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14Portfolio & Markets

Portfolio Risk & Return Calculator

Estimate expected return and volatility for a custom mix of equities, bonds and cash.

Live instrument14 / Portfolio Risk & Return Calculator
60%
30%
10%
Expected return
6.20%
Expected volatility
9.95%
Risk / return map
Illustrative only. Based on simplified long-run assumptions and fixed correlations — not a substitute for a full risk analysis of your actual holdings.
14 / PDF

A 4-page PDF with your numbers, market context and next steps.

Why this page exists

Most financial advice starts with a product. Independent advice starts with arithmetic. These calculators let you verify the assumptions behind any proposal you receive — from a bank, an insurer or an advisor — before a single euro or dollar moves. Nothing is stored, nothing is sent anywhere: every calculation runs entirely in your browser.

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