Monte Carlo Simulation for Wealth Planning in Excel - Part 2

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  • Опубліковано 23 жов 2024

КОМЕНТАРІ • 13

  • @ASIFSADDIQUE
    @ASIFSADDIQUE Рік тому

    You're one of the greatest teacher on you tube... I've learned alot from your videos. Thank you alot, keep it up, may all of this sharing of knowledge to people, may Allah reward you in this world and world next.

  • @johnyjsl9219
    @johnyjsl9219 2 роки тому +1

    I enjoyed watching part 1 and 2.

  • @millrgenuine
    @millrgenuine 2 роки тому +2

    Thanks, great video! This looks like a good substitute for paid financial planning software!

  • @wajihchtiba34
    @wajihchtiba34 2 роки тому +1

    Thanks a lot !

  • @pradeepbapat
    @pradeepbapat 4 роки тому +1

    Hi, Equity would follow chi square distribution, how can we use that function and scenario? Pl guide

  • @peathcharoonart2655
    @peathcharoonart2655 2 роки тому

    So this can be done Monte Carlo simulation without any Add-in or pay right?

    • @FabianMoa
      @FabianMoa  2 роки тому

      Yes

    • @peathcharoonart2655
      @peathcharoonart2655 2 роки тому

      @@FabianMoa Thanks a lot but I'm confused in Part 1 about interpret the Percentile. Why each percentile you implied "chance of getting this value". I think the percentile it's only represent the position of data.

    • @FabianMoa
      @FabianMoa  2 роки тому

      The percentile can be interpreted as the probability/likelihood as well. It's called frequentist probability

    • @peathcharoonart2655
      @peathcharoonart2655 2 роки тому +1

      @@FabianMoa Oh I understand. You said this value "and below", I miss that word sorry ^^.

    • @FabianMoa
      @FabianMoa  2 роки тому

      @@peathcharoonart2655 No worries