Asset Forecasts & Expected Returns to 2030
Based on historical data and scenario modeling. Forecast horizon focuses on long-term outcomes through 2030.
Explore data-driven forecasts for stocks, crypto, ETFs, indexes, forex, and commodities. Compare expected annual returns, estimated 2030 prices, and risk levels using conservative, realistic, and optimistic scenarios. Use the Forecast Hub to find assets and open detailed forecast pages for deeper analysis.
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Market insights
Based on historical performance and risk metrics
Top opportunities (by expected return)
Stocks
View all →Top growth range: 13.80% - 14.36%
Crypto
View all →Top growth range: 25.00% - 25.00%
ETFs
View all →Top growth range: 11.00% - 11.00%
Indexes
View all →Top growth range: 11.72% - 13.00%
Commodities
View all →Top growth range: 6.00% - 6.00%
Most stable assets
Low drawdown • capital preservation
- Euro / Danish Krone EURDKK ↑ 0.08% -0.7% Low Risk
- US Dollar / Hong Kong Dollar USDHKD ↑ 0.02% -1.3% Low Risk
- JPMorgan Ultra-Short Income ETF JPST ↑ 6.00% -3.3% Low Risk
- Vanguard Short-Term Bond ETF BSV ↑ 6.00% -11.1% Low Risk
- Euro / Swedish Krona EURSEK ↑ 0.13% -12.4% Low Risk
- iShares National Muni Bond ETF MUB ↑ 6.00% -14.4% Low Risk
- Euro / Hungarian Forint EURHUF ↑ 1.02% -14.8% Low Risk
- US Dollar / Canadian Dollar USDCAD ↑ 0.62% -17.4% Low Risk
- JPMorgan Equity Premium Income ETF JEPI ↑ 6.00% -20.0% Low Risk
- Euro / Canadian Dollar EURCAD ↑ 1.60% -20.1% Low Risk
How asset forecasts work
Forecasts on CalculatorInvest use historical performance across multiple windows and scenario-based assumptions to compare possible outcomes instead of relying on one target price.
Expected annual return
The expected annual return is the estimated average yearly return over the forecast horizon, so you can compare assets on a consistent basis.
Estimated 2030 price
This is the scenario-based estimate of where an asset could be by 2030, shown as an illustrative outcome rather than a guarantee.
Scenario-based forecasts
Conservative, realistic, and optimistic scenarios help you evaluate upside potential, risk, and uncertainty across different market conditions.
Frequently Asked Questions
What is an asset forecast?
An asset forecast is an illustrative estimate of how an asset may perform over time based on historical performance and scenario assumptions.
What does expected annual return mean?
Expected annual return is the estimated average yearly return over the forecast period and helps compare assets on a consistent basis.
Are these forecasts guaranteed?
No. Forecasts on CalculatorInvest are illustrative only and are not guarantees of future performance.
Which assets are included in the Forecast Hub?
The Forecast Hub includes stocks, ETFs, indexes, forex pairs, commodities, and cryptocurrencies where forecast data is available.
How far into the future do these forecasts go?
Forecasts on this page currently focus on the 2025 to 2030 horizon, depending on available asset data.
How should I use these forecasts?
Use forecasts as an educational comparison tool to compare scenarios, expected returns, projected prices, and risk, not as investment advice.