NLE - THE BIRD SYSTEM
Wealth Creation, Simplified

SIP Scenario Simulator

Visualise how SIP portfolios build resilience over time

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SIP Settings
Monthly SIP AmountPer instalment
Frequency
Number of Years
10 years
1yr 5yr 10yr 15yr 20yr 25yr
Market Scenario
Annual return per year (%)
Combined CAGR over 10 years
Nifty 50 long-run CAGR: ~12–13%
Test Correction
Market Correction at End
−20%
−5% −20% −35% −50%
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Configure your scenario and click Run Simulation to see your portfolio's resilience across time.

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Sister Tool
The SIP Timing Paradox →
This tool varies scenarios; that one varies the calendar day on real Nifty 50 prices. Day-of-month barely matters. Regime does.
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Companion Calculator
Investment Calculator →
Once you've picked a scenario here, run a smooth-CAGR projection on the same inputs — lump-sum, monthly SIP, or step-up — and see what a constant 12% would have produced on the same horizon. The honest comparison to scenario reality.

See Also