tickers and current investment balance by holding)
•  Expected standard deviation
•  Expected average return
•  Expected inflation rates

MODEL STRUCTURE
The model contains, 6 tabs split into input ('i_'), calculation ('c_'), output ('o_') and system tabs. The tabs to be populated by the user is the input tab ('i_Inputs'). The calculation tabs use the user-defined inputs to calculate and produce the projection outputs which are presented in ‘o_Results'

System tabs include:
•  A 'Front Sheet' containing a disclaimer, instructions and contents;
•  A Checks dashboard containing a summary of checks by tab.

KEY FEATURES
Other key features of this model include the following:
•  The model follows best practice financial modelling guidelines and includes instructions, checks and input validations;
•  The model allows for a maximum remaining investment period of 5 years;
•  The model uses Monte Carlo analysis to simulate the investment return and balances for up to 1,000 iterations;
•  Portfolio composition (investment holdings), currency, calculation year are fully customisable;
•  The Model includes a prepopulated list containing the largest c.1500 stocks by market capitalisation across US, Europe and Asia Pacific, which can be extended by the model users if required;
•  The model includes instructions, checks and input validations to help ensure input fields are populated accurately;
•  The model includes a checks dashboard which summarises all the checks included in the various tabs making it easier to identify any errors.

Got a question about the product? Email us at support@flevy.com or ask the author directly by using the "Ask the Author a Question" form. If you cannot view the preview above this document description, go here to view the large preview instead.

Source: Best Practices in Monte Carlo Excel: Equity Portfolio Monte Carlo Simulation Investment Return Calculator Excel (XLSX) Spreadsheet, Projectify


$79.00
This financial model is built by former Deloitte financial modeling professionals, accountants, and CFA charterholders. Their financial models have been used by over 4,000+ clients worldwide.
Add to Cart
  

ABOUT THE AUTHOR

Author: Projectify
Additional documents from author: 119
Terms of usage (for all documents from this author)

We are financial modelling professionals, accountants and CFA charterholders with experience working within Deloitte supporting clients with their financial planning and decision support needs. Our aim is to provide robust and easy-to-use financial models that follow good practice financial modelling guidelines and assist individuals and businesses with key financial planning and analysis ... [read more]

Ask the Author a Question

Must be logged in

Did you know?
The average daily rate of a McKinsey consultant is $6,625 (not including expenses). The average price of a Flevy document is $65.




Trusted by over 10,000+ Client Organizations
Since 2012, we have provided best practices to over 10,000 businesses and organizations of all sizes, from startups and small businesses to the Fortune 100, in over 130 countries.
AT&T GE Cisco Intel IBM Coke Dell Toyota HP Nike Samsung Microsoft Astrazeneca JP Morgan KPMG Walgreens Walmart 3M Kaiser Oracle SAP Google E&Y Volvo Bosch Merck Fedex Shell Amgen Eli Lilly Roche AIG Abbott Amazon PwC T-Mobile Broadcom Bayer Pearson Titleist ConEd Pfizer NTT Data Schwab




Read Customer Testimonials

 
"I have used Flevy services for a number of years and have never, ever been disappointed. As a matter of fact, David and his team continue, time after time, to impress me with their willingness to assist and in the real sense of the word. I have concluded in fact "

– Roberto Pelliccia, Senior Executive in International Hospitality
 
"FlevyPro has been a brilliant resource for me, as an independent growth consultant, to access a vast knowledge bank of presentations to support my work with clients. In terms of RoI, the value I received from the very first presentation I downloaded paid for my subscription many times over! The "

– Roderick Cameron, Founding Partner at SGFE Ltd
 
"If you are looking for great resources to save time with your business presentations, Flevy is truly a value-added resource. Flevy has done all the work for you and we will continue to utilize Flevy as a source to extract up-to-date information and data for our virtual and onsite presentations!"

– Debbi Saffo, President at The NiKhar Group
 
"[Flevy] produces some great work that has been/continues to be of immense help not only to myself, but as I seek to provide professional services to my clients, it gives me a large "tool box" of resources that are critical to provide them with the quality of service and outcomes they are expecting."

– Royston Knowles, Executive with 50+ Years of Board Level Experience
 
"FlevyPro provides business frameworks from many of the global giants in management consulting that allow you to provide best in class solutions for your clients."

– David Harris, Managing Director at Futures Strategy
 
"As a consultant requiring up to date and professional material that will be of value and use to my clients, I find Flevy a very reliable resource.

The variety and quality of material available through Flevy offers a very useful and commanding source for information. Using Flevy saves me time, enhances my expertise and ends up being a good decision."

– Dennis Gershowitz, Principal at DG Associates
 
"Flevy is our 'go to' resource for management material, at an affordable cost. The Flevy library is comprehensive and the content deep, and typically provides a great foundation for us to further develop and tailor our own service offer."

– Chris McCann, Founder at Resilient.World
 
"I have found Flevy to be an amazing resource and library of useful presentations for lean sigma, change management and so many other topics. This has reduced the time I need to spend on preparing for my performance consultation. The library is easily accessible and updates are regularly provided. A wealth of great information."

– Cynthia Howard RN, PhD, Executive Coach at Ei Leadership


Your Recently Viewed Documents


Customers Also Like These Documents

Related Management Topics


Kanban Kanban Board Monte Carlo Cyber Security Theory of Constraints Scheduling Risk Management Governance Just in Time Business Architecture Digital Transformation Innovation Management Scrum

Download our FREE Strategy & Transformation Framework Templates

Download our free compilation of 50+ Strategy & Transformation slides and templates. Frameworks include McKinsey 7-S Strategy Model, Balanced Scorecard, Disruptive Innovation, BCG Experience Curve, and many more.