Built a Java application as part of a small team to simulate various investment strategies. Analyzed asset allocation and withdrawal rates to simulate stock market performance based on real historical data.
Stock Market Allocation and Withdrawal Simulator | Mentor Guided Research | January 2025 – April 2025 • Developed a simulation tool to model stock market investment strategies, focusing on asset allocation and withdrawal rates. • Analyzed long-term financial sustainability under various market conditions, incorporating historical data and statistical methods. • Refined the simulator to align with real-world financial models, improving accuracy in projecting portfolio outcomes. • Applied programming and quantitative analysis skills to enhance investment decision-making insights based on real-world historical S&P500 data. • Presented research with graphs and working program at Undergraduate Research Symposium