This project simulates wealth accumulation during the pre‑retirement phase using multiple financial return models. The goal is to compare deterministic and stochastic approaches to long‑term portfolio growth.
markov-chain monte-carlo-simulation portfolio-simulation retirement-planning stochastic-modeling semi-markov-decision-process financial-modeling regime-switching market-regimes multivariate-normal correlated-returns
-
Updated
Mar 12, 2026 - Python