Wealth Nerve Portfolio Backtester

Portfolio Analyzer & Backtester

Select your asset allocation to see how ₹1,00,000 would have performed over the last 10 years.

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Total allocation must equal 100%. Currently: 0%
0.0% CAGR
0.0% Volatility (Risk)
0.0 Sharpe Ratio
0.0% Max Drawdown

1. The Logic (Behind the Scenes)

We are calculating the portfolio’s combined return year by year.

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